QLVE ETF — Holdings & Analysis
FlexShares Emerging Markets Quality Low Volatility Index Fund (QLVE) is an equity ETF with $0.02 billion in assets under management. QLVE seeks to track the Northern Trust Emerging Markets Quality Low Volatility Index, offering exposure to emerging market equities with an emphasis on quality and low volatility. With an expense ratio of 0.19%, QLVE aims to provide investors with a risk-managed approach to emerging market investing by focusing on companies exhibiting both quality characteristics and lower price volatility. Past performance does not guarantee future results.
FlexShares Emerging Markets Quality Low Volatility Index Fund (QLVE) ETF — Price, Holdings & Analysis
ETF Genel Bakış
Risk Metrikleri
Gider Oranı
En İyi Varlıklar
- Taiwan Semiconductor Manufacturing Co Ltd (2330.TW): 14.10%
- Samsung Electronics Co Ltd (005930.KS): 5.36%
- Tencent Holdings Ltd (0700.HK): 3.55%
- Alibaba Group Holding Ltd ADR (BABA): 2.67%
- SK Hynix Inc (000660.KS): 2.58%
- HDFC Bank Ltd (HDFCBANK.NS): 1.76%
- Tata Consultancy Services Ltd (TCS.NS): 1.26%
- Bank Of China Ltd Class H (03988): 1.03%
- Public Bank Bhd (1295.KL): 1.02%
- Hindustan Unilever Ltd (500696): 1.01%
Sektör Dağılımı
- Teknoloji: 27.1%
- Finansal Hizmetler: 18.6%
- İletişim Hizmetleri: 12.8%
- Döngüsel Tüketim: 8.8%
- Temel Tüketim: 7.0%
- Sağlık Hizmetleri: 6.9%
- Kamu Hizmetleri: 5.8%
- Enerji: 5.3%
- Sanayi: 4.5%
- Temel Malzemeler: 3.2%
- Gayrimenkul: 0.0%
- Nakit ve Diğerleri: 0.0%
- Tayvan: 20.4%
- Hindistan: 18.6%
- Çin: 15.0%
- Güney Kore: 12.1%
- Birleşik Arap Emirlikleri: 6.8%
- Malaysia: 5.2%
- Brezilya: 4.3%
- Suudi Arabistan: 3.2%
- Philippines: 2.8%
- Qatar: 2.3%
Temettü Verimi
- State Street Financial Select Sector SPDR ETF (XLF) — %0.08 gider oranı
- Invesco QQQ Trust, Series 1 (QQQ) — %0.18 gider oranı
- State Street SPDR S&P 500 ETF (SPY) — %0.09 gider oranı
- State Street Technology Select Sector SPDR ETF (XLK) — %0.08 gider oranı
- iShares MSCI EAFE ETF (EFA) — %0.32 gider oranı
- State Street SPDR Dow Jones Industrial Average ETF Trust (DIA) — %0.16 gider oranı
- State Street Energy Select Sector SPDR ETF (XLE) — %0.08 gider oranı
- iShares MSCI Emerging Markets ETF (EEM) — %0.72 gider oranı
- FlexShares STOXX US ESG Select Index Fund (ESG) (Hisse Senedi) — %0.33 gider oranı
- FlexShares ESG & Climate High Yield Corporate Core Index Fund (FEHY) (Hisse Senedi) — %0.23 gider oranı
- Northern Trust Short-Term Tax-Exempt Bond ETF (TAXS) (Sabit Getiri) — %0.05 gider oranı
- Northern Trust 2035 Inflation-Linked Distributing Ladder ETF (TIPB) (Sabit Getiri) — %0.10 gider oranı
- Northern Trust 2045 Tax-Exempt Distributing Ladder ETF (MUNC) (Sabit Getiri) — %0.18 gider oranı
Risk Metrikleri
- Beta: 0.66
Sorular & Cevaplar
What is QLVE and what does it track?
FlexShares Emerging Markets Quality Low Volatility Index Fund (QLVE) is an exchange-traded fund (ETF) managed by FlexShares. It aims to provide investment results that generally correspond to the price and yield performance, before fees and expenses, of the Northern Trust Emerging Markets Quality Low Volatility Index. This index focuses on selecting companies within emerging markets that exhibit both quality characteristics (such as profitability and efficient management) and lower price volatility. The fund's goal is to offer investors a potentially less volatile way to access the growth potential of emerging market equities. Past performance does not guarantee future results.
What is the expense ratio for QLVE?
The expense ratio for QLVE is 0.19%. This means that for every $10,000 invested in the fund, $19 is used to cover the fund's operating expenses annually. While there isn't a single definitive "category average" for emerging market low volatility ETFs, the expense ratio is generally considered competitive compared to other specialized emerging market ETFs. the may be worth researching expense ratio as one factor among many when evaluating QLVE. Past performance does not guarantee future results.
What are the top holdings in QLVE?
As of 2026-03-15, the top holdings in QLVE are: Taiwan Semiconductor Manufacturing Co Ltd (2330.TW) at 14.10%, Samsung Electronics Co Ltd (005930.KS) at 5.36%, Tencent Holdings Ltd (0700.HK) at 3.55%, Alibaba Group Holding Ltd ADR (BABA) at 2.67%, and SK Hynix Inc (000660.KS) at 2.58%. These holdings represent a significant portion of the fund's assets and reflect its focus on large-cap, quality companies within the emerging markets. The fund's performance will be significantly impacted by the performance of these top holdings. Past performance does not guarantee future results.
Is QLVE a good long-term investment?
Whether QLVE is a suitable long-term investment depends on an individual investor's specific financial goals, risk tolerance, and investment horizon. QLVE offers exposure to emerging market equities with a focus on quality and low volatility. Its %0.19 gider oranı is relatively competitive. The fund's emphasis on quality and low volatility may make it a suitable option for investors seeking potentially smoother returns in the long run. However, emerging markets can be volatile, and investors should carefully consider the risks before investing. Past performance does not guarantee future results.
How does QLVE compare to similar ETFs?
QLVE differentiates itself through its focus on quality and low volatility within the emerging markets equity space. Compared to broad emerging market ETFs, QLVE may exhibit lower volatility but potentially also lower returns during strong bull markets. Its expense ratio of 0.19% is competitive with other specialized emerging market ETFs. The fund's AUM of $0.02 billion is relatively small, which could impact liquidity. Investors should compare QLVE's strategy, holdings, and performance to other emerging market ETFs to determine which fund best aligns with their investment objectives. Past performance does not guarantee future results.
Does QLVE pay dividends?
As of 2026-03-15, QLVE's dividend yield is 0.00%. This indicates that the fund is not currently distributing any dividends to its shareholders. While the underlying companies in the fund's portfolio may pay dividends, these dividends may be reinvested within the fund or offset by fund expenses. Investors seeking current income may want to consider other ETFs with a higher dividend yield. Past performance does not guarantee future results.