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After the third quarter suddenly sagged, we are seeing optimistic forecasts for the fourth quarter. The key question is - will we sag, like the third quarter, or soar again, like the first two quarters? While there are some catalysts supporting the economy’s strength this quart...
Sustainable investing is very much on the minds of investors across the globe. This year’s survey results show the light for ESG, or sustainable investing, is still flashing green. The number of indices measuring ESG criteria jumped by 43%. Eye-popping ESG index growth over...
COP26 was described as the 'last best chance' to save the planet. Countries' climate plans still don't add up enough to meet the Paris Agreement. Final text does not sufficiently address the financial needs of the most vulnerable countries. For further details see: Good ...
The annual survey has evolved over the years, enabling deeper insights into trends and into how attitudes toward responsible investing have changed since it launched in 2015. An increased number of respondents incorporate ESG considerations into investment decisions when there is a po...
91% of 1,400 companies across 22 jurisdictions report some level of sustainability information and 51% offer some level of assurance. External audit is different from sustainability assurance. There is nothing to pick and choose among: Reporting criteria is definitive and mandatory. ...
The recent run higher in the Sharpe ratio for the Global Market Index finally reversed in October. Risk-adjusted performance has slipped, but GMI's rebound in October lifted it to a new record high. GMI is useful as a baseline to begin research on asset allocation and portfolio de...
As a starting point, a number of data providers, such as MSCI, have created tools that allow us to compare our portfolio’s carbon footprint versus that of a benchmark. Looking at our sustainable portfolio, the carbon footprint is two-thirds that of the benchmark, and a much hig...
The long-run risk premium forecast for the Global Market Index (GMI) rebounded in October, edging up to 6.1%, based on revised numbers through last month. The new estimate is calculated in terms of the projected return over the “risk-free” rate, according to a risk-based...
US real estate investment trusts (REITs) and stocks posted the strongest returns for the major asset classes in October - by wide margins. US REITs surged 7.7% last month, reversing September’s sharp decline. The recovery puts American property shares in the lead for 2021 with ...
We review CEF market valuation and performance over the third full week of October and highlight recent market events. Equity-linked CEF sectors have been supported by strength in equities while higher-quality fixed-income sectors continue to face the headwind of higher Treasury yield...
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2024-07-16 21:04:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...
2024-07-10 09:00:25 ET Stone Harbor Emergin Markets Income Fund (EDF) declaring a stock dividend of $0.06 per share on Ex-Date : July 11, 2024. Shareholders on record as of July 11, 2024 are eligible for the dividend. The payment date is scheduled for July 30, 2024, and the declarat...
Virtus Artificial Intelligence & Technology Opportunities Fund (NYSE: AIO), Virtus Convertible & Income 2024 Target Term Fund (NYSE: CBH), Virtus Convertible & Income Fund (NYSE: NCV), Virtus Convertible & Income Fund II (NYSE: NCZ), Virtus Diversified Income &...