By Shaun Port |
December 28, 2009
Can active managers help avoid sharp price declines and reduce commodity investment volatility?
By Wilfred J. Hahn |
December 02, 2009
Although gold prices have risen, the seeds of its collapse are already discernible.
By Robert Arnott & John West |
November 25, 2009
Does the rally of the past eight months mean the good ole days are back and that mainstream 60/40 investing is alive and well?
By Robert Arnott and John West |
October 28, 2009
In the ‘take no prisoners’ market of 2008, a ‘don’t just do something, stand there!’ approach would not have been the worst investing method.
By Tyler Mordy |
October 01, 2009
Ignore the dollar and its ugly duckling cousins like the euro; look to emerging markets for growth.
By Robert Arnott and John West |
September 29, 2009
In low-quality rallies, beware of ‘garbage’ floating to the surface.
By Tom Anderson |
September 10, 2009
U.s. exchange-traded fund assets grew more than 3% in August, pushing 2009's year-to-date totals to an unprecedented level.
By Robert Arnott and John West |
August 19, 2009
Eliminating negative alpha should top investors’ ‘to-do’ lists.
By Paul Mazzilli |
August 17, 2009
As uncertainty persists, bonds see surge in flows while commodity ETFs top $20 billion in net inflows by the end of July.
By Yan Zilbering and Donald Bennyhoff |
August 15, 2009
As exchange-traded funds represent a larger share of equity trading volume, many investors wonder if trading is concentrated in just a few funds.
By John Hyland |
August 05, 2009
Here's the transcript of Hyland's presentation with charts and data.
By Michael Latham |
August 04, 2009
iShares' latest analysis includes monthly data and a look at the benefits of investing in fixed-income ETFs.
By J.D. Steinhilber |
August 03, 2009
With the 'easy money' in financial markets already made—thanks to the S&P 500 being up 50% since March—economic recovery will be the key factor in stock market returns.
By John Serrapere |
July 30, 2009
The U.S. economy could face tough times by this time next year. The intersection between politics and business is going to be a key.
By Alexander Redman |
July 22, 2009
Why more investors are turning to emerging market exchange-traded funds.
By Keith Lerner |
July 16, 2009
Although serious challenges clearly imbue this earnings season, there are also some encouraging factors.
By Robert Arnott and John West |
July 14, 2009
A thorough review of asset class valuations reveals many asset classes may have come too far, too fast in the financial market’s recent rally.
By J.D. Steinhilber |
July 06, 2009
Although the economy is beginning to recover, the strength and durability of the rebound remains to be seen.
By Aye M. Soe and Srikant Dash |
June 23, 2009
A study explaining the return differential between the S&P SmallCap 600 and the Russell 2000.
By Keith Lerner |
June 22, 2009
Will it take additional 'less bad news' to move the stock market's needle forward?
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