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ETF & Index Management

Highlights

May 18

Innovation Lyxor launches 5 ETFs based on megatrends

Lyxor AM has decided to expand its range of trackers by launching 5 new equity ETFs offering an exposure to long-term global structural trends, which are set to redefine our society in the coming years.

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Societe Generale finalises the acquisition of EMC activities

News

ETFGI reports that ETFs and ETPs listed in Europe reported net outflows of US$22.83 billion at the end of March 2020

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May 2017

Innovation Solactive launches Stable Income Europe Index

The index targets investors interested in a smart beta concept that puts more emphasis on the role played by free cash flow yield, aside from tilting composition towards high dividend and low volatility shares. Specifically, free cash flows are typically used to provide an (...)

May 2017

Innovation BlackRock launches pair of Dollar bond ETFs for European range

BlackRock has launched two new fixed income exchange traded funds (ETFs) providing investors with greater granularity in US bond exposures, iShares $ Intermediate Credit Bond UCITS ETF (ICBU) and iShares $ TIPS 0-5 UCITS ETF (...)

May 2017

News European ETF Market Trends - April 2017 in brief

European ETF market flows slowed down substantially in April 2017. Net New Assets (NNA) during the month amounted to EUR4.4bn, the lowest since December 2016. Total Assets under Management are up 11% vs. the end of 2016, reaching EUR572bn, including a positive market impact (...)

May 2017

Innovation Solactive launches USD Investment Grade Corporate Index

Solactive is happy to announce the release of the Solactive USD Investment Grade Corporate Index mirroring the performance of USD-denominated investment grade corporate bonds.

May 2017

News ETFGI reports assets invested in ETFs/ETPs listed globally break through the 4 trillion US dollar milestone at the end of April 2017

The Global ETF/ETP industry had 6,835 ETFs/ETPs, with 12,892 listings, assets of US$4.002 trillion, from 313 providers listed on 68 exchanges in 56 countries at the end of April 2017, according to preliminary data from ETFGI’s April 2017 (...)

May 2017

Innovation Mackenzie Investments announces new investment solutions aimed at helping investors meet their income needs

Mackenzie Financial Corporation (Mackenzie Investments) announced the launch of two new mutual funds and one ETF designed to generate income and improve portfolio diversification.

April 2017

News European Smart Beta ETF market flows accelerated in Q1 2017 at EUR1.8bn.

Total Assets under Management are up 11% vs. the end of 2016, reaching EUR 31.8 billion and including a positive market impact (+4.2%). Net New Assets into Smart Beta ETFs have already reached a quarter of the record high EUR7bn figure reached in (...)

April 2017

News Euronext Tech 40 Issuers outperform

This year, 12 new companies are entering in the new label composition, selected by a group of independent European experts, based on capital markets, economic and financial performance criteria. The companies are also added to the eponymous index, composed exclusively of the (...)

April 2017

Innovation Desjardins Launches Initial Suite of Seven Exchange Traded Funds

Desjardins Global Asset Management Inc. (DGAM), acting as manager and portfolio advisor of the Desjardins Exchange Traded Funds (ETFs), announces the launch of seven exchange traded funds.

March 2017

Regulation ESMA publishes final rules to ensure integrity of EU financial benchmarks

The European Securities and Markets Authority (ESMA) has published its final report containing the draft regulatory and implementing technical standards (RTS/ITS) under the Benchmarks Regulation (BMR)...

March 2017

Innovation Euronext launches CAC 40 Governance Index with Vigeo Eiris

Euronext and Vigeo Eiris launched the CAC 40® Governance Index, a thematic index that rates companies in the Paris market’s benchmark CAC 40 index on their corporate governance performance.

March 2017

Innovation BlackRock adds four ETFs to US equity sector range

The four iShares ETFs provide targeted exposure to S&P 500 companies in the consumer staples, industrials, materials and utilities sectors. These launches bring the total number of US sector funds to nine, adding to five existing exposures to consumer discretionary, (...)

March 2017

Innovation Bats Europe Launches Two New Indices Designed to Measure Impact of Brexit on UK Companies

Bats Europe, a CBOE Holdings, Inc. company and the region’s largest equities exchange operator, today announced it has launched the Bats Brexit 50/50 Indices, two new benchmark indices designed to reflect the impact of Brexit on UK (...)

March 2017

News Euronext and Morningstar collaborate in European Indices and Derivatives launch

Euronext and Morningstar today signed a strategic collaboration to launch product creation opportunities and risk management tools, based on Morningstar Indices. This offering, which includes new European indices for blue chips, will give investors access to relevant (...)

March 2017

News European ETF Market flows continued their positive trend in February 2017

Net New Assets (NNA) during this month amounted to EUR9.4bn, nearly twice the one-year average of EUR4.9bn. Total Assets under Management are up 7% vs. the end of 2016, reaching EUR551bn, including a market impact of (...)

