PowerShares S&P 500 Low Volatility (SPLV)
-NYSEArca 32.53
0.21(0.65%) May 17, 4:00PM EDT
| Prev Close: | 32.32 |
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| Open: | 32.33 |
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| Bid: | 32.03 x 1100 |
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| Ask: | 34.80 x 100 |
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| NAV: | N/A |
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| Net Assets²: | 4.34B |
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| YTD Return (Mkt)²: | 13.10% |
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| Day's Range: | 32.32 - 32.54 |
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| 52wk Range: | 26.10 - 32.57 |
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| Volume: | 2,425,643 |
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| Avg Vol (3m): | 2,478,820 |
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| P/E (ttm)²: | 17 |
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| Yield (ttm)²: | 2.71 |
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Quotes delayed, except where indicated otherwise. Currency in USD.
Headlines
- S&P 500 Valuation: Earnings Expectations Versus Realityat Seeking Alpha(Fri, May 17)
- ETF Inflows May Hit $200 Billion in 2013ETF Trends(Fri, May 17)
- USMV And The Low-Volatility Strategyat Seeking Alpha(Fri, May 17)
- 'Low Volatility' ETFs, Once Market Beating, Are Becoming Merely Averageat Barrons.com(Thu, May 16)
- ETF Inflows/Outflows: XLK, GASX, SPLV, EFOat Forbes(Thu, May 16)
- Don't Let Performance Anxiety Push You Over The Edgeat Seeking Alpha(Wed, May 15)
- High Yield Bond Market Sets New Recordsat Seeking Alpha(Wed, May 15)
- Sentiment Is Not as Bullish as You Think, Despite a 145% Rally in the S&P 500at Minyanville(Mon, May 13)
- Sector Rotation: Defensive ETFs Lead OutflowsETF Trends(Mon, May 13)
- Invesco PowerShares Expands Fundamental Fixed-Income Line With Emerging Market Local Currency Sovereign Debt PortfolioMarketwired(Thu, May 9)
- Are High-Beta Funds the Next Low-Volatility ETFs?ETF Trends(Wed, May 8)
- SPLV, NEE, D, XEL: ETF Inflow Alertat Forbes(Wed, May 8)
- Is High Beta Worth The Risk?at Seeking Alpha(Wed, May 8)
- Invesco PowerShares Exec Recognized With Two ETP Industry AwardsMarketwired(Wed, May 8)
- Take Profits in 'Safety' Sectors: Ned Davis Researchat Barrons.com(Tue, May 7)
Performance & Risk
| YTD Return: | 13.10% |
| 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 500® Low Volatility Index (the "underlying index").
The fund generally will invest at least 90% of its total assets in common stocks that comprise the underlying index. Volatility is a statistical measurement of the magnitude of up and down asset price fluctuations over time. It generally invests in all of the securities comprising the underlying index in proportion to their weightings in the underlying index. The fund is non-diversified.
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