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TULV
CA87249E1079
Active ETFEquity

TULV ETF · TD Q U.S. Low Volatility ETF

The TULV Exchange Traded Fund (ETF) is provided by TD Asset Management. This fund is actively managed; it does not track an index. This share class generates a stream of income by distributing dividends.
Last update Yesterday at 1:30 PM UTC
LIVE
CLOSED
This fund is part ofUS All Cap Stocks1M perf.-5.33%
Last price
$23.01
1M perf.
-4.11%
1M flows
-€1.5M
AuM
€39M
E/R
0.34%
Rating
Not rated
ESG Consensus®
esg grade icon
TULV
$23.01

Performance & flows

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December 30, 2025 → March 30, 2026
0-6-4-20246%JANFEBMAR
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TULV
$23.02
+2.17%
US All Cap Stocks
-6.05%

Historic performance and flows

1M3M1Y3Y5YMTDQTDYTD
Perf.
-4.11%
icon
+2.17%
icon
-1.90%
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+30.26%
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+56.82%
icon
-4.27%
+3.22%
+3.22%
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Flows

Key fund info

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This ETF's jurisdiction country is not in your region (Europe and Middle East) · 
Main characteristics
CUSIP
87249E107
ISIN
CA87249E1079
AuM
€39M
icon
E/R
0.34%
icon
ESG Consensus®
esg grade icon
icon
More details
NAV
3/30/2026
$23.00
1D NAV change
+0.87%
Dividend policy
No. of holdings
84
Inception date
6/2/2020
Jurisdiction
Canada
Distribution
Canada
Legal structure
Unit Trust
Base currency
CAD
Dividend distribution
Trailing 12-month distr. yield
Distribution frequency
Last distribution
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Classification
Product type
Asset class
Factors
N/A
Investment strategy
TD Q U.S. Low Volatility ETF seeks to achieve long-term capital growth by investing directly in, or obtaining exposure to, equity securities of issuers in the United States, while seeking to reduce volatility.
Tax optimisation
PEA
France
UK Reporting Status
United Kingdom
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Risk profile

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Historical risk/return profile

3M1Y3Y5Y
Returns
+2.17%
icon
-1.90%
icon
+30.26%
icon
+56.82%
icon
Volatility
Perf./Volatility
Max drawdown
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Synthetic Risk and Reward Indicator (SRRI)
UCITS
N/A
PRIIPS
N/A
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Exposure

Countries
USA
95.14%
Unavailable
4.30%
Other
0.56%
Sectors
Health Care
23.04%
Consumer Staples
22.74%
Utilities
16.21%
Financials
11.22%
Communication Services
10.19%
Information Technology
9.36%
Industrials
2.66%
Unavailable
4.46%
Other
0.12%
Diversification
Total weight of top 15 holdings out of 84
Top 15 holdings
Data as of February 28, 2026
COLGATE-PALMOLIVE CO
JOHNSON&JOHNSON
HERSHEY FOODS
CBOE GLOBAL MARKETS INC
PEPSICO U
CME GROUP
CONSOLIDATED EDISON
COCA-COLA
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PUBLIC SRVCE ENT
MERCK & CO INC
VERIZON COMMUNICATIONS
GENERAL MILLS
BOSTON SCIENTIFIC
CISCO-T
ATMOS ENERGY
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More risk metrics are available, exclusively in Trackinsight Enterprise

Sustainability

Integrates ESG criteria
No
SDG
More sustainability metrics are available, exclusively in Trackinsight Enterprise

Issuer

TD Asset Management
TD Asset Management ID Card
Number of funds
52
Total AuM
€21.65B
Expense ratio range
0.05% - 0.8%
Average expense ratio
0.3633%

Frequently asked questions about TULV

What does TD Q U.S. Low Volatility ETF, TULV, invest in?

TULV is a Active ETF. This ETF provides exposure to Other US Equities.

What is the Total Expense ratio (TER) of TULV?

TULV carries a total expense ratio (TER) of 0.34%, indicating the annual cost for holding the fund.

When was TULV launched?

TULV was introduced to the market on June 2, 2020. It trades on Canada

Who is the ETF issuer of TULV?

TD Q U.S. Low Volatility ETF, TULV, is provided by TD Asset Management. Learn more about TD Asset Management here.

What is the current assets under management (AUM) of TULV?

TULV oversees €39M in assets as of March 30, 2026.

How has TULV performed lately?

Based on data from March 30, 2026, TULV returned -4.11% over the past month, 2.17% over the last three months and 3.22% year-to-date.

What are the latest inflows or outflows for TULV?

As of March 30, 2026, TULV recorded net flows of -€1.5M over the last month and -€762K year-to-date.

Does TULV distribute dividends?

TULV follows a distributing dividend policy, meaning it pays out income to investors. As of March 30, 2026, its 12-month trailing yield was 1.13%.

What are the main country or region exposures of TULV?

As of February 28, 2026, TULV has significant geographic allocations in USA.

In which sector or theme does TULV invest in?

As of February 28, 2026, TULV focuses largely on Health Care, Consumer Staples and Utilities.

How many securities does TULV hold and how diversified is it?

As of February 28, 2026, TULV holds 84 positions in its portfolio, with 41.65% of assets concentrated in its top 15 holdings.

What are the main positions in TULV?

As of February 28, 2026, TULV top three holdings include COLGATE-PALMOLIVE CO, JOHNSON&JOHNSON and HERSHEY FOODS.

What is the base currency of TULV?

The base currency of TULV is CAD.

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