iShares MSCI All Country World Mini Vol
(NYSE ARCA: ACWV)
AdChoices
65.67
+0.56
+0.86%
:

Open

65.66

Net Assets

1.24B

Day's Range

65.32-65.82

52 week range

59.92-68.53

Category

World Stock

Vol (3-Month Avg.)

82.34k

Yield

2.46%

Morningstar Risk

-

AdChoices
Performance
Returns %
Key statistics
  • Composition
  • Performance
  • Top Holdings
  • Key Statistics
Composition
Top Equity Sector Holding
Equity Investment Style
The two dimensions of the Fund Style box measure the average size of companies that have been in the ETF, from the top to bottom, and the average valuation characteristics of the ETF's past stock holdings, from left to right.

PERFORMANCE

  • Total Return %

  • 1 Day

  • 1 Week

  • 1 Month

  • 3 Months

  • 1 Year

  • 3 Years

  • 5 Years

    • ACWV

    • 0.49

    • -1.03

    • -3.44

    • -2.42

    • 5.83

    • -

    • -

    • Category(World Stock )

    • 0.82

    • -0.20

    • -6.02

    • -7.63

    • 1.74

    • 11.01

    • 6.96

    • Rank in Category

    • 68

    • 92

    • 18

    • 1

    • 7

    • -

    • -

    MORNINGSTAR RATING

    • Years

    • Return

    • Risk

    • Rating

      • 3 Years

      • -

      • -

      • -

      • 5 Years

      • -

      • -

      • -

      • 10 Years

      • -

      • -

      • -

      • Overall

      • -

      • -

      • -

      TOP HOLDINGS

      • Name

      • % Portfolio Weight

      • Shares Held

      • Change

        • Southern Co

        • 1.48

        • 392,350

        • 4,130

        • Johnson & Johnson

        • 1.44

        • 183,469

        • 1,930

        • Novartis AG

        • 1.37

        • 199,500

        • 2,100

        • Automatic Data Processing

        • 1.35

        • 233,044

        • 2,452

        • McDonald's Corp

        • 1.33

        • 182,039

        • 1,916

        • General Mills Inc

        • 1.30

        • 328,964

        • 3,462

        • China Mobile Ltd

        • 1.18

        • 1,235,000

        • 13,000

        • Verizon Communications Inc

        • 1.12

        • 288,697

        • 3,038

        • Nestle SA

        • 1.09

        • 194,940

        • 2,052

        • TransCanada Corp

        • 1.02

        • 269,040

        • 2,832

        CATEGORY

        • Name

        • ACWV

        • Category

          • Avg. Market Cap USD (M)

          • 27,321.04

          • 40,194.67

          • Expense Ratio

          • 0.20%

          • 0.45%

          • Net Assets

          • 1.24B

          • 818.82M

          • Price/Prospective Earnings

          • 17.52

          • 16.16

          • Price/Book

          • 2.41

          • 1.99

          • Price/Sales

          • 1.61

          • 1.50

          • Price/Cash Flow

          • 9.75

          • 6.58

          • Dividend Yield

          • 2.46%

          • 2.46

          Profile

          Name of Issuer

          iShares

          Expenses

          0.20%

          The investment seeks to track the investment results of an index composed of developed and emerging market equities that, in the aggregate, have lower volatility characteristics relative to the broader developed and emerging equity markets. The fund seeks to track the investment results of the MSCI ACWI Minimum Volatility (USD) Index (the "underlying index"). BFA uses a "passive" or indexing approach to try to achieve the fund's investment objective. It generally invests at least 90% of its assets in securities of the underlying index or in depositary receipts representing securities in the underlying index. The fund is non-diversified.

          Inception

          10/18/2011