QLV — FlexShares US Quality Low Volatility Index Fund

US equity
79.98 +0.24% today
USD · as of 2026-08-21

Price · 2024-08-26 → 2026-08-21

499 daily closes shown
52w low 70.27 · high 80.25

Anonymous view is capped at two years of history. A free account extends it to five, and Pro opens the whole archive back to 2019-07-16.

Performance

1 day+0.24%
1 week+0.11%
1 month+4.24%
3 months+5.19%
6 months+7.46%
Year to date+11.48%
1 year+13.69%
3 years+50.08%
5 years+50.65%

Technicals

RSI 1469.6
vs 50-day avg+3.41%
vs 200-day avg+7.52%
Volatility 1y7.9%
Max drawdown 1y-6.49%
Avg volume 30d6.4K
Daily bars held1,786
History from2019-07-16

Dividends

Yield (trailing 12m)1.49%
Paid last 12m1.1885
Payments in 12m4
Paying since2019-09-20

Largest institutional holders

managervalueshares
NORTHERN TRUST CORP64.5M896.6K
BANK OF AMERICA CORP /DE/14.3M199.2K
LPL Financial LLC10.6M147.9K
MORGAN STANLEY3.9M53.8K
United Bank3.2M44.9K
PEOPLES FINANCIAL SERVICES CORP.2.4M34.0K
Rossby Financial, LCC1.9M25.9K
RAYMOND JAMES FINANCIAL INC1.7M23.0K
Private Advisor Group, LLC1.3M18.1K
Crestwood Advisors Group, LLC1.2M17.3K

13F positions as of 2026-03-31, filed up to 45 days after quarter end. Long-only US equity — shorts and derivatives never appear. What 13F does and does not show →

Short selling

Avg short volume, 90d34.6% of tape
Days observed61

This is off-exchange short volume, not short interest: it is flow, not position, and 40–50% is normal because market makers short to fill your buy. Why that number misleads →

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