ACWV
ETF / Mutual Fund
iShares MSCI Global Minimum Volatility ETF
$116.25
+$7.05 (+6.46%)
Price Chart
Overview
About ACWV
AUM
Volume
43.1M
Avg. Volume
28.8M
Expense Ratio
0.20%
Top Holdings
Walmart Inc.
1.50%McKesson Corp.
1.50%T-Mobile US Inc.
1.45%Republic Services Inc.
1.36%Colgate-Palmolive Co.
1.30%Sector Allocation
Information Technology16.57%
Health Care13.43%
Financials12.86%
Consumer Staples11.19%
Industrials10.77%
Communication Services9.65%
Country Allocation
United States56.23%
Japan7.22%
Canada5.32%
Switzerland4.07%
United Kingdom3.79%
Hong Kong3.42%
Fund Information
Exchange
Sector
Latest News for ACWV
Risk & Correlation Analysis
Market Correlation
0.54
Low Correlation
Volatility
Low (0.08)
Relative to market
Macro Factor Sensitivities
Interest Rates
Low Sensitivity
Inflation
Low Sensitivity
GDP Growth
Low Sensitivity
Liquidity
Low Sensitivity
Commodity Prices
Low Sensitivity
Credit Quality
Low Sensitivity
Portfolio Impact
Forecasts & Predictions
1-Month Target
$XXX.XX
+X.X% Potential
3-Month Target
$XXX.XX
+X.X% Potential
12-Month Target
$XXX.XX
+X.X% Potential
Technical Analysis
Based on technical indicators and chart patterns, ACWV shows...
AI Sentiment Analysis
Market sentiment analysis indicates...
Key Statistics
AUM
Volume43.1M
Expense Ratio0.20%
Important Dates
Next Dividend
Next Earnings
Related Securities
Pricing info last updated June 17, 2025 (after market close)Other info last updated April 2, 2025