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

by:

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

    Apr 24, 2020

COVID-19, the municipal markets and finding perspective

by:

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...