US Market by Size & Weighted Volatility ETFs

US Market by Size & Weighted Volatility ETFs
Components Performance/Risk
Period Return
11.4%
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 reality 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

The funds have mostly fulfilled their mandate of lowering volatility by market cap

 

For investors, the multiple factors filtering the securities data base before volatility rescaling also matter

Multi-factor and high-beta selections are discussed separately 

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