In this episode of ETF Spotlight, I speak with Kristy Akullian, Head of iShares Investment Strategy for the Americas at BlackRock, the world’s largest asset manager, about investing amid current ...
In finance, the term "collar" usually refers to a risk management strategy called a protective collar involving options contracts, and not a part of your shirt. But, using a protective collar could ...
As markets enter the final stretch of 2025, traders and investors are facing a high-stakes mix of macro uncertainty, sector rotation, and elevated volatility. How can you position tactically — not ...
Stocks have been on a roller coaster ride lately as investors struggle to decipher the impact of President Trump’s tariffs. The S&P 500 has dropped significantly since reaching an all-time high in ...
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Buying up-variance: If the underlying price is expected to rise or stay above a given level then buying an up-variance swap (with a 95% trigger for example) is a cheaper alternative to a long variance ...
After reaching all-time highs in February, U.S. markets have experienced notable volatility amidst a flurry of news regarding tariffs and rapid changes in the geopolitical landscape. The S&P 500 is ...
Ivanna Hampton: Welcome to Investing Insights. I’m your host, Ivanna Hampton. Investing Insights is helping investors navigate market volatility in a new series. Morningstar strategists and authors ...
Tariffs and ongoing volatility have impacted global trade and exerted cost pressure across nearly all industries, creating ripple effects that demand companies rethink core strategies like pricing, ...