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Global ETF Survey 2026

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Global ETF Survey 2026
ETF IssuersInvescoSPLV
ETF screener
SPLV
US46138E3541
Passive ETFEquity

SPLV ETF · Invesco S&P 500® Low Volatility ETF

The Invesco S&P 500 Low Volatility ETF - USD, denoted by the ticker symbol SPLV, serves as a crucial portfolio element for investors who desire exposure to a segment of the S&P 500 exhibiting lower overall volatility. The fund achieves this by tracking the performance of the S&P 500 Low Volatility Index, which consists of the 100 stocks from the S&P 500 Index showing the least amount of volatility over the past year. Established in 2011, SPLV offers an alternative approach to the traditional market-capitalization weighted indexing. The methodology contributes to aligning the ETF with those investors specifically seeking potential downside protection while maintaining involvement within the equity market. Though it holds a considerable assortment of securities, it remains fundamentally different from broad-market funds due to its emphasis on low volatility. As such, this aspect underlines its utility during turbulent market conditions. Therefore, SPLV may serve effectively as a strategy for risk-averse investors who wish to maintain equity holdings without experiencing exaggerated market fluctuations. The sector allocations within SPLV might fluctuate considerably over time due to its focus on low volatility rather than adhering to a proportional sector representation within the S&P 500. It is necessary to note that while targeting decreased risk via lower volatility stocks, SPLV does not eliminate risks associated with investing in equity markets completely. In summary, Invesco S&P 500 Low Volatility ETF - USD is an investment tool designed for those seeking exposure to equities manifesting lower relative volatility compared to wider markets. However, as with all investment decisions, understanding one's financial objectives and risk tolerance is key before incorporating any specific instrument into one's portfolio.

Last update Today at 2:27 PM UTC
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This fund is part ofUS Low Volatility1M perf.+1.66%
Last price
$75.81
+0.76%
1M perf.
+5.67%
1M flows
-€124M
AuM
€6.19B
TER
0.25%
Rating
SPLV
$75.81
+0.76%

Performance & flows

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April 1, 2026 → July 1, 2026
0-3%-2%-1%0%1%2%3%4%5%MAYJUNJULMAYJUNJUL
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SPLV
$75.21
+3.16%
US Low Volatility
+4.87%

Historic performance and flows

1M3M1Y3Y5YMTDQTDYTD
Perf.
+5.67%
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+3.16%
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+4.88%
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+27.46%
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+36.40%
icon
+0.39%
+0.39%
+6.49%
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Flows

Key fund info

Segment for quartile rank
This ETF's jurisdiction country is not in your region (Europe and Middle East) · 
Main characteristics
Issuer
CUSIP
46138E354
ISIN
US46138E3541
AuM
€6.19B
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TER
0.25%
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Replication rating
icon
More details
NAV
7/1/2026
$75.21
1D NAV change
+0.39%
Dividend policy
Replication method
Direct (Physical)
Replication model
Full replication
No. of holdings
100
Inception date
5/5/2011
Jurisdiction
United States
Distribution
Finland (Qualified Investor)
United States
Sweden (Qualified Investor)
Netherlands (Qualified Investor)
United Kingdom (Qualified Investor)
Legal structure
Open-end Fund
Base currency
USD
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
The Invesco S&P 500® Low Volatility ETF (Fund) is based on the S&P 500® Low Volatility Index (Index). The Fund will invest at least 90% of its total assets in common stocks that comprise the Index. The Index is compiled, maintained and calculated by Standard & Poor's and consists of the 100 stocks from the S&P 500® Index with the lowest realized volatility over the past 12 months. Volatility is a statistical measurement of the magnitude of up and down asset price fluctuations over time. The Fund and the Index are rebalanced and reconstituted quarterly in February, May, August and November.
Tax optimisation
PEA
France
UK Reporting Status
United Kingdom
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Risk profile

Segment for quartile rank

Historical risk/return profile

3M1Y3Y5Y
Returns
+3.16%
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+4.88%
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+27.46%
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+36.40%
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Volatility
Perf./Volatility
Max drawdown
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Synthetic Risk and Reward Indicator (SRRI)
UCITS
N/A
PRIIPS
N/A
More exposure metrics are available, exclusively in Trackinsight Enterprise

Exposure

Countries
USA
95.95%
United Kingdom
1.17%
Switzerland
1.07%
Other
1.80%
Sectors
Finance
38.84%
Utilities
24.98%
Consumer Non-Cyclicals
10.68%
Industrials
8.08%
Business Services
4.07%
Healthcare
3.99%
Energy
2.69%
Non-Energy Materials
2.12%
Consumer Services
2.02%
Other
2.52%
Diversification
Total weight of top 15 holdings out of 100
More risk metrics are available, exclusively in Trackinsight Enterprise

Sustainability

Integrates ESG criteria
No
SDG
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Replication

Trackinsight replication rating:
1-year trailing difference
As of June 30, 2026
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SPLV
N/A
Replication quality
Calculated over 12m, as of June 30, 2026
Tracking error
Tracking difference
1-year cumulative return difference
Best
Worst
Daily return difference
Average
Worst
Replication information
Index
Index ticker
Index dividend policy
Replication method
Replication model

Issuer

Invesco
Invesco ID Card
Number of funds
650
Total AuM
€1.06T
Expense ratio range
0.04% - 5.39%
Average expense ratio
0.3497%

Frequently asked questions about SPLV

What does Invesco S&P 500® Low Volatility ETF, SPLV, invest in?

SPLV is a Passive ETF. This ETF provides exposure to Other Large Cap US Equities.

Which benchmark or index does SPLV replicate?

SPLV tracks the S&P 500 Low Volatility Total Return Index - USD, through a full replication replication method.

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

SPLV carries a total expense ratio (TER) of 0.25%, indicating the annual cost for holding the fund.

When was SPLV launched?

SPLV was introduced to the market on May 5, 2011. It trades on Finland (Qualified Investor), among other exchanges

Who is the ETF issuer of SPLV?

Invesco S&P 500® Low Volatility ETF, SPLV, is provided by Invesco. Learn more about Invesco here.

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

SPLV oversees €6.19B in assets as of July 1, 2026.

How has SPLV performed lately?

Based on data from July 1, 2026, SPLV returned 5.67% over the past month, 3.16% over the last three months and 6.49% year-to-date.

What are the latest inflows or outflows for SPLV?

As of July 1, 2026, SPLV recorded net flows of -€123M over the last month and -€518M year-to-date.

Does SPLV distribute dividends?

SPLV follows a distributing dividend policy, meaning it pays out income to investors. As of July 1, 2026, its 12-month trailing yield was 2.13%.

What are the main country or region exposures of SPLV?

As of May 31, 2026, SPLV has significant geographic allocations in USA, United Kingdom and Switzerland.

In which sector or theme does SPLV invest in?

As of May 31, 2026, SPLV focuses largely on Finance, Utilities and Consumer Non-Cyclicals.

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

As of May 31, 2026, SPLV holds 100 positions in its portfolio, with 18.46% of assets concentrated in its top 15 holdings.

What are the main positions in SPLV?

As of May 31, 2026, SPLV top three holdings include FirstEnergy Corp., Loews Corp. and Berkshire Hathaway, Inc..

What is the base currency of SPLV?

The base currency of SPLV is USD.

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