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Legg Mason Inks Three Deals in Bid to Diversify Revenue Stream

Legg Mason executives raced to complete three transactions ahead of an investor day Friday
January 22, 2016--Legg Mason Inc. signed three new deals in a continuing bid to bolster its stable of money-management businesses.

Following an introduction last year from influential shareholder Nelson Peltz, the Baltimore-based firm said it is merging EnTrust Capital, a firm based in New York that invests clients' money in hedge funds, with its existing fund-of-hedge-funds business, Permal Group.

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Source: Wall Street Journal


Latin America and the Caribbean in 2016: Adjusting to a Harsher Reality

January 22, 2016--It's been a rough start to 2016, as seen by the recent bouts of financial volatility, stemming from uncertainties related to the slowdown in China, lower commodity prices, and divergent monetary policy in advanced economies.

The global recovery continues to struggle to gain its footing, with strains in some large emerging market economies weighing on growth prospects.

For Latin America and the Caribbean, growth in 2016 is now expected to be negative for the second consecutive year-the first time since the debt crisis of 1982-83, which triggered the "lost decade" for the region.

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Source: IMF


Legg Mason Acquires Stake in Precidian Investments, Upping Ante in Battle for Hybrid Funds

January 22, 2016--Asset managers' dogfight over a new breed of ETF-hybrid funds intensified Friday after Legg Mason (LM) announced that it had acquired a minority stake in Precidian Investments.

Precidian is seeking regulatory approval for a fund structure that would allow stockpickers to shield holdings from daily public viewing and investors to buy or sell intraday, like an exchange-traded fund. The Precidian model would compete directly with Eaton Vance's (EV) "exchange-traded managed funds," the first of which are slated to launch early this year.

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Source: Barron's


Infographic-Canadian Venture Stocks Trade at Lowest Volume in a Decade

The last time volume was this low, iphones didn't exist
January 22, 2016--During last year's plunge in commodity prices, the global benchmark exchange for junior resources recorded its lowest average daily trading volume in over a decade.<

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Source: visualcapitalist.com


IRON Funds launches Equity Premium Income Fund (CALLX)

January 22, 2016--IRON Funds announced the launch of the IRON Equity Premium Income Fund (NSDQ: CALLX, CALIX) on October 30, 2015.

The objective of the Fund is to provide superior risk-adjusted total return relative to the CBOE S&P 500(R) BuyWrite Index (BXMSM) by utilizing an actively managed options overlay strategy on the underlying exchange traded index fund.

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Source: IRON Financial


REX Shares, LLC Announces Collaboration On New MLP Exchange-Traded Products With United States Commodity Funds LLC

January 21, 2015--REX Shares, LLC (REX) today announced it has signed an agreement with United States Commodity Funds LLC (USCF), a sponsor with $4.4 billion of exchange-traded products under management, to work with USCF to develop a series of innovative exchange-traded products providing exposure to master limited partnerships (MLPs).

The new exchange-traded products will seek to provide investors with exposure to investments in securities of MLPs using listed futures contracts on the S&P MLP Index.

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Source: REX Shares, LLC


U.S. Institutional Investors Plan to Increase and Broaden Use of ETFs in 2016, According to Greenwich Associates Study

January 20, 2016--U.S. institutions plan to increase their use of ETFs in 2016 according to a new report, Institutional Investment in ETFs: Versatility Fuels Growth from Greenwich Associates.

The study, which is in its fifth year and sponsored by BlackRock, found that institutions are increasingly using ETFs for longer-term, strategic allocations as well as cost-effective replacements for bonds and derivatives.

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Source: BlackRock


Canadian Institutions and Asset Managers Among World's Most Active, Sophisticated ETF Investors: Greenwich Report

New Study Reveals Majority of Institutional ETF Assets Are Strategic
Canadian Institutions Lead the U.S. and Europe in Fixed Income and Smart Beta ETF Use January 20, 2015--Canadian institutional investors are increasingly using exchange-traded funds (ETFs) for strategic asset allocations, and are leading the world in the innovative application of ETFs to realize their investment strategies-even beyond equities-according to the Greenwich Associates 2015 Canadian Exchange-Traded Funds study.

In its third annual survey of institutional ETF use, sponsored by BlackRock Asset Management Canada Limited (BlackRock Canada), Greenwich Associates found that participating institutions hold just over one-fifth -21.2 per cent- of total assets in ETFs, while asset managers allocate on average more than a quarter of total assets under management to the funds. Despite that already-strong usage, nearly a third of those surveyed plan to increase their ETF allocations in the coming year.

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Source: BlackRock


Ropes & Gray Enhances ETF Capabilities

January 20, 2016--Ropes & Gray LLP announced that it has enhanced its exchange-traded fund (ETF) capabilities with the addition of Edward Baer, who has joined the firm's award-winning investment management practice as counsel in San Francisco.

Formerly the chief legal officer for BlackRock's U.S. iShares, Mr. Baer brings to Ropes & Gray's clients a deep familiarity with ETF and mutual fund governance and compliance, and related business and operational issues.

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Source: Ropes & Gray LLP.


