Global ETF News Older than One Year


Nasdaq Q-50's Strong Q1 and other Monthly Performance Highlights

April 6, 2015--The OMX Nordic Index Family, the benchmarks of the Nordic markets, have experienced a strong start to 2015 on the back of a collapsing Krona. The SEK has weakened by over 10% year to date as the European continent, not just the Euro, have been on the wrong side of the US Dollar.

However, that currency swing has richly rewarded investors in the local European equity markets with strong outperformance over the US market.

The Nasdaq Composite had a historic month in March as it crossed the 5000 threshold for the second time ever and first time since March 2000. The difference between 5,000 in March 2000 versus 5,000 in March 2015 has been widely dissected by the financial press, but it's worth pointing out again the massive shift the Nasdaq-listed stocks have undertaken in their fundamental strength while also driving significant innovation to the world through technology, healthcare and consumer goods.

view more

Source: Nasdaq


BATS Global Markets March 2015 Update: Reports Another Record Month in U.S. Options with 9.4% Market Share; 20.8%

U.S. Equities Market Share, 23.3% European Equities Market Share
April 6, 2015--Chris Concannon Assumed CEO Role March 31st, Joe Ratterman Now Chairman
April 6, 2015--BATS Global Markets (BATS) today reported March volume, market share, and monthly highlights including its best month on record for U.S. Options market share.

BATS Options reported 9.4% market share, up from 4.1% one year ago and surpassing the previous monthly market share record of 8.8% set in January 2015.

Additionally, in Europe, BXTR, BATS Chi-X Europe's trade reporting facility...

view more

Source: BATS Global Markets


IMF-Islamic Finance: Opportunities, Challenges, and Policy Options

April 6, 2015--Summary: The SDN discusses the main policy issues and challenges in building an inclusive and safe Islamic finance industry, with emphasis on Islamic banking and Sukuk markets.

To this end, it discuses why Islamic finance matters, taking into account its recent and prospective growth; and, its potential contributions in terms of financial inclusion, support for small-and medium-sized enterprises and investment in public infrastructure and, in principle, reduced systemic risk. It then covers a range of regulatory and other challenges, and offers policy advice, to address factors that hamper the development of the industry and, more generally, the delivery of its potential benefits. The paper covers regulatory and supervisory issues, safety nets and resolution frameworks, access to finance, Sukuk markets, and macroeconomic policies.

view more

Source: IMF


Record profits for listed fund managers

April 5, 2015--Listed fund managers racked up record profits of $40bn last year as operating margins hit a seven-year high of 33 per cent.

According to global analysis by Casey, Quirk & Associates, an industry consultant, average profit margins are now just one percentage point below their 2007 pre-crisis peak of 34 per cent, having hit a low of 26 per cent in 2009.

view more

Source: FT.com


Chinese asset managers arrive in London

April 5, 2015--Two Chinese asset management companies have consolidated their presence in London, ending months of speculation over whether China's fund houses would enter the UK market.

Nord Engine Asset Management, a subsidiary of Chinese private equity firm Nord Engine Group, which has RMB17bn ($3bn) of assets under management, opened its first UK office in the City of London last month.

view more

Source: FT.com


Mutual funds deny systemic risk in developing markets

April 5, 2015--Mutual fund investors own only a small slice of emerging market assets and are unlikely to pose a systemic risk to the developing world,

a leading trade body has argued.

view more

Source: FT.com


Bond funds post $102 billion inflows in first quarter, highest demand since 2001

April 3, 2015--Investors worldwide poured $8.5 billion into fixed-income funds in the week ended April 1, marking the first three months of this year as the biggest first quarter for fixed-income inflows since 2001, data from a Bank of America Merrill Lynch Global Research report showed on Friday.

The first quarter posted net cash inflows of $102 billion, according to the BofA report, which also cited data from fund-tracker EPFR Global. Investment-grade bond funds saw the majority of the net inflows in the latest week with $5.3 billion.

view more

Source: Reuters


DECPG Global Weekly-April 3, 2015

March 3, 2015--Taking Stock
Improvement in U.S. labor market slowed in March. Nonfarm payrolls rose by a seasonally adjusted 126,000 jobs in March, well below the expected 245,000 and down from 264,000 in February and from an average of 324,000 in the final three months of 2014.

Earlier, data showed that jobless claims in U.S. fell by 20,000 to a seasonally adjusted 268,000 in the week ended March 28 (Figure 1), the lowest weekly level since the period ended January 24 and the second-lowest in at least a year. The four-week moving average of claims, which smoothes volatility, dropped by 14,750 to 285,550.

