LSV Global Managed Volatility Fund

Quarterly Returns (%)
Years Q1 Q2 Q3 Q4 Annual
2014 0 0.6 -1.59 1.88 0
2015 0.5 0.9 -8.5 2.05 -5.31
2016 5.71 2.14 2.49 -0.01 10.64
2017 5.34 2.63 3.39 5.9 18.68
2018 -0.71 0.09 5.79 -8.9 -6.46
2019 8.61 0.54 0.27 -1.34 9.2
2020 -23.28 10.63 0.01 8.74 -7.16
2021 7.95 5.27 -3.32 4.41 14.05
2022 0.51 -8 -8.97 10.77 -6.76
2023 1.83 1.98 -0.97 -6.93 -5.14
2024 7.45 -0.45 0 0 -2.51