In this episode of ETF Spotlight, I speak with Kristy Akullian, Head of iShares Investment Strategy for the Americas at BlackRock, the world’s largest asset manager, about investing amid current ...
Ivanna Hampton: Welcome to Investing Insights. I’m your host, Ivanna Hampton. Investing Insights is helping investors navigate market volatility in a new series. Morningstar strategists and authors ...
As markets enter the final stretch of 2025, traders and investors are facing a high-stakes mix of macro uncertainty, sector rotation, and elevated volatility. How can you position tactically — not ...
The CBOE Volatility Index, otherwise known as the Wall Street's fear gauge, is coming off its most volatile week since April. For investors hesitant to ride out the recent wild swings, Invesco senior ...
For years, I’ve believed that volatility is the primary driver of investment. It’s an inarticulate encapsulation of a capital markets theory, but when all the rhetoric is boiled away, volatility ...
I maintain a hold rating on QYLD, noting that high implied volatility in QQQ boosts dividend yields through larger option premiums. QYLD has underperformed the S&P 500, returning 8.3% in the past ...
Invesco Ltd. IVZ has expanded its fixed income ETF lineup with the launch of four new products aimed at helping investors navigate a bond market still grappling with rate volatility and shifting ...
The S&P 500 Top 20 Select Index shows slightly higher average volatility (18.5%) compared to the broader S&P 500 (16.2%) over the past decade. The S&P 500 Top 20 Select Index consistently showed lower ...