Americas ETP News

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Institutional Broker WallachBeth Capital Adds to Arsenal; ETF Trading Market Veteran Joins Agency-Execution Trailblazer

January 8, 2014--WallachBeth Capital, a leading provider of institutional execution services, announced today that ETF industry veteran trader Mohit "Mo" Bajaj has joined WallachBeth in the newly created role of Director, ETF and Portfolio Trading Services.

Mr. Bajaj brings over 10 years of ETF principal market-making and global bank trading experience to agency-only brokerage specialist WallachBeth, most recently serving in a senior ETF facilitation role at Deutsche Bank. According to Michael Wallach, CEO of WallachBeth,"Mo further strengthens our core capabilities and his wealth of ETF and portfolio trading expertise will help our clients navigate the increasingly complex and evolving ETF landscape."

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Source: WallachBeth Capital


CSA publishes guidance for know-your-client, know-your-product and suitability obligations

January 9, 2014--The Canadian Securities Administrators (CSA) today published CSA Staff Notice 31-336 Guidance for Portfolio Managers, Exempt Market Dealers and Other Registrants on the Know-Your-Client, Know-Your-Product and Suitability Obligations (Notice).

Today's Notice is in response to a number of compliance oversight reviews where CSA staff concluded that additional guidance for registrants, such as Portfolio Managers (PMs), Exempt Market Dealers (EMDs), and other registrants who are not members of a self-regulatory organization (SRO) is required to enhance overall compliance with these important regulatory obligations.

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view the CSA Staff Notice 31-336 Guidance for Portfolio Managers, Exempt Market Dealers and Other Registrants on the Know-Your-Client, Know-Your-Product and Suitability Obligations (Notice).

Source: osc.gov.on.ca


SEC Announces 2014 Examination Priorities

January 9, 2014--The Securities and Exchange Commission today announced its examination priorities for 2014, which cover a wide range of issues at financial institutions, including investment advisers and investment companies, broker-dealers, clearing agencies, exchanges and other self-regulatory organizations, hedge funds, private equity funds, and transfer agents.

"We are publishing these priorities to highlight areas that we perceive to have heightened risk," said Andrew J. Bowden, Director of the SEC's Office of Compliance Inspections and Examinations. "This document, along with our Risk Alerts and other public statements, help us to increase transparency, strengthen compliance, and inform the public and the financial services industry about key risks that we are monitoring and examining."

The examination priorities address market-wide issues and those specific to particular business models and organizations. The market-wide priorities include fraud detection and prevention, corporate governance and enterprise risk management, technology controls, issues posed by the convergence of broker-dealer and investment adviser businesses and by new rules and regulations, and retirement investments and rollovers.

view the SEC-Examination Priorities for 2014

Source: SEC.gov


BNY Mellon ADR Index Monthly Performance Update-December 2013

January 9, 2014--The BNY Mellon ADR Index Monthly Performance-December 2013 Update has been published and is now available for review.

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Source: BNY Mellon


Finra Fines Stifel Financial in ETF Case

Two Brokerage Units Sold Products That Were Inappropriate for the Investors
January 9, 2014--Two Stifel Financial Corp. brokerage units were ordered by the industry's self-regulator to pay more than $1 million in fines and restitution for selling leveraged and inverse exchange-traded funds that were unsuitable for the investors.

The Financial Industry Regulatory Authority Inc. fined Stifel, Nicolaus & Co. Inc. and Century Securities Associates Inc., both based in St. Louis, Mo., a combined $550,000. They also were ordered to pay about $475,000 in restitution to 65 customers who lost money on the ETFs, purchased between January 2009 and June 2013.

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Source: Wall Street Journal


ChinaAMC appointed sub-advisor to Market Vectors China A-Share ETF

Physical A-share exposure provided by China's largest mutual fund management company
January 8, 2014--Van Eck Associates Corporation has entered into an agreement with China Asset Management (Hong Kong) Limited ("ChinaAMC"), through which ChinaAMC has begun serving as sub-advisor for the Market Vectors(R) ChinaAMC A-Share ETF, it was announced today.

