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VictoryShares US Multi-Factor Minimum Volatility ETF: (VSMV)

(Delayed Data from NASDAQ) As of Nov 1, 2024 03:14 PM ET

$47.92 USD

47.92
5,123

+0.11 (0.22%)

Volume: 5,123

Zacks ETF Rank

This is our ETF rating system that serves as a timeliness indicator for ETFs over the next 6 months:

Zacks Rank Definition
1 Strong Buy
2 Buy
3 Hold
4 Sell
5 Strong Sell

See all the Top Ranked ETFs here - The complete list of all the top ranked ETFs

NA

After-Market: $48.01 +0.09 (0.19 %) 7:58 PM ET

ETF Quote Details

Previous Close 47.81
Open 47.90
Bid 44.00
Ask 52.62
Day Low-High 47.85-48.05
52wk Low-High 39.49-49.20
Volume 5,123
NAV (month end) 48.56
Premium (+)/Discount (-) (month end)-0.75

Zacks Premium Research for VSMV

Zacks ETF Rank

This is our ETF rating system that serves as a timeliness indicator for ETFs over the next 6 months:

Zacks Rank Definition
1 Strong Buy
2 Buy
3 Hold
4 Sell
5 Strong Sell

See all the Top Ranked ETFs here - The complete list of all the top ranked ETFs

NA
ETF Risk

Zacks proprietary quantitative models divide each set of ETFs following a similar investment strategy (style box/industry/asset class) into three risk categories- High, Medium, and Low. The aim of our models is to select the best ETFs within each risk category, so that investors can pick an ETF that matches their particular risk preference in order to better achieve their investment goals.

NA
ETF Snapshot

ETF Expense Ratio

Expense Ratio 0.35%
Dividend (Yield) $0.67 (1.41%)
Issuer VICTORY CAPITAL

Benchmark for VSMV

NASDAQ VICTORY US MLTI-FACTOR MIN VOL ID

The Nasdaq Victory US Multi-Factor Minimum Volatility Index seeks to deliver superior risk adjusted returns by constructing rules-based equity portfolios which aim to minimize expected volatility while potentially outperforming over a market cycle.

Fund Summary for VSMV

VICTORYSHARES US MULTI-FCTOR MIN VOL ETF

The VictoryShares US Multi-Factor Minimum Volatility ETF offers exposure to large- and mid-cap US stocks in a portfolio that seeks to minimize volatility and maximize risk-adjusted returns.