About this ETF
The Invesco S&P MidCap Low Volatility ETF (XMLV) is structured to replicate the performance of the S&P MidCap 400 Low Volatility Index. The fund's investment strategy typically involves allocating at least 90% of its total assets to the securities that comprise this benchmark. Standard & Poor's is responsible for developing, overseeing, and calculating this Index. It consists of 80 specific mid-capitalization securities, which are handpicked from the broader S&P MidCap 400 Index. The primary selection criterion is having demonstrated the least historical price fluctuation, or "realized volatility," over the preceding 12 months. Volatility itself is a statistical measure that quantifies the degree of upward and downward movements in an asset's price over time. Both the Fund and its underlying Index undergo quarterly adjustments to their composition and holdings. As of August 31, 2025, the Fund achieved an overall Morningstar rating of 4 stars, placing it among 577 evaluated funds. For specific timeframes, it earned 3 stars over the three-year period (out of 577 funds) and also 3 stars over the five-year period (out of 556 funds), while securing an impressive 5 stars for its ten-year performance (out of 405 funds). These ratings, provided by Morningstar Inc., are derived from a risk-adjusted return methodology. This approach considers monthly performance variations, giving greater weight to periods of decline and rewarding consistent returns. For comparative analysis, open-end mutual funds and exchange-traded funds are grouped together, and a fund must have at least three years of history to receive a rating. The comprehensive overall rating is a weighted average of the applicable three-, five-, and ten-year metrics, factoring in fees and expenses but excluding sales charges. Morningstar's data is proprietary and should not be reproduced or distributed; its accuracy, completeness, or timeliness is not guaranteed, and Morningstar disclaims responsibility for any damages or losses arising from its use. Investors should note that past performance does not guarantee future results. Within any given category, five stars are awarded to the top 10% of funds, four stars to the subsequent 22.5%, three stars to the next 35%, two stars to the following 22.5%, and one star to the bottom 10%. These ratings are subject to monthly revisions. Furthermore, if fee waivers and/or expense reimbursements had not been in effect, the Morningstar rating might have been lower, and ratings for different share classes could vary due to their distinct performance characteristics.
Description from the fund data provider · profilo aggiornato al Aug 27, 2026.
Grafico del prezzo
Daily closing prices (price return, not total return). Comparison lines are normalized to percent change from the range start. Fonte: Financial Modeling Prep.
Performance
| 1M | 3M | 6M | YTD | 1Y | 3Y* | 5Y* | 10Y* | Incep.* | |
|---|---|---|---|---|---|---|---|---|---|
| Rendimento del prezzo | -1.73% | +3.50% | +2.67% | +9.01% | +6.77% | +10.07% | +4.53% | +5.67% | +7.62% |
| Rendimento totale | -1.73% | +4.31% | +4.42% | +10.88% | +10.12% | +13.05% | +7.11% | +8.06% | +9.90% |
* Annualized. Total return uses the dividend-adjusted price series (distributions reinvested); price return uses unadjusted closes. Performance al Aug 25, 2026. Le performance passate non garantiscono risultati futuri.
Fees
| Expense ratio netto | 0.25% | Annual cost of a $10,000 investment | $25.00 |
Calcolo a solo scopo illustrativo: expense ratio × 10.000 $. Esclude i costi di negoziazione, gli spread denaro/lettera, le imposte e le variazioni del valore dell'investimento. I dettagli sull'expense ratio lordo e netto e le eventuali esenzioni dalle commissioni sono riportati nel prospetto.
Posizioni in portafoglio
Posizioni in portafoglio al Aug 25, 2026 — data di riferimento del portafoglio fornita dal provider di dati; le posizioni non sono in tempo reale. 83 righe nel database.
| # | Posizione | Ticker | Peso | Azioni | Valore di Mercato |
|---|---|---|---|---|---|
| 1 | TXNM Energy Inc | TXNM | 5.09% | 663.85K | $37.9M |
| 2 | Agree Realty Corp | ADC | 1.60% | 159.19K | $11.9M |
| 3 | Ingredion Inc | INGR | 1.54% | 108.17K | $11.5M |
| 4 | NNN REIT Inc | NNN | 1.54% | 247.41K | $11.5M |
| 5 | WP Carey Inc | WPC | 1.53% | 159.37K | $11.4M |
| 6 | OGE Energy Corp | OGE | 1.53% | 247.30K | $11.4M |
| 7 | Starwood Property Trust Inc | STWD | 1.52% | 696.07K | $11.3M |
| 8 | Equity LifeStyle Properties Inc | ELS | 1.47% | 166.91K | $11.0M |
| 9 | ONE Gas Inc | OGS | 1.46% | 135.25K | $10.9M |
| 10 | IDACORP Inc | IDA | 1.46% | 78.35K | $10.8M |
| 11 | Portland General Electric Co | POR | 1.44% | 215.24K | $10.7M |
| 12 | COPT Defense Properties | CDP | 1.43% | 284.27K | $10.6M |
| 13 | New Jersey Resources Corp | NJR | 1.43% | 197.51K | $10.6M |
| 14 | Gaming and Leisure Properties Inc | GLPI | 1.42% | 240.58K | $10.6M |
| 15 | Brixmor Property Group Inc | BRX | 1.41% | 355.84K | $10.5M |
| 16 | Southwest Gas Holdings Inc | SWX | 1.40% | 116.33K | $10.4M |
| 17 | EastGroup Properties Inc | EGP | 1.39% | 51.13K | $10.3M |
| 18 | American Financial Group Inc/OH | AFG | 1.36% | 69.89K | $10.1M |
| 19 | Spire Inc | SR | 1.35% | 122.43K | $10.1M |
| 20 | National Fuel Gas Co | NFG | 1.34% | 120.78K | $10.0M |
| 21 | Kite Realty Group Trust | KRG | 1.34% | 379.24K | $10.0M |
| 22 | American Homes 4 Rent | AMH | 1.34% | 285.98K | $10.0M |
| 23 | Omega Healthcare Investors Inc | OHI | 1.30% | 208.12K | $9.7M |
| 24 | Annaly Capital Management Inc | NLY | 1.30% | 416.47K | $9.7M |
| 25 | First Industrial Realty Trust Inc | FR | 1.29% | 151.11K | $9.6M |
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Esposizione settoriale
Esposizione Geografica
Country weights as reported by the data provider. Developed/emerging/frontier labels follow the classification on the Methodology page. Currency hedged: Nessuna copertura valutaria indicata nel nome del fondo.
