One of the issues that drives sub-par returns in volatile markets is when investors attempt to time the market. Investing is difficult, and even the smartest people get affected by the cognitive ...
Discover Franklin’s LVHI ETF: international low-volatility, high-dividend strategy with USD FX hedging—ideal for income & ...
Discover how to harness volatility measurements like standard deviation and beta to enhance your investment strategy and ...
SVOL is a short volatility ETF with a return target of -0.2x / -0.3x to the VIX. In my opinion, it is not a “buy & hold” ETF due to its strongly cyclical nature. It has a competitive distribution, ...
Equity ETFs that employ low-volatility strategies will lag when stock markets are surging, as they have in the recent past. But the below-market returns that these factor-based ETFs have mostly ...
In periods such as the global financial crisis, the European debt crisis, the 2015–16 market sell-off, and the Covid-19 shock, this index saw smaller drawdowns compared to the Nifty 100 and Nifty 50.