A BMO Global Asset Management survey finds that 77% of Canadian investors feel that market volatility is the new normal and is here to stay for the foreseeable future.
Low-volatility stocks have outperformed the general market and that trend is expected to continue, according to a white paper.
New report says institutional investors should focus on extreme risks.
Six principles for managing credit risk in volatile times
The new multi-asset portfolios are nimble and move in real time.
Market neutral strategies work in volatile markets
Study looks at how well it gauges Canadian market volatility
FTSE Group (FTSE) has licensed the FTSE Canada High Dividend Yield Index and the FTSE Canada All Cap Real Estate Capped 25% Index to Vanguard as the basis of two new exchange-traded funds listed on the Toronto Stock Exchange. Both are part of a range of indexes designed to help Canadian investors benchmark unique segments of their equity market.
Bernstein's Seth Masters on why stocks are still the way to go.
New EDHED-Risk Institute study sheds light on TVIX ETN crisis.