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Investing in an etf financial sector ETFs dipped 0
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Financial sector ETFs dipped 0.9% last week on weaker bank earnings guidance. Analysts suggest watching for stress test results as they could influence valuations. The fund uses a two-part strategy to achieve its objectives. First, it builds a defensive equity portfolio by investing in stocks ranked by JPMorgan 's risk-adjusted system. Second, it implements a disciplined options overlay strategy by writing out-of-the-money (above the current market price) call options on the S&P 500 Index to generate options premium income. As an options writer (short seller), the fund receives the premium (the value of the option) upfront. Since 1996, we’ve offered private strategies across hedge funds, venture capital, and other alternatives. In the 2000s, we capitalized the re-rating of emerging market debt and China’s commodities super-cycle, strategies that grew to more than $4 billion at their peak. Bond ETFs have seen inflows exceeding $5.2B in June as Treasury yields stabilized around 4.25%. Investors seeking lower volatility are increasing their allocations while awaiting inflation data’s impact on rate cuts.