ChinaAMC is a wholly-owned subsidiary of China Asset Management Co., Ltd., China's largest management company in terms of mutual fund assets under management, and it has received its Renminbi Qualified Foreign Institutional Investor ("RQFII") quota, which will allow PEK to have direct exposure to physical China A-shares, providing investors with enhanced access to the Chinese equity markets.

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Source: Van Eck


Emerging Global Advisors And The TCW Group Partner To Launch Emerging Market Investment-Grade Bond Exchange-Traded Funds

January 8, 2014--– Emerging Global Advisors (EGA), the asset manager to the EGShares exchange-traded fund (ETF) offering, and The TCW Group (TCW), a global asset management firm,today announced their partnership to launch a suite of Emerging Market (EM) fixed income ETFs.

The EGShares TCW EM Short Term Investment Grade Bond ETF (Ticker: SEMF, the EGShares TCW EM Intermediate Term Investment Grade Bond ETF (Ticker: IEMF) and the EGShares TCW EM Long Term Investment Grade Bond ETF (Ticker: LEMF) are the industry's first suite of EM fixed income ETFs to provide duration-defined exposure to USD-denominated, investment grade emerging market sovereign and corporate bonds.All three funds are advised by EGA, sub-advised by TCW and track custom indices created and monitored by J.P. Morgan.

The partnership brings together EGA, an industry leader in emerging market ETFs through its EGShares funds, and TCW, a premier emerging market fixed income asset manager, to provide investors with better tools with which to target emerging market fixed income growth opportunities. The funds will be managed by Penelope D. Foley and David I. Robbins,Group Managing Directors of Emerging Markets Strategies at TCW.

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Source: TCW Group


Minutes Of The Federal Open Market Committee, December 17,18, 2013

January 8, 2014--The Federal Reserve Board and the Federal Open Market Committee on Wednesday released the attached minutes of the Committee meeting held on December 17-18, 2013. A summary of economic projections made by Federal Reserve Board members and Reserve Bank presidents for the meeting is also included as an addendum to these minutes.

The minutes for each regularly scheduled meeting of the Committee ordinarily are made available three weeks after the day of the policy decision and subsequently are published in the Board's Annual Report. Summaries of economic projections are released on a quarterly schedule. The descriptions of economic and financial conditions contained in these minutes and in the Summary of Economic Projections are based solely on the information that was available to the Committee at the time of the meeting.

view the Minutes of the Federal Open Market Committee December 17-18, 2013

Source; FBR


State Street Teaming With MFS to Open Active Equity ETFs

January 8, 2014--State Street Corp. (STT), the second-biggest provider of exchange-traded funds, plans to introduce its first actively managed stock ETFs in partnership with MFS Investment Management.

The three funds, the SPDR MFS Systematic Core Equity ETF (SYE), Growth Equity ETF and Value Equity ETF (SYV), will open tomorrow on the New York Stock Exchange, according to a statement yesterday from NYSE Euronext.

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Source: Bloomberg


BlackRock Agrees to End Wall Street Analysis Previews

January 8, 2014--BlackRock, the world's largest asset management company, has agreed to end its practice of surveying Wall Street analysts to glean clues about their views on companies before those opinions are publicly issued.

The decision was reached late Wednesday as part of a settlement with Eric T. Schneiderman, the New York attorney general. The settlement document filed in the case contended that BlackRock’s surveys "allowed it to obtain information from analysts that could reveal forthcoming revisions to their published views" on companies they followed. The firm will also pay $400,000 to cover costs of the investigation.

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Source: The New York Times


SEC Filings


April 03, 2026 Listed Funds Trust files with the SEC-21Shares Active Crypto ETF
April 03, 2026 Krane Shares Trust files with the SEC-KraneShares China AI and Technology ETF
April 03, 2026 Morgan Stanley Bitcoin Trust files with the SEC
April 02, 2026 Blue Tractor ETF Trust files with the SEC
April 02, 2026 THOR Financial Technologies Trust files with the SEC-THOR AdaptiveRisk Dynamic ETF

view SEC filings for the Past 7 Days


Europe ETF News


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
March 13, 2026 Seligson & Co Omx Helsinki 25 Exchange Traded Fund Ucits ETF: Change of the Rules of the Fund

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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

view more white papers