U.S. Presidents and Stock Returns
Stock markets react differently to Democrats and Republicans - the question is, why?
- May 18, 2017 September 13, 2019
- 11:58
Stock markets react differently to Democrats and Republicans - the question is, why?
Canada ranks low on Global Climate Index - but it's getting better.
OPTrust CIO talks internalization, smart beta and the risks of complacency.
New study shows UK trustees lack clarity on investment fees and costs – what about Canada?
Economic forecast calls for 3.0% growth.
What are the big risks in the market? And how could the Dodd-Frank rollback help pension funds?
Investors show their love for stocks in January
McKinsey’s new index puts data behind the argument for long-term management.
A few helpful lessons in an uncertain age.
Shows a 5.44 per cent drop in returns under most severe scenario.
Global Risk Institute looks at what's in store for 2017.
New paper from HKIMR looks at the risk of deflation
New research shows a link between political ideology and manager decision-making.
How social connections drive hedge fund performance and behavior
Research: portfolio rebalancing is inconsistent and procyclical
When it comes to new institutional money, which asset classes pulled in the most in 2015?
Two-thirds staying the course despite a bumpy year.
According to Nassim Taleb, Canada still has options despite plunging oil
It's a two-speed global economy and that is affecting where ETF investors are putting their money.
Why cost and tracking error aren't affecting inflows into corporate bond ETFs.
As ETFs hit new milestones, regulatory scrutiny heats up.
August 24 was a bad day for some equity ETFs.
Is your bond ETF exposing you to the weakest links?
Do ETFs lead to a less informed marketplace?