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SPDR Russell 2000 Low Volatility(SMLV)

Description: The investment seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of a small cap, low volatility index. The fund employs a sampling strategy, which means that the fund is not required to purchase all of the securities represented in the index. Under normal market conditions, the fund generally invests substantially all, but at least 80%, of its total assets in the securities comprising the index. The index includes small cap U.S. equity securities, including business development companies, and is designed to deliver exposure to low volatility. It is non-diversified.


Keywords: Exchange Traded Fund ETF Investment Management Index Fund Business Development

Home Page: us.spdrs.com/en/product/fund.seam?ticker=SMLV

SMLV Technical Analysis

Exchange: NYSE ARCA

Country: US : United States of America

Currency: US Dollar ($)

Category: Small Blend

Asset Allocation
Asset Class Long % Short % Net Assets
Stock US 97.89 0.00 97.89
Stock non-US 1.88 0.00 1.88
Cash 0.23 0.00 0.23
Sector Weights
Sector Equity % Relative to Category
Financial Services 31.50 17.42
Industrials 16.63 17.37
Technology 9.79 13.52
Real Estate 9.12 6.79
Healthcare 7.85 14.19
Consumer Cyclicals 7.52 11.28
Consumer Defensive 4.76 4.31
Utilities 4.12 2.75
Basic Materials 4.07 4.56
Communication Services 2.82 2.52
Energy 1.81 5.29
World Regions
Region Equity % Relative to Category
North America 98.21 98.58
United Kingdom 0.60 0.22
Asia Emerging 0.44 0.22
Latin America 0.35 0.51
Africa/Middle East 0.26 0.08
Asia Developed 0.14 0.12
Japan 0.00 0.04
Australasia 0.00 0.00
Europe Developed 0.00 0.24
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