Target-Volatility Strategies ETFs

Target-Volatility Strategies ETFs
Components Performance/Risk
Period Return
13.6%
Return Rank
Below Average
Risk Exposure
Low Risk

The list of low volatility ETFs is extensive - a testimony of the popularity of a strategy combining lower risk exposure and sustained returns

But actual returns did not quite make good on these promises over the past years, essentially because the top performing industries – healthcare and technology – also turned out to be the most volatile … and the less favored in volatility weighing by the funds

In Target-Volatility Strategies, the diversity of fund asset allocations facilitates cross-category comparisons but we believe our detailed classifications by region & by market cap, by high-beta & momentum and by (multi)-factor to be more relevant

Performance History
Components Performance/Risk
Weights by Sub Category
Sub Category Performance/Risk