FLCH: The Dragon Discounted, But Not Enough
The Franklin FTSE China ETF (FLCH) provides a low‑cost, diversified gateway to China’s high‑tech and industrial sectors, benefiting from easing U.S.–China trade tensions, supportive People’s Bank of China policy, and the 15th Five‑Year Plan’s focus on advanced industries. At a 13.85× price‑to‑earnings multiple, FLCH appears cheaper than many global peers, yet investors must weigh lingering geopolitical, regulatory, and property‑sector headwinds. The analyst assigns a HOLD rating, suggesting policy tailwinds are offset by near‑term macro risks.
1607 Capital Partners Boosts EUFN Stake by $42 Million as European Bank Earnings Surge
1607 Capital Partners, LLC added 921,396 shares of the iShares MSCI Europe Financials ETF (EUFN) in Q4 2025, raising the position's value by $42.1 million. The move lifts the fund to 9.62% of the firm’s 13F‑reportable assets, underscoring confidence in the...

The $87 Billion Reason Tech ETFs Are About to Move
Technology‑focused ETFs are diverging in 2026 as the broad XLK fund, holding $87.7 billion and dominated by Nvidia, Apple and Microsoft, slipped 4% YTD, while the AI‑heavy Roundhill Magnificent Seven ETF (MAGS) fell nearly 10% amid doubts over AI spending payoffs....
NIHI: Tax-Efficient Way To Collect A 10% Yield From International Stocks
NEOS MSCI EAFE High Income ETF (NIHI) employs a collar option‑spread on international equities to deliver roughly a 10% yield, paid monthly and designed for tax‑efficient payouts. The overlay caps upside participation while providing limited downside protection, appealing to income‑focused...
FTXN: Solid Long-Term Choice, But Risky To Buy For Now
The First Trust Nasdaq Oil & Gas ETF (FTXN) offers U.S. oil and gas exposure through a factor‑weighted, cash‑flow-focused methodology that emphasizes high‑quality producers. Its top ten holdings—XOM, CVX and COP—make up about 55 % of assets, and the fund has...
Defensive Tide Rising
Three of four intermarket signals have turned risk‑off as utilities outperform the S&P 500 and Treasuries attract safe‑haven flows. The S&P 500 slipped below its 200‑day moving average, triggering a shift from leveraged SSO to plain SPY exposure. Meanwhile, gold’s...

Record $64B Outflow From SPY, QQQ in 3 Months
The boat is getting tippy. About $64 billion has come out of SPY + QQQ over the past 3 months. That's nearly double the previous decade's extreme. Still not all that extreme as a % of assets tho. https://t.co/Ep1DBUQEqI
BlackRock Canada Sets March Cash Payouts for Over 70 iShares ETFs, Up to $0.47 per Unit
BlackRock Asset Management Canada disclosed March 2026 cash distributions for more than 70 iShares ETFs listed on the TSX and Cboe Canada. Payouts range from $0.033 to $0.469 per unit, with record‑date holders on March 26 receiving cash on March...

Emerging Markets Hold Up, S&P Bounces After Pullback
emerging markets $EEM vs. S&P 500 $SPX still looks legit and bounced after the first "pullback against"... let's keep an eye... https://t.co/2tOH6LJWWS
Capital‑Efficient International Overlay Adds Global Exposure Without Selling US
Our latest 90/60 ETF idea out today This idea came from a client in our capital efficient overlays w/ gold. Problem: current portfolio was 100% US stocks --likes idea of adding international, but doesn't want to sell US core. Solution:...

ZEQT vs VEQT vs XEQT: Why Is Everyone Ignoring This ETF?
ZEQT, VEQT and XEQT are Canada’s leading all‑equity asset‑allocation ETFs, but VEQT and XEQT command tens of billions in assets while ZEQT lags far behind. The three funds share almost identical global equity exposures, diversification across U.S., international and emerging...