Morgan Stanley-US ETF Weekly Update

January 19, 2016--US ETF Weekly Update
Weekly Flows: $2.8 Billion Net Outflows
Third Consecutive Week of Net Outflows
International-Emerging ETFs Lead Outflows
High-conviction ETF Recommendations Slide: No Changes
ETF Assets Stand at $1.9 Trillion, down 8% in 2016
Four ETF Launches Last Week

US-Listed ETFs: Estimated Flows by Market Segment

ETFs posted net outflows of $2.8 bln last week; third consecutive week of net outflows
Last week's net outflows were led by International-Emerging ETFs at $1.8 bln; conversely, Fixed Income ETFs posted net inflows of $1.9 bln, the most of any category we measured
Ten of the 15 categories we measured posted net outflows last week
ETF assets stand at $1.9 tln, down 8% in 2016

13-week flows remain positive among most asset classes; combined $64.7 bln in net inflows
US Large-Cap ETFs have posted $15.2 bln in net inflows over the last 13 weeks, the most of any segment that we measured; the next largest category, International-Developed ETFs, generated net inflows of $14.3 bln
Leveraged/Inverse and Currency ETFs are the two segments of the ETF market to have exhibited net outflows over the last 13 weeks, at a combined $698 mln

US-Listed ETFs: Estimated Largest Flows by Individual ETF

The SPDR S&P 500 ETF (SPY) posted net inflows of $1.2 bln last week, leading all ETFs
The iShares 7-10 Year Treasury Bond ETF (IEF) and the iShares 20+ Year Treasury Bond ETF (TLT) had a combined $1.6 bln in net inflows last week amid elevated equity market volatility
Notably, the Energy Select Sector SPDR (XLE), the largest energy ETF, had net inflows of $730 mln last week and $1.3 bln over the last 13 weeks
Conversely, the iShares iBoxx $ High Yield Corporate Bond ETF (HYG) and the SPDR Barclays High Yield Bond ETF (JNK) had a combined $1.8 bln in net outflows as both products trade in sympathy with oil prices
The iShares MSCI Emerging Markets ETF (EEM) exhibited net outflows of $928 mln last week; EEM is one of the primary ways that institutional investors gain access to emerging market equities via ETFs
The WisdomTree Europe Hedged Equity Fund (HEDJ) and the WisdomTree Japan Hedged Equity Fund (DXJ), two international currency hedged ETFs, had a combined $854 mln in net outflows last week

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Source: Morgan Stanley


SEC Filings


April 16, 2026 Principal Exchange-Traded Funds files with the SEC-Principal Equity Premium Income ETF and Principal Finisterre Emerging Markets Diversified Income ETF
April 16, 2026 SEI Exchange Traded Funds files with the SEC-SEI Ang Research Enhanced U.S. Large Cap ETF
April 16, 2026 GMO ETF Trust files with the SEC-GMO Power Infrastructure ETF
April 16, 2026 First Eagle ETF Trust files with the SEC-First Eagle Small Cap Equity ETF and First Eagle Core Municipal ETF
April 16, 2026 Tidal Trust II files with the SEC-Defiance Daily Target 2X Long [Databricks] ETF and Defiance Daily Target 2X Short [Databricks] ETF

view SEC filings for the Past 7 Days


Europe ETF News


April 08, 2026 Lloyd Capital and HANetf Launch Lloyd International Equity UCITS ETF Tracking the Solactive Lloyd International Equity Index
March 26, 2026 KraneShares Launches California Carbon ETC (KCCA) on London Stock Exchange
March 20, 2026 New ETF and ETP Listings on March 20, 2026, on Deutsche Borse

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Asia ETF News


April 09, 2026 India Remains Among the Fastest-Growing Economies Even As Growth Slows Amid Middle East Conflict; Outlook Vulnerable to Risks and Uncertainty
April 08, 2026 South Asia's Growth Slows Amid Global Headwinds
April 07, 2026 KB Asset Management Launches RISE US AI Electricity Infrastructure Active ETF Tracking the Solactive US AI Electricity Infrastructure Index
April 03, 2026 Japan: 2026 Article IV Consultation-Press Release; Staff Report; and Statement by the Executive Director for Japan
March 31, 2026 Global X China Life Franklin HK-US Equity Select ETF(3428)Listed on HKEX

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Global ETP News


March 30, 2026 Charted: The Global Stock Selloff as Oil Fears Rise
March 30, 2026 How the War in the Middle East Is Affecting Energy, Trade, and Finance
March 26, 2026 Golden Eagle Strategies Releases first Hypergrowth Trend Report, Advancing Hypergrowth Stocks as a Distinct Asset Class
March 26, 2026 OECD Economic Outlook, Interim Report March 2026-Testing Resilience
March 26, 2026 ETFGI Reports Actively Managed ETFs Globally Hit New US$2.15 Trillion Record Amid 71 Straight Months of Net Inflows at the end of February

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Middle East ETP News


April 07, 2026 The Gulf's growth model faces its first true stress test
April 02, 2026 Mideast Stocks: Most Gulf equities retreat on fears of prolonged Middle East conflict
April 01, 2026 Mideast Stocks: Dubai leads Gulf stocks higher on hopes of de-escalation of Iran war
March 31, 2026 UAE space programme at private sector 'tipping point'

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Africa ETF News


April 08, 2026 Sub-Saharan Africa's Growth Holds, But Downside Risks Mount
March 10, 2026 Africa: Government Welcomes Continued Growth in South Africa's Economy

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ESG and Of Interest News


April 08, 2026 Energy Shock and Uncertainty Slow Growth in East Asia and Pacific
April 08, 2026 Economic Growth to Slow in Europe and Central Asia as Risks Rise
April 06, 2026 Global Imbalances: Old Questions, New Answers?
April 02, 2026 OECD Consumer Finance Risk Monitor 2026
March 26, 2026 March 2026 Labor Market Update: How Women Have Closed the Other Workforce Gender Gap

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White Papers


April 06, 2026 IMF-Understanding Global Imbalances
March 17, 2026 50 Investible Opportunities for a New Nature Economy

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