0
Frances
FF

Amundi MSCI Europe Minimum Volatility Factor

MIVA-DE
LON
NAV

74.3

AUM

€ 186M

Cost per Annum (%)

0.23%

Rating
Exchange price

1 Day %

3M Avg. Volume

506.5

LSE

Investment Objectives

The Fund aims to track the performance of MSCI Europe Minimum Volatility Index, and to minimize the tracking error between the net asset value of the sub-fund and the performance of the Index. MSCI Europe Minimum Volatility Index is an equity index representative of a portfolio of equities in the MSCI Europe index, selected to obtain the lowest possible absolute volatility of the portfolio while respecting the predefined risk diversification requirements (such as, for example, minimum and maximum weightings of securities, sectors and/or countries compared to the MSCI Europe index).Portfolio volatility is a measure of the risk, consisting of quantifying the amplitude of the variations of the value of the portfolio both to the upside and to the downside over a given period. Accordingly, the higher the volatility, the more the investment in this portfolio will be considered as risky and the more the risk of loss and/or expectation of gain will be significant. Low volatility nevertheless is not synonymous with risk-free investment.

Show more
Equity
Europe Developed: Low Volatility
MSCI Europe Minimum Volatility NR EUR
Accumulating

Performance

Similar ETFs

Available on:
AUM

Fund Flow

Sector Average

Holdings

Listings

ExchangeExchange TickerCurrencyPriceAvg. 3M VolumeSEDOL/VALOR/WKNTrading Hours
DB XetraMIVAEUR€99.911.7KBZ1MDZ509:00 - 17:30 (CET)
Borsa ItalianaMIVOEUR€99.953.3KBFX7PY109:00 - 17:30 (CET)
LSEMIVOGBXGBX 8,822.5332.8BF2JSY908:00 - 16:30 (GMT)
Euronext ParisMIVOEUR€99.883.8KBFY658109:00 - 17:30 (CET)
Cumulative Total Returns:
Total returns are shown on a Net Asset Value (NAV) basis, with gross income reinvested for dividendSubTextpaying ETFs.
YTD
1Y
3Y
5Y
10Y
From:
-To:
1Y3Y5Y

Top Holdings

Total returns are shown on a Net Asset Value (NAV) basis, with gross income reinvested for dividend paying ETFs.

Fund Flow

Fund flow represents the total amount of investment flowing in or out of the ETF during a specific period, normalised in three major currencies, USD, GBP and EUR
YTD
1Y
3Y
5Y
10Y
All
From:
-To:
Dividend Yield
Dividend yield represents the ratio of distributed payment over the last 1 year to the ETF's current NAV, on a monthly rolling basis
YTD
1Y
3Y
5Y
10Y
All
From:
-To:
Latest ex-Dividend DateAmountDividend YieldDividend Growth*
*Dividend Growth may show zero value if the ETF hasn't pay dividend in the previous year
USD 32,604 million
As of 30/04/2019
-