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With an Infrastructure 'Supercycle' Looming, Turn to 'NFRA'

Investors should consider infrastructure sector-specific ETFs after President Joe Biden laid out plans to upgrade aging U.S. infrastructure.

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Join Japan's Equity Resurgence with the FlexShares QLVD ETF


February 24, 2021
Japanese stocks are among the best-performing developed markets fare, a theme dating back to last year. Investors can join in the fun with the
QLVD’s quality screen analyzes a broad universe of equities based on key indicators such as profitability, management efficiency, and cash flow, and then excludes the bottom 20% of stocks with the lowest quality score. The index is then subject to the regional, sector, and risk-factor constraints in order to manage unintended style factor exposures, significant sector concentration, and high turnover.
Finally, Japanese stocks are shaking out of a lengthy slumber, one caused in part by unfavorable currency conversions against the U.S. dollar.

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2 FlexShares ETFs on the Front Lines of the ESG Movement

Within his first month in office, Joe Biden signed climate change executive orders, rejoined the Paris Agreement, and nominated ESG investment allies...

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Is Biden's Infrastructure Imminent? 'NFRA' Could Be a Good Play Today


February 22, 2021
The 2020 election season is a thing of the past, but that doesn’t damage the case for infrastructure assets such as the
NFRA tries to reflect the performance of the STOXX Global Broad Infrastructure Index, which identifies equities that derive the majority of revenue from infrastructure business, providing exposure to both traditional and non-traditional infrastructure sectors. Investors considering NFRA or any other infrastructure asset are betting this time will be different when it comes to policy execution under President Biden.
Chris Huemmer, a senior investment strategist at FlexShares, sees infrastructure as an asset class poised to benefit this year.

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SKOR Big with This Indexed Corporate Bond ETF from FlexShares


SKOR Big with This Indexed Corporate Bond ETF from FlexShares
February 18, 2021
Corporate bonds are one of the largest segments of the already vast fixed income landscape. That expansive nature tends to highlight the advantages of index-based approaches such as the
SKOR tracks the Northern Trust Credit-Scored US Corporate Bond Index, which focuses on issues from companies with quality characteristics such as strength in management efficiency, profitability, and solvency, according to FlexShares.
“Exchange-traded funds tracking indexes that are representative of the broad investment-grade corporate bond market are a solid option for exposure to this asset class,” writes Morningstar analyst Neal Kosciulek.” Portfolios that mimic the contours of this opportunity set and boast low fees have been difficult for active managers to beat. Over the 10 years through June 2020, just 40% of actively managed funds in the corporate bond Morningstar Category managed to survive and outperform the average of their passive peers.”

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How to Stay Selective in Today's ESG Frenzy

Last year, a staggering amount of capital was allocated to environmental, social, and governance (ESG) exchange traded funds.

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Is Your Low Volatility Strategy Good Enough? Test It Overseas


Is Your Low Volatility Strategy Good Enough? Test It Overseas
February 12, 2021
A low volatility strategy can help investors avoid market queasiness. According to a recent Forbes article, one great way to test such a strategy is to see how it fares overseas.
“One robust way to test out factors is to see if they hold up across geographies,” the Forbes article said. “Researchers have found that low volatility does appear to work in China for the A Shares Market, though in a slightly different manner to the U.S. market. This is also relatively recent research looking at the 2000-2018 period, so may be less prone to the issue that historical performance can decline once the factor is well understood. This research is titled ‘The Volatility Effect in China’ and produced by researchers at Robeco Investments.”

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GameStop's #1 Investing Lesson: Focus on Quality


February 8, 2021
One of the early lessons emerging from the GameStop saga is that for many investors, quality is the way to go in all market environments. The  
QLV follows the Northern Trust US Quality Low Volatility Index. The ETF’s benchmark employs a quality screen to provide exposure to high-quality companies with lower absolute risk, thereby limiting potential future volatility. The quality screen analyzes a broad universe of equities based on key indicators such as profitability, management efficiency, and cash flow, and then excludes the bottom 20% of stocks with the lowest quality score. The index is then subject to the regional, sector, and risk-factor constraints, in order to manage unintended style factor exposures, significant sector concentration, and high turnover.

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Not the Latest Robot: 'IDOG' ETF Poised for More Gains


January 20, 2021
Dividend stocks steadied late last year after a turbulent first half. With that steadiness comes expectations that growth will resume this year. Those sentiments apply to international dividend payers too, enhancing the appeal of the
ALPS identifies the five highest-yielding securities in the 10 GICS sectors on the last trading day of November. From there, IDOG is rebalanced quarterly in an effort to keep sector weights in the area of 10% and individual holdings at around 2%.
With more looking to foreign markets as a way to diversify away from U.S. equities, investors will face certain risks associated with international exposure. Nevertheless, there are a number of smart beta global exchange traded fund strategies that can help investors better manage risks.

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