ECB announced plans to make QE bonds available for lending. The European Central Bank announced plans on Thursday to make government bonds bought under its quantitative easing program available for lending. As part of a plan to keep its debt-purchase program from distorting bond markets, the ECB introduced a 'securities lending' framework that includes a fixed borrowing term of one week with an option to roll over any loan three times, and set limits on the amount of bonds that can be borrowed.

view more

Source: World Bank


IMF Working paper-Investment in Emerging Markets We Are Not in Kansas Anymore...Or Are We?

April 3, 2015--Summary: We document that (i) although private investment growth in emerging markets has decelerated in recent years, it came down from cyclical highs and remains close to pre-crisis trends; and (ii) investment-to-output ratios generally remain close to or above historical averages.

We show that investment is positively related to expect future profitability, cash flows and debt flows, and negatively associated with leverage. Critically, it is also positively related to (country-specific) commodity export prices and capital inflows. Lower commodity export prices and expected profitability, a moderation in capital inflows, and increased leverage account for the bulk of the recent investment deceleration.

view more

Source: IMF


World Gold Council considers launch of new London exchange

April 2, 2015--The gold industry's leading trade body and half a dozen banks have agreed to explore the idea of establishing an exchange in London as the existing market faces greater regulation.

The World Gold Council, a group consisting of 19 gold miners, and at least five banks are participating in initial discussions, according to people familiar with the matter.

view more

Source: gata.org


If you are looking for a particuliar article and can not find it, please feel free to contact us for assistace.

Americas


June 23, 2026 Thornburg Extends Income Builder Franchise with Launch of THOR ETF
June 23, 2026 Leverage Shares by Themes Unveils Nine New 2X Single-Stock ETFs Tracking Key Players in the Technology Supply Chain
June 23, 2026 Blue Tractor ETF Trust files with the SEC
June 23, 2026 J.P. Morgan Exchange-Traded Fund Trust files with the SEC-7 ETFs
June 23, 2026 SPDR(R) Series Trust files with the SEC-State Street(R) SPDR(R) Portfolio Nasdaq(R) 100 ETF

read more news


Europe ETF News


June 23, 2026 New ETF and ETP Listings on June 23, 2026, on Deutsche Börse
June 23, 2026 Ranked: The EU's Biggest Trading Partners in 2026
June 18, 2026 HANetf becomes largest UCITS ETF issuer in Poland's ETF makret, with 8 new ETF listings and more to come
June 11, 2026 ETFGI reports European ETF Market Surges Past US$3.77 Trillion as Record Net Inflows Continue
May 22, 2026 New ETF and ETP Listings on May 22, 2026, on Deutsche Boerse

read more news


Asia ETF News


June 23, 2026 Mantle Becomes One of the First Ethereum L2s to Bring Franklin Templeton's USPX ETF On-Chain with xStocks
June 17, 2026 All Eyes on Korea: CSOP KOSPI 200 ETF (3121.HK) to List on HKEX Tomorrow
June 11, 2026 Hong Kong Investors Pay Over HK$7.3 Billion in Annual Trading Fees, 65% of Investors Underestimate Impact of Trading fees on Returns, The Era of AI Agentic Trading Could Further Amplify Trading Friction
June 04, 2026 Japanese Retail Investor Access Surges as U.S.-Listed ETFs Registered for Sale in Japan Expand by Nearly 50% Since 2023
June 03, 2026 Korean Retail Investors Continue to Be Active Purchasers of Overseas Listed ETFs in April

read more news


Middle East ETP News


June 23, 2026 ADX welcomes Lunate's first-of-its-kind GCC Shariah-compliant ETF

read more news


Africa ETF News


June 16, 2026 Stablecoins in Nigeria: A Growing Cross-Border Channel
June 09, 2026 South African rand strengthens after surprise GDP growth data
May 26, 2026 Africa's growth holds firm amid global turbulence, says 2026 African Economic Outlook
May 26, 2026 Africa's growth holds firm amid global turbulence, says 2026 African Economic Outlook
May 15, 2026 Zimbabwe- a tale of two African stock exchanges

read more news


ESG and Of Interest News


June 23, 2026 Understanding Geoeconomics in a Volatile World
June 18, 2026 Who's Suing Whom in AI? Infographic
May 26, 2026 Infographic-Ranked: The World's Largest Stock Markets
May 26, 2026 Analyst on China's spent rocket stages: "Things only continue to get worse"
May 19, 2026 Idle Cash Could Leave over $130,000 on the Table by Retirement, Finds PensionBee

read more news


White Papers


May 18, 2026 The Women's Health Innovation Radar: Revealing Gaps and Opportunities Across the Science-to-Patient Journey

view more white papers