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FTSE announces first emerging markets indexes with China A shares exposure
Allows institutional investors to add an initial increment of China A shares exposure to their emerging markets benchmarks.
How to work infrastructure funds into clients’ portfolios
Three allocation strategies that could let clients tap into the global infrastructure boom
Fidelity, Pimco, Capital Group hit by big losses in Brazilian oil company bonds
Pimco, Fidelity and Capital Group are the biggest holders of Petrobras' 100-year bonds, which are down 15% since June, four times the average loss for emerging-market debt.
ETFs having a tough year after roaring 2014
Only 10% in positive territory while at this time last year, 66% of ETFs were up.
Emerging-market investors ran to the exits in the third quarter
Breakfast with Benjamin: Investors gave no love to emerging market economies in the third quarter, as they saw the biggest quarterly outflows since 2008.
What markets to watch when the Fed hands down its rate decision
Breakfast with Benjamin: 'The decision' for Fed on interest rates could rock these 6 markets.
Franklin Templeton’s Hasenstab says assets are cheap, bets big on emerging markets
Money manager's view contrasts with some big hedge fund managers who see beginnings of bear market
Franklin Templeton posts worst fund outflows in decades
Bold bets, market fears have investors heading for the exits despite longer-term outperformance.
A bucket strategy for retirement
Breakfast with Benjamin: Here's a new way to think about building a portfolio for your retired clients using the old bucket strategy. Three buckets for three timeframes
DoubleLine’s Gundlach outperforms Loomis’ Fuss and Janus’ Gross in recent market rout
Jeffrey Gundlach's $48.2 billion DoubleLine Total Return Bond Fund returned 0.7% over the past month while his peers showed losses.
In Puerto Rico, a good thing gone bad for UBS
Investor claims pile up as the territory sinks in the downward spiral of a government debt crisis.
Go-anywhere bond funds have failed to go anywhere positive over the past year
Breakfast with Benjamin: Nontraditional bond funds that sounded too good to be true are looking like a bust, so far.
Finding hidden gems in global small caps
They're less expensive than their U.S. counterparts and can lower portfolio volatility.
In hindsight, China’s market meltdown wasn’t really that bad
Breakfast with Benjamin: Now that the dust has started to settle, China's stock market meltdown doesn't seem all that awful.
Global financial turmoil brings the Fed’s plan into focus
Breakfast with Benjamin: Asia's biggest economy is slowing, the Fed is about to kick off an interest rate tightening cycle, and China has just devalued its currency. Is the current market turmoil foreshadowing yet another region-wide bust?
Gloom overshadows Wall Street, but some economists still see a September rate hike
Breakfast with Benjamin: Despite the mood on Wall Street getting downright gloomy, some economists still think the Fed will raise interest rates next month.
Advisers hold steady on equities despite seeing more drops ahead
InvestmentNews survey shows most financial professionals in "wait and see" mode, while some consider rebalancing. (Don't miss: Investors react to market's move.)
Fear and greed swamp stocks as volatility spikes
Panic selling off the opening bell leads to investors buying the drop but more losses possible as all eyes focus on China's problems.
Japan market opportunity: Hidden in plain sight
Many American investors are still underinvested in Japan despite the fact that stocks there have the best valuations and fastest earnings growth of any developed market in the world. Here's why.
Bill Gross tweaks ‘shorts of a lifetime’ — causing Janus fund to rise
China's Shenzhen Composite Index, having more than doubled in 2015, began declining about a week after the legendary bond manager made a prediction that Chinese stocks were overheated and poised to fall, and it has since plunged about 27%.