Distributions
| Rendimento (TTM) | 2.86% | Distribuito (ultimi 12 mesi) | $1.9454 |
| Frequenza | Quarterly | Rendimento SEC | Non fornito dalla nostra fonte dati — consulta la pagina dell'emittente |
| Ultima ex-data | Jun 22, 2026 | Ultimo pagamento | $0.5062 (Jun 26, 2026) |
| Crescita 1A | +18.25% | Crescita 3A / 5A (ann.) | +15.73% / +27.64% |
| Ex-date | Record | Data di pagamento | Importo |
|---|---|---|---|
| Jun 22, 2026 | Jun 22, 2026 | Jun 26, 2026 | $0.5062 |
| Mar 23, 2026 | Mar 23, 2026 | Mar 27, 2026 | $0.5663 |
| Dec 22, 2025 | Dec 22, 2025 | Dec 26, 2025 | $0.4266 |
| Sep 22, 2025 | Sep 22, 2025 | Sep 26, 2025 | $0.4462 |
| Jun 23, 2025 | Jun 23, 2025 | Jun 27, 2025 | $0.4052 |
| Mar 24, 2025 | Mar 24, 2025 | Mar 28, 2025 | $0.5121 |
| Dec 23, 2024 | Dec 23, 2024 | Dec 27, 2024 | $0.4050 |
| Sep 23, 2024 | Sep 23, 2024 | Sep 27, 2024 | $0.3228 |
| Jun 24, 2024 | Jun 24, 2024 | Jun 28, 2024 | $0.3016 |
| Mar 18, 2024 | Mar 19, 2024 | Mar 22, 2024 | $0.3292 |
| Dec 18, 2023 | Dec 19, 2023 | Dec 22, 2023 | $0.2451 |
| Sep 18, 2023 | Sep 19, 2023 | Sep 22, 2023 | $0.3194 |
Rendimento da distribuzione trailing = ultimi 12 mesi di liquidità distribuita ÷ prezzo corrente. NON corrisponde al rendimento SEC a 30 giorni e la continuità delle distribuzioni non è garantita. La differenza spiegata →
Statistiche di rischio
| Volatilità 1A / 3A | 10.55% / 12.92% | Sharpe 1A / 3A | 0.669 / 0.803 |
| Drawdown massimo 1A / 3A | -7.03% / -13.79% | Sortino 1A | 1.00 |
| Beta vs S&P 500 (3Y) | 0.487 | Correlation vs S&P 500 (1Y) | 0.209 |
| Downside deviation 1Y | 7.04% | Tasso privo di rischio utilizzato | 3.72% (3M T-bill, FRED) |
Computed by ETF Explorer da chiusure giornaliere rettificate per i dividendi; volatilità e drawdown sono valori annualizzati/di periodo; l'esposizione all'S&P 500 è approssimata tramite SPY. Aggiornato al Aug 26, 2026. Formule →
Liquidità
| Volume odierno | 9.84K | Average volume | 18.69K |
| AUM | $743.1M | Premio/Sconto | +0.38% |
| Bid/Ask spread | Non fornito dalla nostra fonte dati. Verifica lo spread sul tuo broker; gli spread sono più ampi in apertura e in chiusura. | ||
Il premio/sconto confronta il prezzo di mercato in ritardo con l'ultimo NAV comunicato — un dato indicativo, non il premio/sconto ufficiale di chiusura. Come funziona la liquidità degli ETF →
Flussi del Fondo (stimati)
| Periodo | Est. net flow | % of starting AUM | AUM start → end |
|---|---|---|---|
| 1 Day | $3.3M | +0.45% | $740.9M → $744.2M |
| 1 Week | -$906.6K | -0.12% | $746.7M → $744.2M |
ETF Explorer estimate: change in reported AUM minus the market-move effect, from our own daily snapshots. Not official issuer creation/redemption data.
Risorse ufficiali del fondo
External links open the issuer's site or SEC EDGAR in a new tab. The prospectus and official documents are always the authoritative source — review them before investing.
Ultime Notizie su XMLV
Nessun articolo menziona direttamente questo fondo negli ultimi 7 giorni — viene mostrata la copertura generale sugli ETF.
Guida rapida: l'AUM è la dimensione del fondo. L'expense ratio è il costo annuo incorporato nei rendimenti. Il NAV è il valore di ciò che il fondo detiene per quota; il prezzo di mercato può essere leggermente superiore (premio) o inferiore (sconto) al NAV. Il rendimento totale presuppone il reinvestimento delle distribuzioni. Ogni dato riporta la propria data di aggiornamento, poiché portafoglio, patrimonio e quotazioni si aggiornano con frequenze diverse.
XMLV