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VanEck is a global investment manager with offices around the world. To help you find content that is suitable for your investment needs, please select your country and investor type.
The heightened risk regime is being well captured by the Fund’s model. At the beginning of March, the Fund reduced its equity allocation from 72% to 47% and increased its bond allocation from 28% to 53%.
The recent volatility in the market and the uncertainty around the impact of coronavirus reinforces the need to be prepared. Tempering volatility, at the portfolio level in particular, can improve the investing experience and help investors weather bouts of turbulence.
Ed Lopez, host of the Trends with Benefits podcast, sits down with Steve Blumenthal, Executive Chairman and Chief Investment Officer of CMG Capital Management to discuss what’s next for the markets and defending wealth
In the FA Magazine, Portfolio Manager David Semple discusses the market outlook for global growth and shares his insights on global trade, China and the impact of coronavirus.
After years of investing predominantly on growth, companies in the oil E&P sector have shifted their business models to focus on sustainable returns of capital and have demonstrated a commitment to this approach.
EM Quantitative Easing Becomes Mainstream
ETF 106: Debunking Fixed Income Myths
Next Stop ‒ Open-Ended QE
Boeing and Bank of America Headline March Review
Investment Outlook: China First to Face Wave of Uncertainty
China Policy Response Defies Consensus
Navigating the Markets: Fixed Income ETF Discounts
Rate Cut Race to the Bottom Heats Up
Policy Game-Changer or Dysfunctional Markets?
Examining Gold’s Recovery Cycles
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