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CFTC.gov Commitments of Traders Reports Update

February 27, 2015--The current reports for the week of February 24, 2015 are now available.

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Source: CFTC.gov


Preliminary Report On Foreign Holdings Of U.S. Securities At End-June 2014

February 27, 2015--Preliminary data from the June 2014 benchmark survey of foreign portfolio holdings of U.S. securities were released today. Final survey results, which will include additional detail as well as possible revisions to the preliminary data, will be reported on April 30, 2015.

The survey was undertaken jointly by Treasury, the Federal Reserve Bank of New York, and the Board of Governors of the Federal Reserve System. The next annual survey will cover holdings at the end of June 2015; preliminary data are expected to be released by February 29, 2016.

Complementary surveys measuring U.S. holdings of foreign securities are also carried out annually. Data from the most recent survey, reporting on securities held at year-end 2014, are currently being processed. Preliminary results are expected to be reported by August 31, 2015.

Overall Preliminary Results
The survey measured the value of foreign holdings of U.S. securities as of June 30, 2014, to be $16,397 billion, with $6,356 billion held in U.S. equities, $9,162 billion in U.S. long-term debt securities [1] (of which $1,064 billion are holdings of asset-backed securities (ABS) [2] and $8,098 billion are holdings of non-ABS securities), and $879 billion held in U.S. short-term debt securities.

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Source: US Department of the Treasury


S&P Dow Jones Indices-Latin America Index Dashboard

February 27, 2015--Latin American equities bounced back in February. The S&P Latin America BMI and the S&P MILA Pacific Alliance Composite gained 4% and 5%, respectively. Mexico and Chile were the strongest performers, ending the month up 7% and 6%, respectively.

Globally, developed markets ended the month up 6%, while emerging markets were up 3%. Frontier markets rebounded following a weak start to the year, gaining 3% in February. Australia had a stellar month, gaining 7%.

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Source: S&P Dow Jones Indices


S&P Dow Jones Indices-Canada Index Dashboard

February 27, 2015--Canadian equities continued their strong performance in 2015, with the S&P/TSX Composite and the S&P/TSX 60 both gaining 4% in February.

Rebounding from last month's decline, February was a strong month for U.S. equities. The Dow Jones Industrial Average® and the S&P 500(R) both jumped 6%.

The Dow Jones Commodity Index and the S&P GSCI gained 3% and 6%, respectively. Bucking the recent trend, the Energy sector ended the month up 11%.

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Source: S&P Dow Jones Indices


Global X Funds Announces Share Split For The Global X GF China Bond ETF (CHNB)

February 27, 2015--Global X Funds, the New York based provider of exchange traded funds (ETFs), announced today that its Board of Trustees has approved a share split for the Global X GF China Bond ETF (NYSE Arca: CHNB).

CHNB is the first US-listed ETF to provide access to China's onshore bond market. The total market value of the shares outstanding will not be affected as a result of this split, except with respect to the redemption of fractional shares...

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Source: Global X Funds


Vanguard to Diversify Managed Payout Offering with Liquid Alternative Investments

February 27, 2015--Vanguard plans to further diversify the $1.6 billion Vanguard Managed Payout Fund by adding a new offering, Vanguard Alternative Strategies Fund. The firm filed a registration statement for the new fund with the U.S. Securities and Exchange Commission this morning.

It is expected to be available in the second quarter.

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Source: Vanguard


Regulators mull Fund Facts for ETFs

February 26, 2015--Securities regulators expect to publish proposals later this year that will require exchange-traded funds (ETFs) to provide investors with their own version of Fund Facts disclosure documents, according to an Ontario Securities Commission (OSC) report.

They're also reviewing mutual funds' distribution policies, short-term trading fees, and the growing structured note business.

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Source: Investment Executive


What to expect after fund-fee rule changes

February 26, 2015--At some point after July of 2016, when investors open their account statements, they will see the result of new rules requiring investment and mutual fund dealers to report annually in writing to clients about the cost and performance of their investments.

The changes are part of the Canadian Securities Administrators' Client Relationship Model, Phase 2, or CRM2. Of the two reports, the one outlining fees and commissions is expected to get the biggest response.