J.P. Morgan Debuts Equity Premium Yield ETFs ROCY and ROCQ on Nasdaq
J.P. Morgan Asset Management launched two new active ETFs, ROCY and ROCQ, on the Nasdaq, expanding its derivative‑income suite. ROCY focuses on U.S. large‑cap equities while ROCQ targets Nasdaq‑listed stocks, both using a call‑spread options overlay to generate yield. Each...
Flow Traders Launches 24/7 OTC Liquidity Service for Tokenized Stocks, Gold and Money‑Market Funds
Flow Traders announced a 24/7 over‑the‑counter desk that provides two‑way pricing for tokenized money‑market funds, equities and commodities, including Franklin Templeton's BENJI and Tether Gold. The service aims to give permissioned institutional counterparties continuous access to tokenized assets, a move...

State Street Investment Management Expands LSE Offering: New Distributing ETF on European CLOs with Blackstone
State Street Investment Management launched a distributing version of its Blackstone Euro AAA CLO GBP Hedged UCITS ETF, allowing investors to receive regular coupon payments. The GBP‑denominated fund is fully hedged to sterling and carries a 0.30% total expense ratio....
JPMorgan’s First Taiwan ETF in over Decade Faces Crowded Market
JPMorgan Asset Management is launching its first Taiwan‑focused ETF since 2010, entering a market valued at about US$260 billion. The fund will employ an active strategy that combines cash equities with covered‑call options to boost cash distributions. Taiwan’s ETF sector is...
Lion Global Launches Singapore’s First Home‑Grown Physical Gold ETF on SGX
Lion Global Investors is listing the LionGlobal Singapore Physical Gold ETF on the Singapore Exchange on March 26, 2026, marking the first home‑grown gold ETF on SGX in 20 years. The product, backed by insured vault‑stored gold, follows a $502.2 million fund launched...

AMD Angles May Portend Upside for This Exciting ETF
Advanced Micro Devices (AMD) has slipped more than 7% year‑to‑date, yet its pivotal AI chip contracts with OpenAI and Meta keep it in focus. The Direxion Daily AMD Bull 2X Shares (AMUU) ETF aims to deliver twice AMD’s daily return,...

Short-Term Bond ETFs Are Still Fashionable
Short‑term bond ETFs remain a practical choice despite recent rate cuts, offering investors low‑cost exposure to conservative fixed‑income assets. While longer‑duration bonds promise higher yields and greater price sensitivity to rate moves, short‑term funds excel as liquid savings tools and...

Sell on the Pop Prospects: March 18 Edition
The March 18 Sell‑on‑the‑Pop Prospects list highlights 46 ETFs that meet a two‑step technical screen: a 50‑day moving average below the 200‑day average indicating a longer‑term downtrend, and a price above the 20‑day average suggesting a short‑term pop. A liquidity...

Gold Miners Near Support; Trendline Break Signals End
Miners $GDXJ vs Gold $GLD. Very close to support. Interestingly, only 1 of the last 5 corrections even reached the trendline. The end may be nigh. https://t.co/oK6drb2TpF
Explore Historical Return Stacking with Our New Tool
We get lots of questions around what return stacking looks like. So, we built a simple tool to explore how different stack sizes and blends, when layered on different stock/bond bases, behaved historically. (Link below.) https://t.co/ogWicOHDD6

Here’s Why Bitcoin May Be a 2026 Rally Candidate
Bitcoin’s price slump masks a strengthening underlying ecosystem, with regulated spot ETFs, custodians, and institutional gateways now operating more reliably than in past downturns. deVere Group CEO Nigel Green argues that the infrastructure foundation is the strongest ever, and that...

