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In the News
Pairing Factor ETF Strategies to Improve the Investor Experience
Advisors have lots of smart beta ETFs worthy of consideration. Most of them focus on a single fundamental approach or factor like dividends, low volatility, quality, or value.
Investors Found Ways To Protect Money From Possible U.S. Default
Political wrestling over the extension of the debt ceiling is scaring investors. But many found a place to hide out with the best ETFs.
Bull vs. Bear: Value Investing Status — “It's Complicated”
Bull vs. Bear is a weekly feature where the VettaFi writers' room takes opposite sides for a debate on controversial stocks, strategies, or market ideas — with plenty of discussion of ETF ideas to play either angle. For this edition of Bull vs.
Top 3 Most-Read Low-Vol ETF Stories of 2022
If 2022 wasn't part of a global pandemic, markets might look back on it as a peak of volatility for the last decade, perhaps since the Great Recession.
ETF of the Week: FlexShares US Quality Low Volatility Index Fund (QLV)
VettaFi's vice chairman Tom Lydon discussed the FlexShares US Quality Low Volatility Index Fund (QLV) on this week's “ETF of the Week” podcast with Chuck Jaffe of “Money Life.
Under the Hood of a Quality Low Vol Strategy
The FlexShares US Quality Low Volatility Index Fund (QLV) is a favored core equity holding for investors looking for the benefits of a quality low volatility strategy. Low volatility investing is an attempt to minimize the fluctuation of the value of an investment over a period of time and is often considered a defensive strategy.
It's a Good Time for a Low-Vol, Quality ETF Strategy
Investors can potentially protect against chaotic markets with quality, low-volatility exchange traded fund strategies to better diversify their core allocations.
When Rates Rise, It's Time to Combine Low Volatility & Quality
When the market starts to whipsaw, investors historically have sought out low volatility strategies, allowing them to potentially protect against some downside while staying invested in the market. Yet we believe this time-tested factor strategy can become even more powerful when combined with a screen for quality.
Check Out This ETF for Minimized Volatility With Upside Potential
Investors favor low-volatility funds when they want to reduce their downside risk but still participate in some of the market's growth. Traditional low-volatility strategies may introduce unintended sector concentration and interest rate risk, among other challenges, but this may be mitigated by applying the quality factor to a low-volatility strategy, thus allowing an investor to [.
Add This Low-Vol ETF to Your Core Equity Exposure
As volatility in the market remains at elevated levels, investors may find solace in strategies designed to minimize volatility and help to mitigate losses when equities sell off, but that also offer investors a way of staying invested if the rally resumes.
QLV Financial details
QLV Financial Performance
QLV Frequently Asked Questions
What is FlexShares US Quality Low Volatility Index Fund stock symbol ?
FlexShares US Quality Low Volatility Index Fund is a US stock and trading under the symbol QLV
What is FlexShares US Quality Low Volatility Index Fund stock quote today ?
FlexShares US Quality Low Volatility Index Fund stock price is $60.93 today.
Is FlexShares US Quality Low Volatility Index Fund stock public?
Yes, FlexShares US Quality Low Volatility Index Fund is a publicly traded company.