SPLV is the S%P 500 Low Volatility ETF
SPLV holds 101 stocks, none are weighted more than 1.26% so it’s pretty evenly weighted.
Sector weight (as of August 2019) is: Utilities 24%, Financials 20%, Real Estate 20%, Staples 10%, Industrials 6%, Technology 5%, Discretionary 5%.
80% are large cap, 20% are mid cap.
In the charts from the December low,
see the bottom panel: SPX (purple) is up 23%, while SPLV (low volatility, green)
is currently the best performer here, up 27%
, and the high volatility (SPHB, high betas, pink) is up 22.9%.