The era of excessive spending with cheap credit and a strong currency is over.
Following the popping of the credit bubble, an investigation by the US Department of Justice could lead to significant changes in the credit markets. We take a look at the possible implications for index investors.
Although serious challenges clearly imbue this earnings season, there are also some encouraging factors.
A little common sense is needed when applying Modern Portfolio Theory. Here's a breakdown of what really failed investors in the bear market.
Economic signals suggest that deflation might not be dead yet. Here are some possible investment strategies, just in case.
Proposed funds would offer exposure to ‘mega-cap’ segment of the market.
Now that the dust has settled on the annual Russell rebalance, let’s take a closer look at the shiny new indexes and see what they say about the market.
How have the dividends paid by companies in European sector indices changed since the credit crunch? We take a chart-based look at recent trends.
Money shifts China's way as investment dollars head to Asia in latest Russell reconstitution.
Country classification has gotten really interesting in the past couple of years with the rising interest in emerging and frontier markets. But that's probably just my inner unrepentant nerd talking.
Proposals aiming to reform retirement plans include mandates that employers must offer index funds.
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