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Direxion Value Line(R)Small-and Mid-Cap High Dividend ETF Added to Schwab ETF OneSource(TM)

Strategic Beta ETF using Value Line's Ratings and Ranks to Identify High-Dividend-Yielding Stocks Now Available Commission Free
July 1, 2015--Direxion Investments announced today that the Direxion Value Line(R) Small-and Mid-Cap High Dividend ETF (Ticker: VLSM) is the sixth of its Strategic Beta ETFs now available through Schwab ETF OneSource(TM), Charles Schwab & Co.'s commission-free* ETF program.

Direxion Strategic Beta ETFs allow investors to potentially enhance their portfolios with the best characteristics of both active management and passive indexing.

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Source: Direxion Investments


ISE Holdings Reports Business Activity for June 2015

July 1, 2015--ISE and ISE Gemini combined represent 17.8% of equity options market share, excluding dividend trades.

ISE and ISE Gemini reported a combined ADV of 2.4 million contracts.

Dividend trades made up 1.1% of industry volume in June 2015

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Source: ISE


ALPS Adds Two More Equal Sector Weighted Strategies to ETF Lineup

New Asset Management Solutions Provide Investment Diversification across Style and Sector
July 1, 2015--ALPS, a DST Company focused on asset management and asset servicing, today announced the addition of two new equal sector ETF strategies to its growing lineup of exchange traded funds.

The new funds-ALPS Sector Leaders ETF (SLDR) and ALPS Sector Low Volatility ETF (SLOW)-will track the S-Network Sector Low Volatility and S-Network Sector Leaders indexes respectively

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Source: Alps


SEC's panel still at a loss over how to fix 'broken market'

June 30, 2015--Equity markets are "broken," a "complete mess," or maybe even "rigged." Luis Aguilar, a commissioner on the Securities and Exchange Commission, was quoting others when he used those words in remarks to the inaugural meeting of the SEC Equity Markets Structure Advisory Committee on May 13

But his warnings were no less emphatic. Almost five years to the day since the so-called flash crash, the SEC and key market players were finally gathered to discuss, and inevitably debate, the causes and responses to a significant decrease in investor and regulator confidence in the markets. It's been a long road getting to this point.

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Source: MarketWatch


US IPO Market Takes Off Again in the Second Quarter: Renaissance Capital's 2Q 2015 Review

June 30, 2015--IPO activity more than doubled during the second quarter compared to the slow first quarter, which hit a 2-year low.

The 70 IPOs raised almost $13 billion, with each month this quarter having the year-to-date most IPOs, the most proceeds raised and the most initial filings. Issuance rose across nearly every sector, particularly in technology, consumer, and energy. Tech and energy had uncharacteristically weak performance while consumer was the top sector for returns. Fueled by a continued wave of biotechs, the health care sector has accounted for over one in three IPOs for four quarters in a row.

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Source: Renaissance Capital


IMF Working paper-The Macroeconomic Relevance of Credit Flows: An Exploration of U.S. Data

June 30, 2015--Summary: This paper exploits the Financial Accounts of the United States to derive long time series of bank and nonbank credit to different sectors, and to examine the cyclical behavior of these series in relation to (i) the long-term business cycle,(ii) recessions and recoveries, and (iii) systemic financial crises.

We find that bank and nonbank credit exhibit different dynamics throughout the business cycle. This diverging cyclical behavior of output and bank and nonbank credit argues for placing greater emphasis on sector-specific macroprudential measures to contain risks to the financial system, rather than using interest rates to address any vulnerabilities. Finally, we examine the role of bank and nonbank credit in the creation of financial interconnections and illustrate a method to conduct macro-financial stability assessments.

view the IMF Working paper-The Macroeconomic Relevance of Credit Flows: An Exploration of U.S. Data

Source: IMF


IMF Working paper-A New Methodology for Estimating the Output Gap in the United States

June 30, 2015-- Summary: The gap between potential and actual output-the output gap-is a key variable for policymaking. This paper adapts the methodology developed in Blagrave and others (2015) to estimate the path of output gap in the U.S. economy.

The results show that the output gap has considerably shrunk since the Great Recession, but still remains negative. While the results are more robust than other existing methodologies, there is still significant uncertainty surrounding the estimates.

view the IMF Working paper-A New Methodology for Estimating the Output Gap in the United States

Source: IMF


Zuma Bay Capital Launches Volatility-Based Alternative Investment Fund

Zuma Bay Volatility Fund uses hedged S&P 500 volatility (VIX) to deliver market-neutral returns.
June 30, 2015--Zuma Bay Capital, LLC, a California registered investment advisor (RIA), has launched the Zuma Bay Volatility Fund.

The objective of the Fund is to deliver consistent market-neutral returns with limited downside exposure. To accomplish this the fund utilizes a strategy that trades S&P 500 volatility (i.e. VIX) derivatives, namely VIX ETFs/ETNs and vertical spreads on their related options. The Manager implements a proprietary quantitative model using market data and macroeconomic inputs to forecast changes in the VIX in order to optimize trade timing and limit downside risk.

