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Correlated With Nothing At All
September 12, 2007
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Page 1 of 3
The increasing correlation of everything has been a recurring market theme for much of the last two years. But the combination of a little-known Standard and Poor’s index and the Rydex Managed Futures Strategies Fund (RYMFX) delivers an investment that over more than 20 years of market history—and almost any period within that history—is pretty much uncorrelated with everything. And that includes the investment class it is named for, one of the most historically reliable portfolio diversifiers of all: actively managed, managed futures strategies.
Active futures managers generally fall into two camps: short-term traders, who initiate positions expecting to be out of them within a week and merrily scalp intra-day moves; and long-term traders, who initiate positions hoping to hold them for at least several weeks, and often months, as trends play out.
The latter group is largely responsible for the industry’s overstated reputation for volatility. Risk management will kick them out of positions when inevitable corrections disrupt long-term trends; cutting, sometimes viciously, into profits. |
Summing Sector SPDRS = SPY?
You’d think owning the nine sector SPDRs in proportion to their weightings in the S&P 500 is a way to recreate SPY. But you’d be wrong.Round Two: Pimco Vs. BlackRock
It looks like Pimco and BlackRock are at odds again—this time it’s over QE3.-
VelocityShares Adds 8 Commodities ETNs
February 08, 2012 1:08 pm -
Global X Funds Launches Rainy-Day ETF
February 08, 2012 10:43 am -
UNG Sets 4-For-1 Reverse Share Split
February 06, 2012 8:48 pm -
iShares Plans Multi-Asset Fund-Of-Funds ETF
February 06, 2012 8:31 pm -
iShares Launches Asia ETF, Minus Japan
February 03, 2012 12:33 pm
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Socializing About The Social Media ETF
Paul Baiocchi joins Dave Nadig to talk about where theme funds go astray, and why SOCL might just be the exception.
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