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SPLV / Since Last Rebalance, SPLV Holding Up Well
SPLV News
By Seeking Alpha
October 7, 2023
SPLV: 3 Reasons To Avoid This Low-Volatility ETF
SPLV, a well-established low-volatility ETF, has underperformed most peers since its launch. This article evaluates its total returns and fundamentals more_horizontal
By Seeking Alpha
October 4, 2023
SPLV: Indebted Sectors Hurting 'Low-Volatility' Stocks
Selling pressure in the equity market due to the rise in Treasury yields has hurt otherwise defensive and low-volatility sectors. SPLV remains somewha more_horizontal
By Zacks Investment Research
September 22, 2023
Should Invesco S&P 500 Low Volatility ETF (SPLV) Be on Your Investing Radar?
If you're interested in broad exposure to the Large Cap Blend segment of the US equity market, look no further than the Invesco S&P 500 Low Volatility more_horizontal
By Zacks Investment Research
July 20, 2023
Should Invesco S&P 500 Low Volatility ETF (SPLV) Be on Your Investing Radar?
If you're interested in broad exposure to the Large Cap Blend segment of the US equity market, look no further than the Invesco S&P 500 Low Volatility more_horizontal
By Seeking Alpha
July 9, 2023
SPLV: Slowing Down Entering The Potential Storm For Stocks Ahead
The key selling point of SPLV is its ability to offer downside protection during market downturns, making it an attractive choice for long-term invest more_horizontal
By ETF Trends
June 30, 2023
NYSE's ETF Leaders: Invesco's John Feyerer
Invesco's head of innovation and commercialization John Feyerer spoke with NYSE's Judy Shaw at Exchange 2023 about managing volatility. Feyerer said t more_horizontal
By Zacks Investment Research
May 18, 2023
Should Invesco S&P 500 Low Volatility ETF (SPLV) Be on Your Investing Radar?
If you're interested in broad exposure to the Large Cap Blend segment of the US equity market, look no further than the Invesco S&P 500 Low Volatility more_horizontal
By Seeking Alpha
May 8, 2023
SPLV: Can This Low-Volatility ETF Outperform In A Recession?
SPLV tracks the S&P 500 Low Volatility Index, selecting 100 securities based on trailing twelve-month standard deviation. Its expense ratio is 0.25% a more_horizontal