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DB-Synthetic Equity & Index Strategy-Europe-ETF Research-European Weekly ETF Market Review

September 24, 2013--The report includes key statistics on the European ETF market as well as global ETF market highlights.

request report

Source: Deutsche Bank -Synthetic Equity & Index Strategy -Europe


Nordea Bank Finland Plc signs a market making agreement with two new UCITS ETF Funds

September 24, 2013--Nordea Bank Finland Plc signs a market making agreement concerning Nordea Global Emerging Markets Equities UCITS ETF Fund and Nordea Stable Equities UCITS ETF Fund Nordea Investment Fund Company Finland Ltd (on behalf of both Funds) and Nordea Bank Finland Plc have concluded a market making agreement,

which fulfils the requirements of NASDAQ OMX Helsinki Ltd's and NASDAQ OMX Stockholm Ltd's market making operations.

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Source: mb.cision.com


Source and Man Group partner for 'beta plus' strategy ETFs

September 23, 2013--The two LSE-listed funds follow a Man Group strategy designed to generate alpha from broker recommendations on stocks from Asia and continental Europe

Exchange-traded fund (ETF) provider Source has today launched two ETFs that provide 'beta plus' exposure to Europe and Asia. The Source Man GLG Continental Europe Plus Ucits ETF (MPCE), which tracks the stocks of companies based in 16 European countries excluding the UK, aims to outperform the MSCI Europe ex UK Index by 2-8% per year. The Source Man GLG Asia Plus Ucits ETF (MPAS) gives investors exposure to 11 Asian countries, excluding Japan, while aiming to outperform its benchmark, the MSCI AC Pacific ex Japan Index, by 3-8% per year. The ETFs trade on the London Stock Exchange.

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Source: Risk.net


Moscow Exchange: no downside left for stock market

Moscow Exchange says structural reforms help reverse downward trend
Diversity of products helps Moscow Exchange grow business
Russian privatisation plans still in the pipeline
September 23, 2013--Russia's stock market is set to rebound, thanks in part to reforms to bring trading in line with international norms, Moscow Exchange's chief executive said on Monday.

Selling at a near 50-percent discount to those of other emerging nations, Russian stocks have something of a pariah status for foreign investors worried at corruption and stalled efforts to modernise the economy.

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Source: Reuters


Three new iShares ETFs launched on Xetra

ETFs based on interest-rate hedged corporate bonds and large and mid-caps
September 23, 2013--Two new equity index ETFs and one new bond index ETF issued by iShares have been tradable in Deutsche Börse's XTF segment since Monday.
ETF name: iShares $ Corporate Bond Interest Rate Hedged UCITS ETF

Asset class: bond index ETF
ISIN: DE000A1W4V85
Total expense ratio: 0.25 percent
Distribution policy: distributing
Benchmark: Markit iBoxx USD Liquid Investment Grade Interest Rate Hedged Index

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Source: Deutsche Börse


State Street gets 'aggressive' to lead European ETFs market

September 22, 2013--State Street Global Advisors, the world's third largest asset manager, is about to take on market leader BlackRock in the European exchange-traded funds market.

The fight marks an aggressive strategic push for State Street which, while the second largest ETF player globally, lags BlackRock's iShares ETF business by 24.6 percentage points of market share, 508 by number of funds and $481 billion in assets under management.

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Source: Financial News


DeAWM courts retail market with ETF savings plan

September 22, 2013--Deutsche Asset & Wealth Management wants to capture retail investors' growing interest in exchange traded funds by expanding its offering of commission-free ETF savings plans in Europe.

Around 30,000 ETF savings plans have been opened in Germany since Deutsche/DeAWM first launched its initiative in September 2010...

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Source: FT.com


New SPDR bond index ETF launched on Xetra

ETF offers access to high-yield US corporate bonds br>September 20, 2013--A new exchange-listed bond index fund issued by SPDR (State Street Global Advisors) has been tradable in the XTF segment on Xetra since Friday.
ETF name: SPDR Barclays 0-5 Year US High Yield Bond UCITS ETF
Asset class: bond index ETF
ISIN: IE00B99FL386

Total expense ratio: 0.40 percent
Distribution policy: distributing
Benchmark: Barclays US High Yield 0-5 (ex 144A) Index

The new SPDR bond index fund enables investors to participate in the performance of the market for fixed-income and high-yield corporate bonds denominated in US dollars.

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Source: Xetra/FWB


EU watchdog says new short-selling rules not harmful

September 20, 2013--Banning bets on falling share prices in the European Union has not damaged prices or ramped up volatility on stock markets, the bloc's securities regulator said on Friday, largely refuting market players' concerns.

Curbs on so-called short-selling of government debt have, however, hit turnover in a few cases, according to the European Securities and Markets Authority (ESMA) in its first study of new EU short-selling rules.

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Source: Reuters


ESMA TRV: market conditions improve, as systemic risks persist

September 20, 2013-The European Securities and Markets Authority (ESMA) published today its Trends, Risks, Vulnerabilities (TRV) Report (Ref. 2013/1138) and a Risk Dashboard for the second quarter of 2013.

The TRV examines the performance of securities markets in the first half of 2013, assessing both trends and risks in order to develop a comprehensive picture of systemic and macro-prudential risks in the EU, to assist both national and EU bodies in their risk assessments. ESMA's TRV contributes to promoting financial stability and enhancing consumer protection by regularly looking into cross-border and cross-sector trends, risks and vulnerabilities, both at the wholesale and retail level.

The TRV finds that EU securities markets and investment conditions in the EU have improved for a second quarter in a row since the 4th quarter of 2012, although systemic risk persisted at medium to high levels. Amongst other risk factors, uncertainty remained high due to concerns over funding sources, low interest rates and recent market fluctuations, resulting in increased market risk, while liquidity, credit and contagion risk continue to be significant.

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view the ESMA report- Trends, Risks, Vulnerabilities (TRV) Report

Source: ESMA


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