There is no doubt that the last decade will be remembered as one of the most interesting in financial history. But what lessons can be learnt in terms of passive investing?
Bank stocks, which have underperformed the equity market recently, were given a boost this morning by a report that a tightening of capital standards may be delayed.
According to a report in this morning’s Daily Telegraph, UK investors are piling back into commercial property funds, despite having endured three years of poor returns.
IndexUniverse's Active Indexer makes a big bet on the 'anti-carry trade.'
In which European equity sector have four of the five largest companies cut or scrapped dividends this year, while share prices have doubled?
Investors focusing solely on a domestic U.S. sector allocation strategy might be missing out.
John Serrapere of Arrow Insights adjusts his portfolio for the troubles to come. M&A funds, VIX ETNs and commodities are attractive.
With another US$464 million of inflows to European sector equity ETFs last week, it looks as though this part of the European market is finally starting to catch up with its US counterpart.
Ignore the dollar and its ugly duckling cousins like the euro; look to emerging markets for growth.
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