LSV US Managed Volatility Fund

Quarterly Returns (%)
Years Q1 Q2 Q3 Q4 Annual
2014 0 0.5 1.29 7.1 0
2015 0.28 -1.1 -4.28 3.35 -1.9
2016 6.84 3.79 0.09 2.07 13.28
2017 4.08 0.75 2.9 4.78 13.7
2018 -2.15 3.4 8.35 -8.43 -1.81
2019 10.62 1.25 2.46 -3.15 12.27
2020 -23.64 9.85 -1.34 8.48 -10.23
2021 1.85 12.51 -7.6 7.09 13.39
2022 1.29 -6.62 -9.1 2.13 -12.19
2023 0.35 1.56 -2.81 -9.46 -11.19
2024 9.18 -4.49 0 16.7