Foreign Large Blend · BATS · USD · Data as of 2026-05-15
AUM
$5.41B
Expense ratio
0.20%
Yield
3.01%
YTD return
+6.24%
Last price
$91.00
International · Coverage 50% · low
Today
69.0
Outlook
66.5
Block A (composite-derived)
78.4
Block C (market behavior)
74.7
Today overlay (Block D)
0.0
Outlook overlay (Block D)
0.0
today_score = clip(0,100, 50 + 0.15·(A−50) + 0.60·(C−50) + D_today). Block B (holdings rollup) is in Phase 3 development; β=0 caps the natural range at ~12.5–87.5 in Preview v0.9. Formula version tide-etf-v1.0.0.
78.4
Coverage 50% · low
Liquidity
—
Expenses
80.0
Performance
—
Volatility
97.7
Dividend
40.3
Concentration
85.0
Smart Money
—
Activist
—
Formula version composite-v1.0.0. Axes hover to see why a sub-score is missing.
iShares MSCI EAFE Min Vol Factor ETF (EFAV) is an exchange-traded fund from iShares in the Mixed asset class. Launched in 2011. Assets under management: 5,409,297,408.
The fund tracks the MSCI EAFE Minimum Volatility.
Bullish Whales composite rating: 78 out of 100. Evidence coverage 50% across 4 of 8 axes. Strongest axes: volatility, concentration, expenses.
Annualized one-year realized volatility 10%, classified low. Weakest axes: dividend, expenses.
Top-10 weight 0%, diversified, led by ENI. Trailing yield 0%.
etf_composite_score_current · composite_score, concentration_score, confidence, coverage_pct, dividend_score, expenses_score, volatility_scoreetf_fundamentals_td · dividend_frequency, yieldetf_holdings_top10 · holding_symbol, weightetf_universe · asset_class, aum_usd, benchmark, benchmark_provider, fund_type, inception_date, issuer, name, replication_method, ticker, volatility_1yiShares MSCI EAFE Min Vol Factor ETF is an exchange-traded fund that tracks the MSCI EAFE Minimum Volatility (USD) Index, focusing on developed market equities outside the U.S. and Canada with lower volatility characteristics. Its primary function is to provide investors with equity exposure to regions in Europe, Australasia, Far East, and Asia while aiming to reduce risk through stock selection exhibiting lower return variability compared to the broader MSCI EAFE Index. Notable features include a low expense ratio of 0.20%, semi-annual distributions, and a diversified portfolio of approximately 233 holdings, emphasizing stability with metrics like a 3-year equity beta of 0.42 and standard deviation of 11.72%. The fund impacts sectors across international developed markets, serving as a core component for portfolios seeking global diversification with controlled market fluctuations. In the financial market, iShares MSCI EAFE Min Vol Factor ETF plays a key role in risk-managed strategies, offering a defensive alternative to cap-weighted international benchmarks and appealing to those prioritizing downside protection alongside long-term growth potential. It does not pursue ESG or sustainable strategies.
Net AUM change history is not yet available for this ETF. Fund-flow time series is a Phase B deliverable.
Current AUM: $5,409,297,408. AUM change is computed from rolling daily fundamentals snapshots; it reflects total net-asset deltas (creations/redemptions + market value moves), not pure share creations.
Fund documents (fact sheets, prospectuses, semi-annual reports) for EFAV are coming soon. The BW fund-document archive will surface PDFs alongside a metadata index for searchability.