BLVAX : BMO Low Volatility Equity Fund Class A

BLVAX is a US Stocks Market Large Value with MODERATE fees.

BLVAX

BMO Low Volatility Equity Fund Class A

FI Score

39 /100

Expense Ratio Rating

6 /10

Expense Rating

1 /10

Market Score

4 /10

Category Score

8 /10

Market Size

4 /10

39% FI Score
  • blvax
  • Mutual Fund
  • US Stocks
  • Large Value

BMO Low Volatility Equity Fund Class A

Expenses: 0.90% (Better than 1% of similar funds)

This is a bad choice for a Large Value US Stocks fund. See why »

Fund Summary

The investment seeks to provide capital appreciation. The fund invests at least 80% of its assets in a broadly diversified portfolio of common stocks of large-sized U.S. companies similar in size, at the time of purchase, to those within the Russell 1000® Index. The Adviser selects low volatility, undervalued stocks using a unique approach which combines the use of proprietary analytical tools and the qualitative judgments of the investment team. This strategy seeks to provide the fund with lower downside risk and meaningful upside participation relative to the Russell 1000® Index.

Largest Holdings

Amount Holding
2.80% Newmont Corp
2.63% Eli Lilly and Co
2.49% Sprouts Farmers Market Inc
2.38% Lockheed Martin Corp
2.35% Costco Wholesale Corp
2.34% American Electric Power Co Inc
2.30% PepsiCo Inc
2.30% Pfizer Inc
2.30% Waste Management Inc
2.29% The Kroger Co
2.28% Walmart Inc
2.19% Verizon Communications Inc
2.17% Allstate Corp
2.14% Equity Commonwealth
2.14% Amgen Inc
2.05% Merck & Co Inc
2.05% Entergy Corp
2.04% Gilead Sciences Inc
2.03% AutoZone Inc
2.03% Johnson & Johnson
1.99% Bristol-Myers Squibb Company
1.96% General Mills Inc
1.89% Motorola Solutions Inc
1.87% Exelon Corp
1.79% Public Storage

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