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Research

A Pivotal Point?

By Sreekala Kochugovindan | March 19, 2009 Previous inflection points are examined following equity bear markets to determine if there is potential for a sustainable rally.

Intermediate-Term Bottoms Reached?

By John Serrapere | March 16, 2009

The S&P 500 may head back to 850–950 levels over the next few months.

Economics And Equity Markets: A State Of Confusion

By Joseph A. Clark | March 15, 2009

Is this the worst or best time in history to be a buyer?

ETF Outflows Tied To Tax-Swap Moves

By Paul Mazzilli | March 10, 2009

While stock ETFs continue to bleed assets in 2009, commodities and fixed income, along with several alternative assets, prove popular.

Is ETF Growth Good For Gold Bugs?

By Keith Lerner | March 05, 2009

The growth in exchange-traded funds has made it easier for mainstream investors to access the yellow metal. How is that impacting the market?

Discounts And Relative Performance

By Robert Arnott and John West | February 23, 2009

The value of rebalancing.

The Great Depression Ahead?

By Allan Roth | February 17, 2009

In uncertain times, knowing what you don't know is sometimes your best advantage in investing long term.

IndexUniverse's Data Tool Updated

By IndexUniverse Staff | February 13, 2009

IndexUniverse.com's data tool specific to exchange-traded-funds and exchange-traded notes is now updated through 2008.

Defend To Advance: Minsky Moments

By John Serrapere | February 09, 2009

The active indexer reviews the origins of his defensive posture and how to maintain diversification.

Notes On The Quarter: Q4 2008

By Alan E. Rosenfield | February 06, 2009

Although this past year has been a financial struggle, remember that this breeds opportunity.

Mazzilli: More ETF Closings Likely Without Greater Innovation

By Paul Mazzilli | February 03, 2009

The analyst reviews last year's ETF marketplace and looks toward trends as 2009 unfolds.

2008 In Review: Every Rule Has An Exception

By Robert Arnott and John West | January 27, 2009

Viewing volatile 2008 through two focus areas, with an eye toward the future.

'09 Outlook For Emerging Markets

By George Hoguet | January 23, 2009

Despite massive policy intervention in both developed and emerging markets, and likely greater comprehensive policy intervention by the Obama administration, many uncertainties exist.

Volatility Exposure Using Listed Futures

By Gareth Parker, Berlinda Liu, Keith Loggie | January 23, 2009

A background on the construction, replicability and characteristics of the S&P 500 VIX Short-Term Futures Index.

S&P 500 Index At 600?

By Richard Shaw | January 15, 2009 Will the next trend be up, or further down?

Target-Date Fund Adoption

By William E. Nessmith and Stephen P. Utkus | January 07, 2009 This investment vehicle is becoming increasingly popular as a defined contribution plan investment option, particularly as a default investment strategy.

Lessons From 2008

By Larry Swedroe | January 02, 2009

Investment takeaways worth applying in the new year.

The Hidden Value

By Elli Malki | January 02, 2009 Examining the 'margins of safety' between expected return and actual return on equity for index funds.

2009 Outlook: A Winding Road To Recovery

By Keith Lerner | December 23, 2008 Think of the stock market as a continuum, not a start and end point dictated by a calendar shift.

All That Glitters Isn't Gold

By Larry Swedroe | December 22, 2008 While gold's provided a positive real return over the long term, the price movement is too volatile to be an effective inflation hedge.
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