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News iShares S&P 500 becomes the largest ETF in Europe

The fund was traded every day during 2010, with an average spread consistently below 10 basis points...

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Strategy An example of Quantitative Strategy: The Low Volatility approach

Low volatility indices and, more broadly, products based on quantitative strategies aiming to select only low-volatility stocks, have met with growing success with the financial community and investors. However, most of these indices have major drawbacks that cannot always (...)

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Strategy How Smart is ‘Smart Beta’ Investing?

Investors increasingly embrace “smart beta” investing, by which we mean passively following an index in which stock weights are not proportional to their market capitalizations, but based on some alternative weighting scheme. Examples include fundamentally-weighted indices (...)

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Innovation Ossiam ETF on the Risk Weighted Enhanced Commodity Ex Grains TR Index

Using its expertise in systematic asset management, in 2013, Ossiam has set up an ETF offering a long only exposure to a risk weighted enhanced commodity index, based on S&P Goldman Sachs Commodity Index constituents, excluding (...)

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Interview Total Return Derivatives: Can Repo Emerge as a New Asset Class?

According to Antoine Porcheret, Senior Equity & Derivative Strategist at BNP Paribas, Total Return Futures constitute a listed solution to mitigate concerns surrounding the envisaged introduction of bilateral margining for non-cleared OTC (...)

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Product Eurex Exchange: Index Total Return Futures (TRF)

Index Total Return Futures (TRF) are designed to offer a listed solution for trading the implied equity repo rate. Index TRFs aim to replicate the payoff profile of an Index Total Return Swaps (TRS) in a cost efficient way. The first TRF product launch will be the EURO STOXX (...)

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Innovation BofA Merrill Lynch Global Research Launches Green Bond Index

The index is designed to track the performance of debt issued by quasi-governments and corporations where the proceeds of the issue are to be used solely for projects and activities that promote climate or other environmental sustainability (...)

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Strategy Risk factors: taking risk budgeting one step further

An increasing number of pension funds are opting to invest in ‘alternative’ or ‘smart beta’ indices to supplement their passive management activities. Several competing methods currently exist, each with their own objectives. Analysing the risk contribution of each factor by (...)

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Innovation Solactive launches the Adaptive Wealth Strategies U.S. Factor Index combining three strategies in one index

Solactive announces the launch of the Adaptive Wealth Strategies U.S. Factor Index which dynamically allocates across three sub-indices with exposure to U.S. equities in the large and mid-cap segment and exhibits characteristics of one of three primary (...)

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Opinion Benchmarking: The Multi-Asset Class Exception

Ask any active fund manager about his benchmark, and he will have a ready-made answer. Even fixed-income managers have plenty of indices to choose from. The call is trickier for diversified fund managers...

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News ETFGI reports Assets invested in Environmental, Social, and Governance (ESG) ETFs and ETPs listed globally reaches a record US$25 Bn at the end of January 2019

ETFGI reported that Environmental, Social, and Governance (ESG) ETFs and ETPs listed globally gathered net inflows of US$730 million during January. Total assets invested in ESG ETFs and ETPs increased by 9.97% from US$22.47 billion at the end of December, to a record (...)

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Innovation Amundi ETF continues to innovate in Europe providing yield through an Investment Grade Corporate Bonds exposure

Amundi adds to its Fixed Income ETF range by launching the first ETF in Europe to offer exposure to the Markit iBoxx EUR Liquid Corporates BBB Top 60 index. This innovative ETF, listed today on Euronext, will then be cross-listed on the major European stock (...)

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News Nomura Asset Management to Launch New ETF Designed to Track Performance of the “Nomura Shareholder Yield 70”

Nomura Asset Management Co., Ltd. (NAM), the core company within the Asset Management Division of Nomura Group, today announced plans to launch a new exchange traded fund (ETF) designed to track the performance of the “Nomura Shareholder Yield (...)

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Innovation BlackRock launches iShares Electric Vehicle and Driving Technology UCITS ETF

BlackRock has launched an exchange traded fund (ETF) that taps into the growing global emphasis on sustainable energy sources in transportation, at a time when investors are looking to build portfolios that better reflect their personal views regarding Environmental, Social (...)

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Note Smart Beta 2.0 – Taking the risks of new equity benchmarks into account

In research published two weeks ago entitled, “Smart Beta 2.0,” EDHEC-Risk Institute is seeking to draw the attention of investors to the risks of traditional smart beta equity indices and propose a new approach to smart beta investing to take account of these (...)

Focus

Interview Isabelle Bourcier : “Our ambitions is to grow in Smart Beta and SRI ETFs”

Evolution of the ETF market, impact of the regulations, ongoing development at BNP Paribas Asset Management...Isabelle Bourcier, Head of quantitative and index management at BNP Paribas Asset Management shares its view with (...)

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