FlexShares US Quality Low Volatility Index FundQLV
Type
ETF
Peer group
US equity: large companies
Net assets
$169.6M
Expense ratio
0.08%
1-year return
+14.9%
3 years, a year
+16.0%
5 years, a year
+10.0%
12-month yield
1.50%
Holdings
118
What it aims to do.
The Fund seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Northern Trust Quality Low Volatility Index SM (the Underlying Index).
Top 10 holdings.
| Holding | % of fund |
|---|---|
| NVDA NVIDIA Corp. | 6.38% |
| MSFT Microsoft Corp. | 5.40% |
| AAPL Apple, Inc. | 5.18% |
| JNJ Johnson & Johnson | 4.11% |
| XOM Exxon Mobil Corp. | 2.54% |
| PG Procter & Gamble Co. (The) | 2.23% |
| GOOGL Alphabet, Inc. | 2.15% |
| ABBV AbbVie, Inc. | 2.13% |
| V Visa, Inc. | 2.12% |
| COST Costco Wholesale Corp. | 2.09% |
More on QLV.
- QLV overview
- QLV holdings
- QLV risk
- QLV costs
- QLV money in and out
- QLV share classes
- Compare QLV with other funds
Returns after fees, from the fund's SEC filings up to Aug 2026. Past returns are not a promise. Not financial advice.