The $11 trillion in assets manager has shifted its recommended allocations to 70% fixed income. It now has more than $1 trillion in funds committed to bonds.
Strategy Shares Nasdaq 7 Handl™ Index ETF aims for a 7% yield via a leveraged, multi-asset fund-of-funds structure. Click here to read why HNDL is a Sell.
CI Global Asset Management launches CI Target Maturity Investment Grade Bond Funds and ETFs, which have fixed maturity dates.
In Q2 2025, the GS Asset Allocation Portfolios posted positive total returns though somewhat underperformed their strategic benchmarks.
In his decades-long career in tech journalism, Dennis has written about nearly every type of hardware and software. He was a founding editor of Ziff Davis’ Computer Select in the 1990s, senior ...
Finance Strategists on MSN
Multi-Asset Income Portfolios
Learn about multi-asset income portfolios, their components, and risks. Construct and manage a diversified portfolio that generates income.
The dollar appears to be under significant pressure, in our view. Not only in the near term, but also in the context of global investors’ strategic asset allocations. The only silver lining is that we ...
An S&P 500 index fund gives investors instant exposure to 500 of America’s largest companies across a wide range of industries, providing diversification without the need for constant monitoring or ...
MoneyWeek on MSN
The great Reit fire sale – where to find the best value
Picton (LSE: PCTN) is a good example. The firm has a quality portfolio, and it’s been able to sell selected assets into the market at or around book value, justifying the portfolio’s overall NAV.
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