(As of 12/31/2025)

BMO Low Volatility International Eq HgC$ ETF (ZLD)

(International Equity)
FundGrade A+® Rating recipient
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Inception Return
(2/10/2016)
7.06 %
YTD Return 9.29 %
NAVPS
(1/14/2026)
$30.04
Change $0.13 / 0.43 %
Growth of $10,000 (As of December 31, 2025)
MER 0.45 %
Assets ($mil) $30.35
Rank (1Yr) 645/787
Std Dev (3Yr) 12.77 %
Volatility Ranking (3Yr) 3/10
RRSP Eligibility Yes
Load No Load
Max Front End -
Max Back End -
Sales Status Open
 
Objective
BMO Low Volatility International Equity Hedged to CAD ETF has been designed to provide exposure to a low beta weighted portfolio of international stocks in developed countries outside of North America. Beta measures the security's sensitivity to market movements.
Fund Manager

BMO Asset Management Inc.

Portfolio Manager

BMO Asset Management Inc.

Sub-Advisor
-
 
Asset Allocation
(As of December 31, 2025)
Sector Allocation
(As of December 31, 2025)
Geographic Allocation
(As of December 31, 2025)
Top 10 Holdings
NameAssetSectorGeographicPercent
BMO Low Volatility International Equ ETF (ZLI)International EquityExchange Traded FundMulti-National99.37%
CAD Currency ForwardCash and EquivalentsCash and Cash EquivalentCanada0.44%
CANADIAN DOLLARCash and EquivalentsCash and Cash EquivalentCanada0.18%
EURO CURRENCYCash and EquivalentsCash and Cash EquivalentOther European0.01%
SINGAPORE DOLLARCash and EquivalentsCash and Cash EquivalentAsia/Pacific Rim0.00%
EUR Currency ForwardCash and EquivalentsCash and Cash EquivalentOther European0.00%
GBP Currency ForwardCash and EquivalentsCash and Cash EquivalentEuropean Union0.00%
HKD Currency ForwardCash and EquivalentsCash and Cash EquivalentAsia/Pacific Rim0.00%
USD Currency ForwardCash and EquivalentsCash and Cash EquivalentUnited States0.00%
DKK Currency ForwardCash and EquivalentsCash and Cash EquivalentEuropean Union0.00%

Performance Data (As of December 31, 2025)
  Return (%) Annualized Return (%)
Return 1 Mth 3 Mth 6 Mth YTD 1 Yr 3 Yr 5 Yr 10 Yr
Fund -0.52 1.34 0.33 9.29 9.29 10.98 7.28 -   
Benchmark 1.29 3.97 11.82 27.50 27.50 17.94 9.81 8.08
Quartile Ranking 4 3 4 4 4 4 3 -

Calendar Return (%) 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
Fund 9.29 11.06 12.61 -7.68 12.64 -5.53 16.88 1.07 12.61 -     
Benchmark 27.50 11.18 15.74 -10.67 8.97 8.01 16.27 -6.81 18.37 -1.70
Quartile Ranking 4 3 3 2 1 4 3 1 4 -

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