What are these measures and what do they say about the scheme? The portfolio turnover ratio is the percentage of investments a fund manager replaces in a mutual fund scheme over a year.
BNY Mellon introduces new ETF (BKCG) targeting long-term growth through large-cap companies. The subadvisor focuses on ...
Unemployment Rate for Feb in Mexico is 2.5%, lower than the previous value of 2.7%. The forecast was 2.6%.
VIOG, a passively managed ETF, aims to track the S&P 600 small-cap growth index but has underperformed its benchmark and ...
One United Properties (BVB: ONE), the leading green developer of residential, mixed-use, and office real estate in Romania, ...
The Schwab U.S. REIT ETF offers a low expense ratio of 0.07%, with quarterly dividends currently yielding 3.15%. Click here ...
The Securities and Exchange Commission of Pakistan (SECP) has issued a circular introducing enhanced disclosure requirements ...
Lexington Partners' Clark Peterson on how the secondary market remains undercapitalized, setting the stage for a robust buyer ...
Competition in the passive index fund space is intense. While active managers try to stand out with performance, strategy or brand reputation, index fund providers compete primarily on scale and fees.
However, turnover remains low at just 2.3%, which makes the fund tax efficient. It charges the same 0.04% expense ratio. Historically, VFIAX has produced returns very similar to VTSAX. Because ...
A low success ratio provides us insight into the relatively limited success of the firm's product offerings. Catalyst has had high portfolio management turnover over the past five years compared ...
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