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While the exchange-traded fund (ETF) provider admits it doesn’t have a crystal ball, its senior portfolio manager has the next best thing – three key signals the firm monitors to determine whether a ...
AMP has announced to the ASX that it is being sued by property fund manager Dexus regarding the sale of its real estate and domestic infrastructure equity business. Dexus acquired AMP’s real estate ...
CBA is often touted as the biggest holding in widely held ASX 200 ETFs like VAS, IOZ, A200 and STW, which has led some market commentators to link the bank’s price surge to ETF-buying activity. Yet, ...
Strong performance across domestic equities and infrastructure assets has seen the fund achieve solid returns for FY2024–25. The Australian Retirement Trust has achieved double-digit returns across ...
In spite of what was a year of widespread economic uncertainty, paved with worries over US tariff policies and rising geopolitical tensions, the S&P/ASX 200 Index closed FY24–25 at 8,542.3 points, ...
Australian investors have poured billions into managed funds in 2025, demonstrating surprising resilience amid global market turbulence, tariff shocks, and shifting monetary policy expectations.
Betashares is looking to expand beyond its core exchange-traded fund (ETF) and managed portfolio offerings, aiming to tap into rising demand from Australian investors and advisers for alternative ...
In a strongly worded letter issued Tuesday to board chairs of all large superannuation funds, the Australian Prudential Regulation Authority (APRA) said it expects faster, more holistic implementation ...
In its submission to the regulator’s capital markets discussion paper published in February, the Financial Services Council (FSC) pushed back against any additional regulatory burden on APRA-regulated ...
“Taurient does everything – if you think about the first problem that a fund manager faces, it’s a search problem, so there’s 60,000 listed companies in the world. There’s 10,000 if you limit that to ...
Arian Neiron, managing director and CEO of VanEck Asia-Pacific, even suggested last month that the hard-won reputation of index ETFs, in general, has given active ETFs an “advantage they haven’t ...
As traditional 60/40 portfolios come under pressure, investors are embracing a more diversified model – 25 per cent across equities, fixed income, alternatives and private markets – to balance risk, ...
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