
FlexShares Developed Markets Low Volatility Climate
(QVFD)
£21.80
Previous business day’s close price
+£3.54 (+19.37%)
max available period
£18.26
£24.87
16 Mar 21
21 Sep 23
Details
This ETF tracks a selection of companies from developed countries worldwide that is optimised according to low volatility and ESG criteria (environmental, social and corporate governance), via the iSTOXX Northern Trust Developed Markets Low Volatility Climate ESG index. This ETF reinvests income.
Ticker: QVFD
ISIN: IE00BMYDBG17
Ticker: QVFD
ISIN: IE00BMYDBG17
Key information
ETF Breakdown

Apple Inc
4.6%

Microsoft Corporation
4.1%

Johnson&Johnson
2.2%

Visa
2.2%

Mastercard Incorporated
2.1%

Merck&Co Inc
2.0%

Alphabet Inc
2.0%

McDonald`s Corp
1.8%

Meta Platforms Inc
1.3%

JPMorgan Chase&Co.
1.3%

AMGEN Inc.
1.2%

Union Pacific Corp.
1.1%

Bristol‑Myers Squibb Co.
1.1%

Automatic Data Processing Inc.
1.0%

Dell Technologies Inc
1.0%

Elevance Health Inc
1.0%

TJX Companies, Inc.
1.0%

Morgan Stanley
1.0%

Abbott Laboratories
0.9%

Walmart Inc
0.9%

Cigna Group (The)
0.9%

NVIDIA Corp
0.9%

PepsiCo Inc
0.9%

RELX Plc
0.9%

Gaztransport Et Technigaz
0.9%

Cadence Design Systems, Inc.
0.9%

DBS Group Holdings Ltd
0.9%

Vmware Inc.
0.9%

L`Oreal
0.8%

Zurich Insurance Group AG Ltd
0.8%

Metlife Inc
0.8%

Colgate‑Palmolive Co.
0.8%

Autozone Inc.
0.8%

J Front Retailing Co Ltd
0.8%

Industria De Diseno Textil SA
0.8%

Wolters Kluwers NV
0.8%

Comsys Holdings Co
0.8%

Waste Management, Inc.
0.8%

Clariant AG
0.8%

Kimberly‑Clark Corp.
0.8%

CSX Corp.
0.8%

Consolidated Edison, Inc.
0.8%

Hartford Financial Services Group Inc.
0.8%

Unitedhealth Group Inc
0.8%

Snam S.p.A.
0.8%

Biogen Inc
0.8%

Yum Brands Inc.
0.8%

Amerisource Bergen Corp.
0.7%

Swisscom AG
0.7%

General Mills, Inc.
0.7%

Contact Energy Ltd
0.7%

GEA Group AG
0.7%

Norfolk Southern Corp.
0.7%

HP Inc
0.7%

Amdocs Ltd
0.7%

Elisa Oyj
0.7%

Sap SE
0.7%

HSBC Holdings plc
0.6%

Accenture plc
0.6%

Koninklijke KPN NV
0.6%

Amazon.com Inc.
0.6%

Abbvie Inc
0.6%

Verizon Communications Inc
0.6%

Exxon Mobil Corp.
0.6%

International Business Machines Corp.
0.6%

Clorox Co.
0.6%

Kao
0.6%

S&P Global Inc
0.5%

Enphase Energy Inc
0.5%

Medtronic Plc
0.5%

Obayashi Corporation
0.5%

Cisco Systems, Inc.
0.4%

Canadian National Railway Co.
0.4%

Next plc.
0.4%

Japan Prime Realty Investment
0.4%

Procter&Gamble Co.
0.4%

Allianz SE
0.4%

AIA Group Limited
0.4%

Broadcom Inc
0.4%

Kellogg Co
0.4%

Equinix Inc
0.4%

Royal Bank Of Canada
0.4%

Home Depot, Inc.
0.4%

Munich Re
0.4%

Nestle SA
0.4%

Iberdrola S.A.
0.4%

Moody`s Corp.
0.3%

Takeda Pharmaceutical Co
0.3%

