Holdings

Symbol Grade Price % Change Allocation
MSFT D -0.05 7.86
NVDA A -1.46 5.54
AAPL C -0.14 5.13
PG C 1.27 3.17
AMZN B -2.41 2.50
LLY F -1.44 2.40
MRK F 0.80 2.29
V A 0.82 2.25
MCD D -1.80 1.97
IBM C 2.72 1.77
JNJ D 0.92 1.68
VZ C 0.68 1.58
PEP F 0.49 1.52
T A 0.85 1.46
META C -1.52 1.27
XOM A 1.62 1.15
TMUS B 0.42 1.14
GILD B 0.43 1.11
LMT D 1.47 1.07
ABBV F 1.69 0.97
ABT B 0.07 0.92
ADP B 1.27 0.92
CME A 0.01 0.91
QLYS C 1.86 0.89
ATR B 0.41 0.89
WTW B 0.61 0.87
DUK C 0.68 0.87
GOOGL B -6.27 0.87
TXN C 0.03 0.86
PSA D 1.06 0.84
AIZ A 0.86 0.84
WEC A 0.91 0.83
WDFC B 1.21 0.81
TYL B 0.54 0.81
ED C 0.04 0.77
K A 0.27 0.77
RGLD C -0.17 0.77
DOX D 1.29 0.76
LSTR D 0.30 0.74
CHE D 2.18 0.74
AMGN D 0.48 0.73
CB D 0.74 0.72
CHKP C 3.23 0.72
GIS D 0.09 0.72
ZM B 2.32 0.70
WM B 0.63 0.68
SO C -0.07 0.68
QGEN D 0.00 0.67
TRV B 1.33 0.66
DTM A 4.49 0.65
DLR A 0.69 0.65
AVY D 0.17 0.64
GOOG B -6.16 0.62
CALM A 0.52 0.62
EQIX A 1.07 0.62
ALL A 1.76 0.62
XEL A 1.18 0.62
GD D 0.76 0.61
PKG A -0.24 0.61
SMMT D -1.26 0.61
NOC D 0.77 0.60
BRK.A B -0.47 0.59
CINF A 1.54 0.59
RSG A 0.55 0.58
WCN A 0.34 0.57
CTVA C 2.06 0.57
AZO C 0.00 0.56
AEE A 1.25 0.56
SIGI C 0.73 0.55
STNG D -1.50 0.55
MKL A 1.00 0.54
CMS C 0.00 0.53
JKHY D 0.90 0.53
SCI B -0.51 0.53
CTRA B 2.59 0.53
WRB A 1.30 0.53
ADC A -0.73 0.52
AEP C 0.33 0.52
PNW A 1.12 0.52
TSCO D 1.75 0.50
BAH F 3.92 0.50
SON D 0.00 0.49
CHRW B 0.26 0.49
FLO D 0.63 0.47
REGN F 0.43 0.47
HSY F 0.59 0.46
TTEK F 1.44 0.46
NBIX C 0.90 0.43
HRL D 0.46 0.40
AVGO D 0.54 0.40
VRSK A 0.23 0.39
BMRN F -0.35 0.37
NFG A 2.80 0.37
HII F 2.01 0.36
MCK A 0.81 0.35
SLGN A -0.49 0.33
DDS B 1.47 0.30
BMI B 0.21 0.28
CRUS F 1.84 0.26
EA A -0.01 0.23
PM A 1.01 0.21
JPM B 1.16 0.21
COR B 0.18 0.20
LIN D 0.34 0.19
ALKS C -0.97 0.19
ADI D 0.49 0.15
ROP C 0.41 0.14
NCNO B 1.68 0.13
CAG D 0.53 0.13
L A 0.49 0.11
CWAN B 1.42 0.09
UNH B 0.03 0.07
MMC D 0.58 0.05
EXPD D 1.59 0.03

Recent News for FlexShares US Quality Low Volatility Index Fund & its Holdings

The investment seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of the Northern Trust Developed Markets ex-US Quality Low Volatility IndexSM. The underlying index is designed to reflect the performance of a selection of companies that, in aggregate, possess lower overall absolute volatility characteristics relative to a broad universe of securities domiciled in developed market countries, excluding the U.S. The fund will invest at least 80% of its total assets in the securities of the underlying index and in ADRs and GDRs based on the securities in the underlying index. It is non-diversified.
Index Fund Stock Market Index Technical Analysis Volatility VIX
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