Global ETF News Older than One Year


Global fund managers warn of a bond bubble

March 22, 2015--A growing number of professional investors are warning that bonds are overvalued as fears grow that a fixed income bubble will collapse in a disorderly sell-off.

Four out of five fund managers said bonds were overvalued in a survey of 300 global managers by CFA UK. Corporate bonds are more overvalued than ever before, while government bonds are the most overvalued asset class, the group said.

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Source: FT.com


DECPG Global Weekly--March 20, 2015

March 20, 2015--Taking Stock
Latest FOMC statement cleared path toward first rate hike since the 2008 financial crisis. On Wednesday, the Fed dropped its commitment to be "patient" in beginning to normalize monetary policy. The Federal Open Market Committee (FOMC) stated that it will be appropriate to raise the federal funds rate "when it has seen further improvement in the labor market and is reasonably confident that inflation will move back to its 2 percent objective over the medium term".

Following the dovish FOMC statement, U.S. Treasuries rallied with the benchmark 10-year note yields sliding to 1.92 percent on Wednesday from 2.05 percent before the statement. The dollar fell sharply, depreciating 1 percent against the euro at one point, before paring some of its losses.

Deflation continued in the Eurozone. In line with the flash estimate published earlier, Eurozone inflation remained negative for the third consecutive month. The harmonized index of consumer prices fell 0.3 percent (y/y) in February, following January's 0.6 percent decline. Consumer prices have been falling due to declining oil prices. The core inflation rate, which excludes energy, food, alcohol and tobacco, rose to 0.7 percent in February from 0.6 percent in January.

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Source: World Bank


FTSE 100 shoots past 7,000 mark

March 20, 2015--The FTSE 100 powered above the 7,000 threshold for the first time on Friday,

closing in record territory as global equity markets continue to soar on the back of signs that interest rates will remain low.

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Source: FT.com


ETFs pour into top US oil contract

March 20, 2015--Almost a third of the most active US oil futures contract is now controlled by exchange traded funds, turning smaller investors into a muscular force on global commodities markets.

ETFs track baskets of securities or commodities in a convenient wrapper that trades on a stock exchange.

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Source: FT.com


The Liquidity Conundrum: Increasing Regulatory Risk for the Buy Side & More Structural Change for the Sell Side, Finds Annual Oliver Wyman & Morgan Stanley Report

March 19, 2015--Banks have shrunk their balance sheets by 20% since 2010 and another 10-15% reduction is still to come by 2017, significantly reducing liquidity in secondary markets

Interviews with asset managers, totalling assets under management (AuM) of more than USD10TN, indicate liquidity in fixed income markets is one of their top concerns

For asset managers, regulatory risks and earnings risks are rising as policymakers grow more concerned about the transition out of Quantitative Easing (QE) and into rising interest rates, while the sell side will have to restructure further and faster

Oliver Wyman and Morgan Stanley published their joint annual report about wholesale and investment banking today titled, The Liquidity Conundrum: Shifting risks, what it means. The report finds that a reduced provision of liquidity in fixed income markets faces policy makers and investors and how it's resolved will have long-term investment implications.

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Source: Oliver Wyman


MSCI Introduces Diversified Multi-Factor Indexes

March 19, 2015--MSCI Inc. (NYSE:MSCI), a leading provider of equity factor indexes and models, today announced that it has launched a series of Diversified Multi-Factor Indexes.

Research has shown that stocks reflecting certain factors have, over time, provided a higher return than the overall market. MSCI Diversified Multi-Factor Indexes use Barra risk tools to construct indexes that track the performance of four of these factors- Value, Momentum, Quality and Low Size-while keeping risk at the level of an underlying parent index.

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Source: MSCI


Low oil prices and monetary easing triggering modest acceleration of global recovery

March 18, 2015--Low oil prices and monetary easing are boosting growth in the world's major economies, but the near-term pace of expansion remains modest, with abnormally low inflation and interest rates pointing to risks of financial instability, according to the OECD's latest Interim Economic Assessment.

Strong domestic demand is driving growth in the United States, which, combined with dollar appreciation, is adding to demand in the rest of the world. The euro area should benefit from low oil prices, monetary stimulus and euro depreciation, which combine to offer the chance to escape from stagnation.

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Source: OECD


Basel Committee and IOSCO issue revisions to implementation schedule of margin requirements for non-centrally cleared derivatives

March 18, 2015--The Basel Committee on Banking Supervision and the International Organization of Securities Commissions (IOSCO) today released revisions to the framework for margin requirements for non-centrally cleared derivatives. [The revised framework is available on the websites of the Bank for International Settlements and IOSCO.]

The framework was originally published in September 2013, after two public consultations. Recognising the complexity of implementing the framework, the Basel Committee and IOSCO have agreed to (i) delay the implementation of requirements to exchange both initial margin and variation margin by nine months; and (ii) adopt a phase-in arrangement for the requirement to exchange variation margin.

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Source: IOSCO


Schwab, Guggenheim make their mark in ETFs

Low fees and strong performance draw investors, but buyer beware
March 18, 2015--The business of exchange-traded funds is dominated by three big players: BlackRock's iShares, Vanguard Group, and State Street, which collectively control 82% of the roughly $2 trillion invested in ETFs.

Other firms are fighting to gain market share, and several have made their way into Bloomberg Markets' annual ranking of the fastest-growing funds over the three years ended on Dec. 31.

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Source: Investment News


Easy Money Drives Investors Into Stocks, Company Debt, BIS Says

March 18, 2015--Monetary stimulus around the world is increasing the amount of government bonds with yields below zero, and that's pushing investors into stocks and corporate debt, the Bank for International Settlements said.

European equity funds registered a cumulative inflow of almost $19 billion in the four weeks following the European Central Bank's announcement in January that it would start buying government bonds, the BIS said in a report published today.

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Source: Bloomberg


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