TSE:ZLB

BMO Low Volatility Cdn Eqty ETF (ZLB.TO)

61.60
-0.04 (0.06%)
as of Jul 9, 2026, 5:56:54 pm Market Open.
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COMMENT

Low volatility ETF’s?Thinks there is going to be some significant upside growth in the economy, and lower taxes. There are an awful lot of very good things that are going to benefit the US economy. In that light, low volatility ETF is a product that is less risky and tends to be less volatile. There is nothing wrong with this and is a place where you should have some of your money. However, if he were going to overweight something going into next year, he would want more of an alpha product, something that is going to be more aggressive.

PAST TOP PICK

(A Top Pick Sept 4/15. Up 10.81%.) He continues to like this, and is one of the heavier weighted securities in his equity portfolio. A good vehicle, particularly for smaller accounts. Has good diversification and good names.

COMMENT

A great product for people who are looking for a little lower volatility, but he prefers doing that himself. Sometimes people stick in lower volatility names that are supposed to be lower volatility, and they end up not being lower volatility. Feels there are better ways to get at lower volatility.

PAST TOP PICK

(A Top Pick June 26/15. Up 6.29%.) He still likes this. This is low volatility, and the way they work it is that they rejig them every 6 months.

TOP PICK

(A Top Pick April 10/15. Down 0.30%.) This should perform well in down markets, and give you some upside in more aggressive markets. Has good diversification. Low beta meaning it is not as volatile as the rest of the market. About 30% financials.

TOP PICK

(A Top Pick April 10/15. Down 2.97%.) Has outperformed the market fairly substantially. Reconstituted in January with a lot more emphasis on Canadian banks. Also, the yield has gone up to about 3%.

PAST TOP PICK

(A Top Pick Jan 22/15. Up 3.87%.) These are stocks with low betas, so are not as volatile as the rest of the market. He still likes it and is still adding to it for new clients.

PAST TOP PICK

(Top Pick Aug 14/15, Down 1.93%) The whole idea was to reduce volatility in your portfolio. It has basically been flat compared to the broader market. It has worked perfectly so far. When the volatility is over, you rotate into cyclical sectors.

BUY

Has $41,000. 3 ETF’s for growth and dividends to put into a TFSA account? This is a low volatility one that he would suggest. There is also a preferred that will give you a little bit of income. On the 3rd one, he would suggest ZLU-T, which gives you low volatility. (See Top Picks.)

TOP PICK

One of the cornerstones in a lot of his clients’ portfolios, particularly the smaller ones. This invests in low beta companies that are less volatile. It has done extremely well. It is light in the energy and commodity sectors. This will continue to work until we get back into more stable markets.

HOLD

Everybody should have a low volatility ETF in their portfolio. You are not going to get the big gain that the market is going to get, but you are going to temper that back. If you are looking for a market correction, this is something you would put in your portfolio.

TOP PICK

This is a low beta weighted portfolio of stocks. You want to seek ways to reduce your volatility in your portfolio. This holds telcos, utilities and some of the consumer staples stuff. A good way to stay invested, but to reduce your risk to the market gyrations.

PAST TOP PICK

(A Top Pick Aug 12/14. Up 22.51%.) This has a good portfolio and low volatility. It is like buying a mutual fund with a very small fee. The portfolio adjusts every 6 months or so.

TOP PICK

If you don’t know what the market is going to do this has the upside, but gives you some protection. It is an anchor in your portfolio. Approximately a 2% yield. Over three years it outperformed the TSX because of a lack of energy exposure.

PAST TOP PICK

(A Top Pick April 24/15. Down 2.56%.) You want to decouple from the equity markets during the summer time, and this one was essentially doing just that. This is a low volatility ETF and holds a basket of low weighted beta securities.

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