Breadth Clears 5‑day, Inverse ETFs Dominate Market Signal
Breadth just cleared the 5-day, and the best-looking charts are still the inverse ETFs. That tells you everything about this tape. 3/18: Transition phase. Initiating small pilots in theme-in-play names. Not forcing it. https://t.co/tWty14oJip
QAI: Hedge Fund Replication ETF With TIPs-Like Return And Risk
The NYLI Hedge Multi‑Strategy Tracker ETF (QAI) offers investors hedge‑fund style exposure through a blend of ETFs and swaps, charging a 0.88% expense ratio and delivering a 1.47% trailing‑12‑month yield. Launched in 2009, QAI emphasizes high‑quality, floating‑rate investment‑grade debt and...
XOVR: Tech-Heavy Strategy For A Pre-IPO Investment In SpaceX
ERShares Private‑Public Crossover ETF (XOVR) offers investors a blend of private and public equities, with a striking 35.81% allocation to SpaceX ahead of its anticipated IPO. The fund’s asset base has contracted due to outflows, forcing a higher concentration in...
Hartford Large Cap Growth ETF Q4 2025 Commentary
The Hartford Large Cap Growth ETF posted positive returns in Q4 2025 but lagged the Russell 1000 Growth Index. The shortfall stemmed mainly from weak security selection in information technology and communication services, while healthcare and industrial picks added modest support. Sector...
IXUS: A 8.5% Total Return Expected In The Long Term
The iShares Core MSCI Total International Stock ETF (IXUS) is outperforming the S&P 500 in early 2026 despite near‑term headwinds from Middle‑East tensions and a stronger U.S. dollar. Analyst Ivo Kolchev projects an 8.5% long‑term total return and maintains a Buy rating,...
Manulife Unveils Multi‑Asset Credit Fund ETF Series, Boosting Canada’s Fixed‑Income Landscape
Manulife Investments announced today the launch of the Manulife CQS Multi‑Asset Credit Fund ETF series, a new suite of exchange‑traded funds focused on credit markets. The series debuts in Canada, adding a diversified fixed‑income product line for retail and institutional...
U.S. Spot Bitcoin ETFs Log Record 6-Day Inflow Streak, $1.1B in Three Days
From March 9 to March 15, 2026, U.S. spot Bitcoin exchange‑traded funds recorded a six‑day streak of net inflows, totaling $962.8 million, with $199.4 million added on Monday alone. Over three consecutive days the sector attracted $1.1 billion, led by BlackRock’s iShares Bitcoin...
ZTR: Collect A 8.8% Yield While Aligned To Grow Alongside AI Infrastructure
Virtus Total Return Fund (ZTR) is being recommended as a buy, offering an 8.8% distribution yield while trading at an 11.08% discount to net asset value. The fund’s infrastructure‑heavy portfolio, including utilities such as NextEra Energy (NEE) and Waste Management...
HELO: Working As Designed
JPMorgan's Hedged Equity Laddered Overlay ETF (HELO) delivers S&P 500 exposure while slashing volatility roughly in half through a collar options structure. The design caps upside potential but consistently trims drawdowns, making it a defensive tool during risk‑off periods. With outright...

Top Performing Leveraged/Inverse ETFs: 03/15/2026
The latest weekly ranking of leveraged and inverse ETFs shows HIMZ soaring 120.5% after Defiance’s partnership with Novo Nordisk boosted Hims & Hers shares. Gold‑miner inverse products such as GDXD and JDST posted strong gains as a stronger dollar and higher Treasury...

QQQ’s 40‑Week MA Predicts New Highs or 18% Drops
$QQQ - You can see the importance of the 40 week moving average. Going back to 2014 every time a multi week decline bottomed at the 40 week MA QQQ went on to make a new all time high. On...

SPY Turns Constructive, Hits Target Above 200‑MA
$SPY getting a bit more constructive this week Sentiment washed out a bit Hit my 660 target nicely and basing type price-action above a rising 200-MA as NYMO hit extreme oversold Warned of the bearish RSI divergence into highs earlier this year, that...
WisdomTree Adds European Infrastructure ETF to Thematic Range: WBLD
WisdomTree launched the Europe Infrastructure UCITS ETF (WBLD) with a 0.45% total expense ratio, tracking a proprietary index of companies building transportation, digital and renewable energy assets across Europe. The fund is listed on Xetra, Borsa Italiana, Euronext Paris, SIX...
Bitcoin ETFs Arrived; Bitcoin Now Finance's Collateral Backbone
Years ago I pushed for Bitcoin ETFs. Many said it would never happen. Now Bitcoin ETFs are a reality and top buyers of Bitcoin. Next Bitcoin is becoming the collateral layer of finance. Infrastructure is being built now. Similarly hard and...