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Source: Zuma Bay Capital


Bruised Solar Stock Hanergy Exits Guggenheim ETFs

June 30, 2015--Troubled Chinese solar stock Hanergy has been dumped from the flagship solar exchange traded fund.

The banged-up stock contributed to a steep fall in Guggenheim Solar (TAN), a $332.1 million ETF, in late May. Two other Guggenheim ETFs have also sold off all positions in Hanergy Thin Film Power Group, according to a representative for the company.

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Source: Nasdaq.com


Nuveen Diversified Commodity Fund Announces Shareholder Approval of Proposed ETF Conversion

June 30, 2015--Nuveen Investments, a leading global provider of investment services to institutions as well as individual investors, today announced that shareholders of the Nuveen Diversified Commodity Fund (CFD), have approved the plan to convert the fund into an open-ended exchange-traded fund (ETF).

The conversion plan is also contingent on customary regulatory approvals.

As previously announced, the purpose of the conversion is to seek a closer alignment between the fund’s share price and net asset value.

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Source: MarketWatch


SEC Filings


February 27, 2026 VegaShares ETF Trust files with the SEC
February 27, 2026 Two Roads Shared Trust files with the SEC-3 LeaderShares ETFs
February 27, 2026 AIM ETF Products Trust files with the SEC-AllianzIM U.S. Equity 6 Month Floor5 Jan/Jul ETF and AllianzIM U.S. Equity 6 Month Floor5 Apr/Oct ETF
February 27, 2026 Dimensional ETF Trust files with the SEC- 41 ETFs
February 27, 2026 Two Roads Shared Trust files with the SEC-Conductor Global Equity Value ETF

view SEC filings for the Past 7 Days


Europe ETF News


February 19, 2026 How Do Interest Rates Impact the Real Estate Market?
February 19, 2026 London Stock Exchange celebrates WisdomTree launching Drones, Humanoids and Physical AI ETF
February 13, 2026 New ETF and ETP Listings on February 13, 2026, on Deutsche Borse
February 12, 2026 New ETF and ETP Listings on February 12, 2026, on Deutsche Borse
February 12, 2026 Avantis Doubles European ETF Offering

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Asia ETF News


February 18, 2026 How China's Economy Can Pivot to Consumption-led Growth
February 09, 2026 Abu Dhabi's GDP expands 7.7%,non-oil economy grows 7.6% in Q3 2025
February 06, 2026 Strong and consistent demand by Korean retail investors throughout 2025 for overseas listed ETFs
February 02, 2026 Mirae Asset Global Investments Launches Mirae TIGER China Securities ETF, Tracking the Solactive China Securities Index
February 02, 2026 Daily Price Limits to be Broadened(ETF/ETN): 3 issues

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Global ETP News


February 27, 2026 New WFE Data: public markets post strong growth for 2025 despite geopolitical instability
February 26, 2026 Global debt hits $348 trillion in 2025 driven by government spending, says IIF
February 26, 2026 ETFGI reports Active ETFs Smash Records: Assets Top US$2 Trillion on Highest‑Ever Monthly Inflows
February 26, 2026 ETFGI reports Global ETF Assets Hit New Record US$20.64 Trillion as January Net Inflows Hit Second Highest Level on Record
February 18, 2026 Stock-Bond Diversification Offers Less Protection From Market Selloffs

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Middle East ETP News


February 18, 2026 Abu Dhabi's Mubadala doubles investment in Bitcoin ETF to $630mln
February 18, 2026 UAE, Saudi to anchor Middle East's $25bln sustainable bond surge in 2026
February 16, 2026 New $200m fund to boost liquidity on Qatar stock exchange
February 09, 2026 Abu Dhabi's GDP expands 7.7%,non-oil economy grows 7.6% in Q3 2025

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Africa ETF News


February 13, 2026 Retail revolution on Nairobi Exchange

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ESG and Of Interest News


February 27, 2026 Ranked: The World's Richest Countries vs. the Happiest Countries
February 26, 2026 WFE Accessing Transition Finance-A Practical Guide for Issuers
February 20, 2026 Ranked: The World's 50 Largest Economies, Including U.S. States
February 19, 2026 Technology will take our jobs? We've heard that one before
February 14, 2026 How Do Interest Rates Impact the Real Estate Market?

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White Papers


February 04, 2026 New SIX White Paper: Swiss Versus US Listings
January 23, 2026 IMF Working Paper: Understanding China's 2024-25 Frontloading from the Lens of Product-Level Export Baskets
January 23, 2026 IMF Working Paper: Structural Reforms in Saudi Arabia Since 2016
January 23, 2026 IMF Working Paper: Structural Reforms in Saudi Arabia Since 2016

view more white papers