PowerShares S&P Intl Dev Low Volatility (IDLV)
-NYSEArca 29.60
0.35(1.18%) Jun 17, 4:00PM EDT
| Prev Close: | 29.25 |
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| Open: | 29.82 |
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| Bid: | 23.95 x 100 |
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| Ask: | 32.30 x 900 |
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| NAV: | N/A |
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| Net Assets²: | 45.73M |
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| YTD Return (Mkt)²: | 9.44% |
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| Day's Range: | 29.55 - 29.86 |
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| 52wk Range: | 25.34 - 31.97 |
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| Volume: | 25,573 |
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| Avg Vol (3m): | 78,728 |
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| P/E (ttm)²: | N/A |
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| Yield (ttm)²: | 2.20 |
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Headlines
- 529 Rebels: Alternative ways to save for collegeReuters(Tue, May 28)
- YOUR MONEY-529 Rebels: Alternative ways to save for collegeat Reuters(Tue, May 28)
- S&P International Developed Low Volatility Portfolio Getting Very Oversoldat TheStreet(Fri, May 24)
- Low-Volatility ETFs Remain Popular with Risk-Averse InvestorsETF Trends(Fri, May 24)
- USMV And The Low-Volatility Strategyat Seeking Alpha(Fri, May 17)
- Issuer Spotlight: Invesco PowerSharesETF Database(Wed, May 8)
- ETF Inflows/Outflows: SPLV, IDLV, XLP, PXNat Forbes(Tue, Apr 30)
- Monday's ETF with Unusual Volume: IDLVat Forbes(Mon, Apr 22)
- Low-Volatility ETF Doubles S&P 500 Risk-Adjusted ReturnETF Trends(Thu, Mar 21)
- Low-Volatility ETFs: Strong Demand, Performance with Downside ProtectionETF Trends(Tue, Mar 19)
- PowerShares S&P 500 Low Volatility Portfolio Surpasses $4 Billion AUM MarkMarketwired(Mon, Mar 18)
- Low-Volatility ETFs Still Hot Despite Collapsing VIXETF Trends(Wed, Mar 13)
- Beyond SPLV: The Expanding Universe Of Low-Volatility ETPsat Seeking Alpha(Wed, Feb 27)
- PowerShares To Expand Low Volatility ETF Suiteat Seeking Alpha(Wed, Feb 13)
- PowerShares To Expand Low Volatility ETF SuiteSeeking Alpha(Wed, Feb 13)
Performance & Risk
| YTD Return: | 9.44% |
| 3y Avg Return: | N/A |
| 5y Avg Return: | N/A |
| Beta (3y): | N/A |
Fund Summary
The investment seeks investment results that generally correspond (before fees and expenses) to the price and yield of the S&P BMI International Developed Low Volatility Index.
The fund invests at least 90% of total assets in the securities of companies that comprise the underlying index. It generally invests in all of the securities comprising the underlying index in proportion to their weightings in the underlying index. The fund concentrates its investments in securities of issuers in any one industry or group of industries only to the extent that the underlying index reflects a concentration in that industry or group of industries. It is non-diversified.
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