iShares MSCI USA Min Vol Factor ETF (USMV)
99.07
+0.68 (0.69%)
NYSE · Last Trade: Sep 21st, 5:51 PM EDT
Detailed Quote
| Previous Close | 98.39 |
|---|---|
| Open | 98.79 |
| Day's Range | 98.56 - 99.21 |
| 52 Week Range | 91.02 - 102.21 |
| Volume | 1,401,103 |
| Market Cap | 251.34M |
| Dividend & Yield | 1.200 (1.21%) |
| 1 Month Average Volume | 1,523,482 |
Chart
News & Press Releases
While trading activity tends to slow down in the summer, history suggests that downside catalysts can sometimes appear during this time.
Via The Motley Fool · May 24, 2026
You can skip most of the market noise with these funds.
Via The Motley Fool · April 5, 2026
The U.S. economy is showing signs of slowing and recession risk is rising. Here's how to prepare your portfolio.
Via The Motley Fool · March 30, 2026
Teledyne Technologies Shares Jump 10% Today - What’s Behind The Move?stocktwits.com
Via Stocktwits · January 21, 2026
Geopolitical risk and heightened volatility frame how equity investors should approach the next month.
Via The Motley Fool · March 30, 2026
Two ETFs focus on reducing volatility.
Via The Motley Fool · March 23, 2026

From concerns about AI to the conflict in Iran, March has not been an easy month to navigate for investors.
Via The Motley Fool · March 20, 2026
If you're worried about downside risk right now, here are two smart choices.
Via The Motley Fool · March 4, 2026
A minimum volatility ETF could enhance risk-adjusted returns and keep your growth opportunities intact.
Via The Motley Fool · January 7, 2026
September's stock slump has a history. This year, ETFs like SPY, TLT, and VIXY could be at the center as investors hedge against rising volatility.
Via Benzinga · August 29, 2025
Trump's 15% tariff on South Korea imports and $350B investment promise are shaking up ETF market. Look for gains in US infrastructure, industrials, semiconductors, and energy sectors.
Via Benzinga · July 31, 2025
A rare warning signal has reappeared in the market, with a low bull-bear spread and high investor indecision.
Via Benzinga · July 21, 2025
Wall Street's rally faces technical hurdles, with S&P500 and top tech players showing signs of weakness. Market could slump before rebounding.
Via Benzinga · April 25, 2025
JPMorgan's equity strategy: China trade deal, tax cuts, and deregulation may ease tariff concerns, but caution still advised for investors. Buy SPY, QQQ, USMV for upside potential.
Via Benzinga · April 25, 2025
Wall Street has exhibited heightened volatility in recent weeks. Jerome Powell’s recent warnings about severe economic consequences of escalating tariffs have also heightened volatility. Low-volatility ETFs may look appealing in such an environment.
Via Talk Markets · April 19, 2025
Standing alone among US equity factors this year, the low-volatility strategy is holding on to a modest gain year to date.
Via Talk Markets · April 16, 2025
In this week's video, we'll review the latest charts and data to help us answer the question, are we on the cusp of another global financial crisis?
Via Talk Markets · April 5, 2025
In this week's video, we'll review the latest charts and data to help us understand the good, the bad, and the ugly in the stock market.
Via Talk Markets · March 29, 2025
The US stock market is struggling this year, but the low-volatility equity risk premium is still outperforming by a wide margin year to date, based on a set of ETFs.
Via Talk Markets · March 26, 2025
Stocks have been on a roller coaster ride lately as investors struggle to decipher the impact of President Trump’s tariffs.
Via Talk Markets · March 23, 2025
While plummeting stock indexes sent some investors screaming for the exits, others look to shift assets from large-cap tech stocks and cap-weighted ETFs into less volatile investments..
Via Talk Markets · March 16, 2025

Bond market is warning of economic slowdown, causing investors to shift towards defensive assets like ETFs that focus on stability and essential industries.
Via Benzinga · March 10, 2025

The US stock market has turned negative on the year, but you wouldn’t know it by looking at results for the low-volatility equity risk factor.
Via Talk Markets · March 7, 2025

Markets in turmoil as trade war fears reignite, S&P 500 loses $1.5 trillion. Use VIX to hedge, consider low-volatility ETFs, and follow trends.
Via Benzinga · March 4, 2025

President Trump’s tariff plans as well as signs of economic slowdown have made investors jittery. Investors seeking to remain invested in the equity world may want to consider low-volatility ETFs. Here is a brief overview of some such funds.
Via Talk Markets · March 2, 2025