White House Dismisses Prices, Gas Futures Keep Climbing
$UGA Daily. "You're gonna need a bigger jawbone." White House trying to talk down oil & gasoline prices. But gasoline futures ETF still stretching out higher. https://t.co/vicHCJhxQx
ETFs Projected to Reach $10 Trillion by 2033:
A new Brown Brothers Harriman survey projects active exchange‑traded funds to reach $10 trillion in assets by 2033, marking the fastest growth segment in the ETF market. Investors are gravitating toward the blend of active management’s flexibility with the ETF’s low‑cost,...
Short ETF Volume Hits Record, Sentiment Unilaterally Bearish
Volume in short ETFs is the highest ever. Awesome chart from @MacroCharts. Many clues out there that show sentiment is about as one-sided as we've ever seen.
New Signals Boost Momentum‑Mean Reversion Switching Strategy
Bonus momentum and mean-reversion switching strategy update with new signals. $TLT $GLD $TLT Link in reply below. 👇

Taking Your ETF Strategy to Europe
The European exchange‑traded product market crossed the $3 trillion AUM mark last year, buoyed by $390 billion of fresh inflows and a 69 % rise in ETF investors over two years. A panel at the Exchange conclave walked participants through the full lifecycle...

ETF Combo Beats Benchmark: Higher Returns, Lower Risk
ETF Combo 30% $SPHB 30% $GLD 40% $DBMF (managed futures) Quarterly rebalance only. CAGR 16.5% vs 14.0% maxDD -19.8% vs -33.8% Vola 13.3% vs 20.1% Sharpe: 0.97 vs...

HALO Stocks Just Rebranded Value‑Growth Rotation, Not AI‑Proof
HALO stocks — Heavy Assets, Low Obsolescence — are being sold as a new AI-proof strategy. But Goldman's own data shows the trade tracks value vs. growth almost perfectly. A familiar rotation with a fresh acronym. I've taken a closer...
Yieldmax’s XOMO Pays An Ungodly 30% Dividend Yield As Oil Soars Above $100 A Barrel
YieldMax XOM Option Income Strategy ETF (XOMO) generates weekly distributions by selling call options on Exxon Mobil stock, delivering an eye‑catching 30% dividend‑equivalent yield as oil prices surge above $100 and market volatility spikes. The fund’s income stems from option premiums,...

Did You Miss the Value Trade?
The latest five‑year data shows a pronounced resurgence in value investing, with a 9.0% global value premium and regional premiums ranging from 7.2% in the United States to 19.4% in Japan. Charts from Ken French’s data library and Verdad research...

Small Caps Crack First; Large Caps Soon Follow
$IWM down 9% from highs. $SPY down 5%. 400 basis points of divergence. Small caps always crack first. The question is whether large caps follow. History says yes. https://t.co/sp96ah5BoF

BlackRock’s Model Shift: Scaling Active ETFs Ahead of Exchange
In February, actively managed ETFs in the United States attracted $73 billion of new capital, propelled by BlackRock’s recent model‑portfolio adjustments. By March 11, BlackRock’s active ETF suite had swelled to $98 billion, nearly three times its 2024 level, with flagship funds like...

SPY Gaps Up After Support, May Reclaim Red Zone
$SPY Tapped my support and gapped up. If it reclaims Friday's breakdown then likely back to red zone above https://t.co/aYherTDOmp

Uncertain Macro Environment May Call for Autocallable ETFs
The article warns that 2026’s macro landscape is clouded by escalating U.S. foreign‑policy tensions and lingering doubts about Federal Reserve independence, which could pressure equity markets. It proposes laddered autocallable income ETFs as a defensive tool, highlighting Calamos’s CAIE and...

Space ETFs in the Spotlight as Potential SpaceX IPO Looms
Space-focused exchange‑traded funds are gaining momentum as rumors swirl around a potential SpaceX initial public offering that could price the company at roughly $1.75 trillion. The Procure Space ETF, billed as the first pure‑play space fund, has delivered a 100.7% gain...