ILOW

AB International Low Volatility Equity ETF

$42.24
+0.00%
Market closed. Last update: 11:56 AM ET

📎 Investment Objective

The AB International Low Volatility Equity ETF (ILOW) seeks to provide exposure to a portfolio of international stocks with lower volatility compared to the broader international equity market.

Overview

ETF tracking AB International Low Volatility Equity ETF

Category Volatility
Issuer Other
Inception Date 2024-07-15
Market Cap $1.4B
Average Volume N/A
Dividend Yield 0.63%
52-Week Range $33.68 - $43.03
VWAP $42.25

Performance

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Investment Summary

📎 Investment Objective

The AB International Low Volatility Equity ETF (ILOW) seeks to provide exposure to a portfolio of international stocks with lower volatility compared to the broader international equity market.

🎯 Investment Strategy

The fund tracks the AB International Low Volatility Equity Index, which is designed to measure the performance of international developed market equities that exhibit lower volatility characteristics. The index selects and weights stocks based on factors such as historical volatility, beta, and other risk metrics.

✨ Key Features

  • Focuses on international developed market equities with lower historical volatility
  • Aims to provide downside protection and lower risk compared to a broad international equity index
  • Diversified portfolio across sectors and countries outside the United States
  • Passively managed to track the AB International Low Volatility Equity Index

⚠️ Primary Risks

  • Market risk: The value of the fund's holdings may decline due to general market conditions
  • International investing risk: Exposure to foreign markets may involve additional risks such as currency fluctuations and political uncertainty
  • Concentration risk: The fund may be more susceptible to factors affecting a particular sector or region
  • Tracking error risk: The fund may not perfectly track the performance of its underlying index

👤 Best For

This ETF may be suitable for investors seeking international equity exposure with a focus on lower volatility and downside protection. It could be an appropriate component of a diversified portfolio, particularly for investors with a moderate risk tolerance or a longer-term investment horizon.