LSVD — LSV Disciplined Value ETF price, holdings and performance

LSV Disciplined Value ETF

LSV Disciplined Value ETF (AMEX: LSVD) is an exchange-traded fund. QuoTrend tracks its price, holdings, performance, fund flows and news.

Latest market price
36.29
+0.00+0.00%
LSVDLSV Disciplined Value ETF·AMEX
36.29+0.00%
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Fund Snapshot
Category-Asset TypeEquityTagsvalueReturn% 1Y39.10%Total Holdings0Perf Week3.36%
SponsorLSVETF TypeTags-Return% 3Y-AUM$617.15MPerf Month4.28%
Fund FamilyBond TypeTags-Return% 5Y-NAV/shPerf Quarter8.88%
Index-Average MaturityTags-Return% 10Y52W High36.44 -0.41%Perf Half Y19.61%
Index WeightingCommodity TypeTags-Return% SI52W Low26.13 38.88%Perf YTD21.94%
Active/PassiveQuant TypeTags-Flows% 1M-0.71%Volatility0.56% 0.44%Perf Year38.41%
Dividend TTM0.10 (0.26%)ESG TypeTags-Flows% 3M5.84%ATR (14)0.34Perf 3Y-
Dividend Ex-DateDec 30, 2025Dividend TypeSector/ThemeFlows% YTD6.51%RSI (14)66.99Perf 5Y-
Dividend Gr. 3/5Y-Structure TypeRegionFlows% 1YBeta1.00Perf 10Y-
Expense0.40%Growth/ValueSMA203.67%Flows% 3YRel Volume0.70Prev Close36.29
Inverse/LeveragedMarket CapSMA504.52%Flows% 5YAvg Volume1.57KPrice36.29
IPO DateDec 17, 2024Option/ShortYes / YesSMA20015.17%52W Range %99%Volume1,101Change0.00%
Holdings Breakdown
View Holdings as
Stocks
37.3%Technology
3.3%Consumer Defensive
13.0%Communication Services
1.9%Energy
12.5%Financial Services
1.4%Basic Materials
12.5%Healthcare
0.8%Utilities
12.1%Consumer Cyclical
0.6%Real Estate
4.5%Industrials
Bonds, Cash & Other
0.0%Cash & Others
Assets Under Management
0200.00M400.00M600.00M800.00MAprJunJulAugSepOctNovDec'26FebMarAprMayJunJulAug
Assets Under Management
Fund

LSVD seeks long-term capital growth by investing in equity securities that are considered undervalued or out-of-favor based on the companys earnings, book value, revenues or cash flow. It may hold securities of any size but will typically hold companies with at least $1 billion in market cap. In constructing the portfolio, the fund uses a quantitative investment model wherein securities are ranked based on fundamental measures of value and indicators of near-term appreciation potential. The model selects securities to include from the higher-ranked stocks and selects stocks to sell from the decreased rankings. Additionally, the undervalued security must also show signs of recent improvement to be considered. In conservatively managing the fund, the adviser restricts the investment model in terms of industry and sector allocations and security weightings relative to the S&P 500 Index benchmark.

Ownership

Per-holder 13F data isn't yet ingested for ETFs — coming with the next data layer expansion. Aggregate ownership shown above.