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Victory Global Managed Volatility Fund
  • Growth potential from U.S. and foreign markets. 
  • May employ innovative risk management strategies. 
  • Actively managed for you. 



Risk Measures


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Top 10 Holdings

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Sector Diversification

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Country Diversification

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Regional Diversification

The Fund seeks to attain long-term capital appreciation while attempting to reduce volatility during unfavorable market conditions. The fund combines a portfolio of domestic and foreign equity securities, including emerging markets securities, with the use of alternative investment strategies to provide growth with lower volatility. 

Management Team

Mannik S. Dhillon
Mannik S. Dhillon, CFA, CAIA

President, Investment Franchises & Solutions and Head of Product & Strategy

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