Managing Volatility

    May 19, 2020

Unintended consequences?

by: ; IndexIQ

We’re old enough to remember when $1 trillion was a lot of money. These days, that number is tossed around pretty lightly...

    May 13, 2020

Contango concerns? Key factors to consider when evaluating commodity ETFs

by: ; Dan Petersen, CAIA®

As the recent record-high levels of contango have demonstrated...

    May 12, 2020

What a re-opening might look like

by: ; IndexIQ

Being in the midst of a crisis is like standing at the bottom of deep canyon...

    May 5, 2020

Accelerating to a future state of investing

by: ; Multi-Asset Solutions team

To say that a lot has happened in 2020 would be a monumental understatement...

    Apr 29, 2020

Oil and water? Energy and ESG during the financial crash


The outperformance of ESG strategies during the market upheaval of 1Q 2020...

    Apr 24, 2020

COVID-19, the municipal markets and finding perspective


The municipal bond market’s response to the COVID-19 pandemic reflects the significant dislocation...

    Apr 23, 2020

A playbook for COVID uncertainty – the 60/40 portfolio

by: ; Multi-Asset Solutions team

The 60/40 portfolio, also known as the balanced portfolio, is a staple for long-term strategic investors...

    Apr 22, 2020

Behavioral economics, investor choices and the role of liquid alternatives

by: ; IndexIQ

The latest predictions now call for the wave of COVID-19 infections to peak...