Fund database
MVOLBlackRock

iShares Edge MSCI World Minimum Volatility UCITS ETF (Acc)

30.00%
OCF p.a.
Asset class
Developed Markets
Accumulating
Yes
ISA eligible
Yes
SIPP eligible
Yes
Index tracked
MSCI World Minimum Volatility Index
Replication
Physical
Holdings
300
Domicile
Ireland
Currency
USD
2025 return
+11%
2024 return
+11.08%
2023 return
+7.28%
Data as of
March 2026

About this fund

Selects and weights ~300 developed-market stocks to minimise overall portfolio volatility, using an optimisation model. Tends to overweight defensive sectors like utilities, consumer staples, and healthcare. Accumulating. Historically falls less than the broad market in downturns — useful for risk-averse investors who still want equity exposure but with smoother returns.

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Data sourced from fund factsheets and provider websites. As of March 2026. Not financial advice.