BMMWF
BMO Low Volatility Canadian Equi
BMMWF
27,55
2,91 Bil. AUM
0,4% Expense Ratio
35,67 NAV
BMO Low Volatility Canadian Equi Profile
About BMO Low Volatility Canadian Equi
The fund seeks long-term capital appreciation by actively investing in Canadian equities that have lower sensitivity to market movements (beta). The fund adviser selects portfolio holdings from a universe of the largest and most liquid Canadian securities. The resulting portfolio is weighted so that higher weights are allocated to stocks with lower beta. Holdings are rebalanced and reconstituted annually, in June and December, respectively.
- Company
- Holdings
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- CUSIP
BMO Low Volatility Canadian Equi Sectors
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