BMO Low Volatility Cdn Eqty ETFZLB.TOCOMMENTMay 30, 2017Stock price when the opinion was issued
As of Jul 09, 2026. Market Open.
Get similar or better returns with less risk, beta, volatility. Well constructed product. Skews more to certain sectors like utilities and financial services, so you'll see underperformance. For 5-10-15-20 years, it's a thoughtful way to get returns from the market. Try XMV, which creates a portfolio of minimum volatility. You could use these 2 ETFs together.
One of his favourite holdings. It has a 35-basis point management fee. It has all the names in it that you would like, with a combination of growth, value and momentum. He likes that it doesn’t look at all like the TSX. Dividend yield of 2.47%.