-
The firm unveiled a discount in a footnote on page 94 of a revised regulatory filing.
April 9 -
The average fee was nearly 20 basis points higher than the top-performer.
February 13 -
The emerging markets credit fund will pursue long-term investments in conditions that the manager says may already equate to a bear market.
January 28 -
The Global Income Fund slashed its equities exposure by nearly a third in October and moved part of the proceeds into U.S. and European high-yield debt.
November 30 -
ESG ETFs currently hold a combined $6 billion in assets. The firm expects that will grow to $500 billion in the next decade.
October 24 -
One of the firm’s corporate bond funds is down 4.3% this year, while another has lost 5.4%.
October 1 -
The fund is expected to debut in the third quarter and will use an ETF of ETFs structure.
May 22 -
The fund aims to give investors exposure to the most liquid and high-quality bonds issued by companies in the S&P 500.
May 4 -
Three popular debt ETFs reported nearly $1.4 billion in combined outflows this week.
December 8 -
The regulator was looking into customer complaints and arbitration claims that rep engaged in unsuitable trading.
November 7