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Summary The global economy has been hit by several headwinds, almost all of them leading back to higher inflation. Europe is likely already in recession, the U.S. will enter recession in Q2 2023, while China struggles to make recovery headway. Markets have faced up to the reality ...
Summary Barclays Aggregate is down almost as much as the S&P 500 YTD. As of 10/31/22, the YTD return on high yield is far better than the return on corporate high-grade. There is relative value being created in the various bond market asset classes. Looking at th...
Summary Rising bond yields this year have seen many market analysts reach for a famous fixed income quote. Fixed income markets are facing one risk that they cannot face down. Fixed income markets are not only unable to face down or ignore SI issues, but they are also assimila...
Summary The impact of market volatility on the ESG sector. How energy insecurity is affecting the outlook for ESG? Should ESG funds should still be part of your portfolio? Interest in ESG funds has been growing for some time. But will that momentum continue a...
Summary Financial markets have entered a period of head-spinning volatility. Consumer inflation remains at record highs across major developed economies. Higher yields will bring new income-generating opportunities and significant shifts in risk-return assessments. ...
Summary For the most part, 2022 has unfolded largely on script, with inflation proving stubborn and the Federal Reserve seeking to cut off the spigot. Despite the general monetary trend toward stiff tightening on a global basis, individual countries continue to initiate moves to s...
Summary The Economist recently highlighted numerous issues with the present state of ESG investing and how it is falling short of its intended goals. Investors face challenges understanding the nuances of ESG strategies and what the strategies they invest in are accomplishing. ...
Summary Many investors think frontier markets are too risky, but strategically overweighting these markets in an emerging markets debt portfolio could offer higher return potential. If we look at the historical default rates in sovereign and in frontiers specifically, we believe t...
Summary The environmental factors (E) in ESG are dominated by measures of carbon emissions, energy and net zero, but less attention is paid to the use of materials and waste. This, in turn, is reflected in the relatively poor quality of data and associated metrics on waste and rec...
Summary Taming inflation has been a priority in developed markets this year. Positive real rates mean that local bond investors are being compensated for investing in bonds even after accounting for the effect of inflation on returns. Most EM countries are ahead of the U.S. in...
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VanEck Vectors Emerging Markets Aggregate Bond ETF Company Name:
EMAG Stock Symbol:
NYSE Market:
VanEck announced today that it plans to close and liquidate two of its ETFs. On September 14, 2021, the Board of Trustees of the VanEck ETF Trust approved the liquidation and dissolution of the following funds (the “funds”): As the sponsor of VanEck ETFs, VanEck co...
VanEck announced today its distributions per share for its VanEck Vectors ® exchange-traded funds. The following dates apply to distribution declarations for the funds listed below: The majority, and possibly all, of the dividend distributions will be paid out of net in...
VanEck announced today its distributions per share for its VanEck Vectors ® exchange-traded funds. The following dates apply to distribution declarations for the funds listed below: The majority, and possibly all, of the dividend distributions will be paid out of net in...