ETFdb Logo
ETFdb Logo
  • ETF Database
  • Channels
    • Themes
      • Active ETF
      • Artificial Intelligence
      • Beyond Basic Beta
      • China Insights
      • Climate Insights
      • Core Strategies
      • Crypto
      • Disruptive Technology
      • Energy Infrastructure
      • ETF Building Blocks
      • ETF Investing
      • ETF Education
      • ETF Strategist
      • Financial Literacy
      • Fixed Income
      • Free Cash Flow
      • Innovative ETFs
      • Institutional Income Strategies
      • Leveraged & Inverse
      • Managed Futures
      • Market Insights
      • Modern Alpha
      • Responsible Investing
      • Retirement Income
      • Tax Efficient Income
    • Asset Class
      • Equity
        • U.S. Equity
        • Int'l Developed
        • Emerging Market Equities
      • Alternatives
        • Commodities
        • Gold/Silver/Critical Minerals
        • Currency
        • Volatility
      • Fixed Income
        • Investment Grade Corporates
        • US Treasuries & TIPS
        • High Yield Corporates
        • Int'l Fixed Income
    • ETF Ecosystem
    • ETFs in Canada
    • Market Outlook Channel
  • Tools
    • ETF Screener
    • ETF Country Exposure Tool
    • ETF Sector Tracker Tool
    • ETF Database Categories
    • Head-To-Head ETF Comparison Tool
    • ETF Stock Exposure Tool
    • ETF Issuer Fund Flows
    • Indexes
    • Mutual Fund To ETF Converter
  • Research
    • ETF Education
    • Equity Investing
    • Dividend ETFs
    • Leveraged ETFs
    • Inverse ETFs
    • Index Education
    • Index Insights
    • Top ETF Sectors
    • Top ETF Issuers
    • Top ETF Industries
  • Webcasts
  • Themes
    • AI ETFs
    • Blockchain ETFs
    • See all Thematic Investing ETF themes
    • ESG Investing
    • Marijuana ETFs
  • Multimedia
    • ETF 360 Video Series
    • ETF of the Week Podcast
    • ETF Prime Podcast
    • Video
  • Company
    • About VettaFi
    • Get VettaFi’ed
  • PRO
    • Pro Content
    • Pro Tools
    • Advanced
    • FAQ
    • Pricing
    • Free Sign Up
    • Login
  1. Core Strategies Channel
  2. Mitigate Geopolitical Risk With This Low Volatility ETF
Core Strategies Channel
Share

Mitigate Geopolitical Risk With This Low Volatility ETF

Ben HernandezOct 18, 2023
2023-10-18

As if high interest rates and inflation aren’t enough, investors today are also faced with geopolitical risk. This can add a large dose of volatility to the capital markets. But that can be mitigated with the right strategy, or even one fund.

Risk mitigation is even more imperative than ever given current macroeconomic conditions. On top of that, other forces beyond an investor’s control exist beyond domestic borders in the form of geopolitical risk.

“Rarely since the 1970s has the global economy seemed so turbulent. The march of globalisation has slowed,” a Financial Times article said. “The dual shocks of the Covid-19 pandemic and Russia’s invasion of Ukraine have muddied monetary policy and upset energy markets and supply chains. Economic nationalism, U.S.-China tensions, and fragmentation have taken root.”

Outside forces that can move markets also include climate change. More nations shifting from fossil fuels to alternative energy sources as a means to lowering their carbon footprint can also add an additional dose of volatility.

“Governments are taking a bigger role in economic management, particularly faced with the urgency of the climate transition,” the FT article added. “The tragic return of conflict to the Middle East only underscores the pattern of rising geopolitical risk.”

Smooth Out Volatility With This Low Volatility ETF

To mitigate against wild market fluctuations, investors can employ a wide variety of strategies, from adding more safe haven assets or resorting to more complex trading methodologies, like options, to offset the downside. However, there’s an easier solution that’s available in one exchange-traded fund: the American Century Low Volatility ETF (LVOL B-).

Due to its active management, LVOL offers  dynamic exposure at a low-cost expense ratio of 0.29%. Active management allows for changes to fund holdings on the fly, allowing for market flexibility when volatility strikes.

As far as its holdings go, the fund screens for asymmetric, or downside, volatility and invests in companies with strong, steady growth. Furthermore, its focus is on strong fundamentals, wherein companies exhibit strong balance sheets with sustainable profit potential.

Its rebalancing strategy also gives LVOL pliability in the market when equities prices fluctuate wildly during heavy volatility. Like the American Century Focused Large Cap Value ETF (FLV B), that flexibility is also attributed to its active management component.

For more news, information, and analysis, visit the Core Strategies Channel.


Content continues below advertisement

Loading Articles...
Our Sites
  • VettaFi
  • Advisor Perspectives
  • ETF Trends
Tools
  • ETF Screener
  • Mutual Fund to ETF Converter
  • Head-To-Head ETF Comparison
  • ETF Country Exposure Tool
  • ETF Stock Exposure Tool
  • ETF Database Pro
More Tools
  • Financial Advisor & RIA Center
Explore ETFs
  • ETF News
  • ETF Category Reports
  • Premium Articles
  • Alphabetical Listing of ETFs
  • Browse ETFs by ETF Database Category
  • Browse ETFs by Index
  • Browse ETFs by Issuer
  • Compare ETFs
Information
  • Contact Us
  • Terms of Use and Privacy Policy
  • © 2023 VettaFi LLC. All rights reserved.

Advertisement

Is Your Portfolio Positioned With Enough Global Exposure?

ETF Education Channel

How to Allocate Commodities in Portfolios

Tom LydonApr 26, 2022
2022-04-26

A long-running debate in asset allocation circles is how much of a portfolio an investor should...

Core Strategies Channel

Why ETFs Experience Limit Up/Down Protections

Karrie GordonMay 13, 2022
2022-05-13

In a digital age where information moves in milliseconds and millions of participants can transact...

}
X