Vanguard Global Minimum Volatility Fund Investor Shares (VMVFX) NASDAQ
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Address
PO Box 2600
Valley Forge, PA 19482
United States of America (the)
Phone
6106691000
Sector
Financial Services
Industry
Asset Management - Global
Employees
N/A
First IPO Date
December 13, 2013
This investment vehicle primarily allocates capital to a diversified portfolio of U.S. and international equities, with the explicit aim of moderating overall volatility compared to the performance of the worldwide stock market. Its strategy for achieving lower risk involves a meticulous assessment of individual stock characteristics, focusing on their inherent risk and their potential to enhance portfolio diversification. Furthermore, the fund actively endeavors to mitigate the majority of currency risks associated with its non-U.S. equity positions through hedging. Although the core objective of this fund is to temper the fluctuations inherent in global stock investments, it's important to set realistic expectations. Investors should not anticipate that a low- or minimum-volatility approach will consistently outperform, or even mirror, the broader global equity market across extended time horizons. Generally, investors can anticipate that a fund employing a minimum volatility strategy will tend to outperform the wider global market during severe economic contractions but conversely, will likely underperform during periods of vigorous market expansion.