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Source: Globe and Mail


BATS Exchange welcomes new iShares ETF

iShares U.S. Fixed Income Balanced Risk ETF (INC) Begins Trading Today on BATS Exchange
February 26, 2015- BATS Global Markets (BATS), a leading operator of securities markets in the U.S. and Europe, today announced that the iShares U.S. Fixed Income Balanced Risk ETF (BATS: INC) begins trading today on BATS Exchange.

The iShares U.S. Fixed Income Balanced Risk ETF is the first iShares smart beta ETF for the fixed income market. The fund seeks to balance interest rate risk and credit risk, the two primary drivers of bond returns. The fund will invest in a diversified portfolio of corporate bonds, U.S. Treasuries, and mortgage-backed securities, with each sector selected based on its historical risk vs. return efficiency.

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Source: BATS Global Markets, Inc.


Lattice Strategies Introduces Risk-First Investment Paradigm with ETF Family Launch

Funds Occupy Space between Active and Passive, Seeking Advantage through Intentional, Efficient Allocation of Risk
February 26, 2015--Lattice Strategies, an investment management firm that seeks long-term capital growth through the disciplined and deliberate allocation of risk, announced that its inaugural suite of exchange-traded funds (ETFs) began trading today on the New York Stock Exchange.

The three equity ETFs making their debut are Lattice Emerging Market Strategy ETF (NYSE: ROAM), Lattice Developed Markets (ex-US) Strategy ETF (NYSE: RODM), and Lattice US Equity Strategy ETF (NYSE: ROUS).

Lattice is not new to the ETF space. It was an early proponent of ETFs, launching its Liquid Endowment Strategies in 2007 and developing custom strategy indexes that power private-label ETFs, with each investment solution designed to reallocate risk to drive capital growth. As of December 2014, approximately $1.7 billion was managed to investment strategies developed by Lattice for retail and institutional investors.

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Source: Lattice Strategies


SEC Filings


April 08, 2026 PRIMECAP Odyssey Fund files with the SEC
April 08, 2026 VanEck ETF Trust files with the SEC-VanEck(R) Digital Native Economy ETF
April 08, 2026 First Trust Exchange-Traded Fund VIII files with the SEC-FT Vest U.S. Equity Buffer & Digital Return ETF-April
April 08, 2026 SEI Exchange Traded Funds files with the SEC-SEI High Yield Bond & Alternative Credit ETF
April 08, 2026 BNY Mellon ETF Trust files with the SEC-BNY Mellon US Large Cap Equity Growth ETF

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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
March 17, 2026 Mintos broadens its offering with regulated crypto ETPs in collaboration with Upvest
March 16, 2026 WisdomTree to Acquire Atlantic House Holdings Limited, Expanding Global ETF Lineup with Defined Outcome and Derivatives Capabilities

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Asia ETF News


March 30, 2026 Global X Australia Launches the Global X Humanoid Robotics ETF Tracking the Solactive Global Humanoid Robotics AUD Index
March 26, 2026 E Fund HK Launches E Fund (HK) Solactive Asia Semiconductor Select Index ETF Tracking the Solactive Asia Semiconductor Select Index
March 17, 2026 What the war in Iran means for China
March 12, 2026 ChinaAMC (HK) Successfully Launched ChinaAMC HK-US AI ETF China-US AI Rising Stars, All in Your Hands Stock Code: (3140 HK /9140 HK /83140 HK)
March 10, 2026 KB Asset Management Launches RISE China AI Semiconductor Top 4 Plus ETF Tracking the Solactive China AI Semiconductor Top 4 Plus Index

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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 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'
March 17, 2026 Dubai's main share index declined 2%
March 11, 2026 RMB adoption in the Middle East is reshaping regional economies and trade flows

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Africa ETF News


March 10, 2026 Africa: Government Welcomes Continued Growth in South Africa's Economy
March 03, 2026 Bloody Tuesday: JSE plunges over 5.5%

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ESG and Of Interest News


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
March 26, 2026 Mapped: The World’s Riskiest Markets in 2026
March 20, 2026 AI investment and Middle East conflict shape outlook for global trade
March 17, 2026 50 Investible Opportunities for a New Nature Economy

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White Papers


March 17, 2026 50 Investible Opportunities for a New Nature Economy
March 06, 2026 IMF Working Paper-Stablecoin Shocks
March 05, 2026 OECD-Financial Protection Against Catastrophic Risks

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