Invesco Low Volatility Portfolio ETF
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About
The fund is a fund-of-funds that provides exposure to low-volatility securities or those that have low standard deviation of returns compared to their respective broader markets. Investing primarily in Invescos low-volatility ETFs, the fund has a static fixed income allocation of 30% to Invesco 1-5 Year Laddered Investment Grade Corporate Bond Index ETF (PSB). The portfolio securities are selected using a quantitative portfolio construction model that starts with an allocation of 30% to Canadian fixed income and 70% to global low-volatility equity.
Biggest holdings
Consumer Defensive
0.22%
Consumer Defensive
0.19%
Consumer Defensive
0.19%
Industrials
0.19%
Utilities
0.18%
Financial Services
0.18%
Financial Services
0.18%
Financial Services
0.17%
Industrials
0.17%
Communication Services
0.17%
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