EVO Low Volatility Core Index

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As of May 02, 2022

Overview

The EVO Low Volatility Core index measures the performance of US Large Cap companies that exhibit highest composite scores based on quality and low volatility factor scores. The index targets a lower volatility than its universe.
Asset class
Equity
Category
Factor
Family
Region
North America
Rebalance frequency
Semi-Annual

Tickers

Price return
EQLVP
Total return
EQLVT
Net total return
EQLVN

Characteristics

Number of constituents
79
Market capitalization
$17.89 Trillon
Adjusted market capitalization
$17.72 Trillon
Dividend yield
1.63%

Resources

Composition

Top constituents

As of
November 5, 2024
Company Name
Company Name
Weight

10.8%

Company Name
Company Name
Weight

10.8%

Company Name
Company Name
Weight

10.8%

Company Name
Company Name
Weight

10.8%

Company Name
Company Name
Weight

10.8%

Company Name
Company Name
Weight

10.8%

Company Name
Company Name
Weight

10.8%

Company Name
Company Name
Weight

10.8%

Company Name
Company Name
Weight

10.8%

Company Name
Company Name
Weight

10.8%

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Linked products

No linked products found.
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Insights

No items found.
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