Ecolab, Inc.
0.3%

Axa
0.3%

SoftBank Corp.
0.3%

East Japan Railway Company
0.3%

Akamai Technologies Inc
0.3%

NEC
0.3%

Kinder Morgan Inc
0.3%

Novo Nordisk
0.3%

JXTG Holdings
0.3%

Hewlett Packard Enterprise Co
0.3%

SCSK Corp
0.3%

Netapp Inc
0.3%

Bridgestone Corporation
0.3%

Tractor Supply Co.
0.3%

Swiss Re Ltd
0.3%

Tesla Inc
0.3%

First Bancshares Inc (Missouri)
0.3%

Brambles Ltd
0.3%

Avery Dennison Corp.
0.3%

Sekisui House Ltd.
0.3%

La Francaise Des Jeux S.A.
0.3%

AECOM
0.3%

Canon Inc.
0.3%

Pearson plc
0.3%

Transurban Group
0.3%

NN Group NV
0.3%

Informa Plc
0.3%

Newmont Corp
0.3%

Henkel AG&Co. KGAA
0.3%

Taisei Corporation
0.3%

Nasdaq Inc
0.3%

ASML Holding NV
0.3%

EDP‑Energias DE Portugal S.A.
0.3%

Yum China Holdings Inc
0.3%

QBE Insurance Group
0.3%

Seiko Epson Corp
0.3%

Worley Limited
0.3%

Yamada Denki Co
0.3%

Aviva Plc
0.3%

Eversource Energy
0.2%

Enagas SA
0.2%

Travelers Companies Inc.
0.2%

Sands China Ltd
0.2%

Ricoh Company Ltd
0.2%

Teijin Ltd
0.2%

ASR Nederland NV
0.2%

Getlink SE
0.2%

Nomura Real Estate Master Fund
0.2%

Kirin Holdings Co., Ltd.
0.2%

Fujitsu Limited
0.2%

Hang Seng Bank Ltd.
0.2%
Huanxi Media Group Ltd
0.2%

Link Real Estate Investment Trust
0.2%

Swire Properties Limited
0.2%

Interpublic Group of Companies Inc
0.2%

TietoEVRY Corporation
0.2%

Johnson Matthey plc
0.2%

Jardine Cycle&Carriage Limited
0.2%

Adobe Inc
0.2%

Estée Lauder
0.2%

Hongkong Land Holdings Ltd.
0.2%

Coca‑Cola Co
0.2%

NGK Spark Plug Co. Ltd.
0.2%

CVS Health Corp
0.2%

Orsted A/S
0.2%

Comfortdelgro Corporation Limited
0.2%

Roche Holding AG
0.2%

Astrazeneca plc
0.2%

Target Corp
0.2%

Novartis AG
0.2%

Regeneron Pharmaceuticals, Inc.
0.2%

Pfizer Inc.
0.1%

Linde Plc
0.1%

IG Group Holdings Plc
0.1%

Marui Group Co., Ltd.
0.1%

Nitto Denko Corporation
0.1%

Comcast Corp
0.1%

Dai Nippon Printing Co Ltd
< 0.1%

NIB Holdings Limited
< 0.1%

Salesforce Inc
< 0.1%

EBay Inc.
< 0.1%

TotalEnergies SE
< 0.1%

BHP Group Plc
< 0.1%

Toshiba Corporation
< 0.1%

Infratil Ltd
< 0.1%

Lowe’s Companies
< 0.1%

Verbund AG
< 0.1%

Nankai Electric Railway Co. Ltd.
< 0.1%

Unilever plc
< 0.1%

Conoco Phillips
< 0.1%

Nike, Inc.
< 0.1%

Caterpillar Inc.
< 0.1%

Amadeus IT Group S.A.
< 0.1%

AT&T, Inc.
< 0.1%
Others
2.9%
No holdings found.
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North America
64.3%
Europe ex‑UK
14.8%
Japan
8.3%
UK
5.0%
Asia ex‑Japan
4.2%
Rest of the World
3.4%
Technology
21.6%
Financial
19.8%
Industrial
15.5%
Consumer
9.3%
Healthcare
6.7%
Energy
2.6%
Mining
1.2%
Property
0.2%
Sector ‐ Other
23.1%
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