10-Mar-2026 6:33 AM CST - Seeking Alpha SCHD: An Unexpected Beneficiary Of The War In Iran SCHD holds 22% in energy and 68% in sectors resilient to oil shocks, positioning it to benefit from elevated oil prices and market volatility. See why the fund is a Buy.
3-Mar-2026 7:04 AM CST - The Motley Fool IGSB vs. VGSH: Which Short-Term Bond ETF Should You Choose? IGSB charges a slightly higher expense ratio but offers a higher yield and broader bond diversification. VGSH has shown smaller drawdowns and less volatility, reflecting its focus on short-term U.S. Treasuries. IGSB's portfolio tilts toward investment ...
13-Feb-2026 8:14 AM CST - Seeking Alpha The AI Bubble Burst: Phase Two The AI bubble burst Phase Two is currently unfolding; it's the AI disruption scare trade. The Phase Three will be when the AI adoption causes an increase in the unemployment rate and a recession - we are not there yet. Markets are likely to be volatile during the unfolding Phase Two; the crash comes with Phase Three.
2-Feb-2026 2:00 PM CST - Benzinga $100 Invested In Schwab U.S. Large-Cap Growth ETF 10 Years Ago Would Be Worth This Much Today Schwab U.S. Large-Cap Growth ETF (NYSE: SCHG) has outperformed the market over the past 10 years by 4.56% on an annualized basis producing an average annual return of 18.69%. Currently, Schwab U.S. Large-Cap Growth ETF has a market capitalization of $52.46 billion.
28-Jan-2026 1:29 PM CST - Seeking Alpha SCHV: Low Fees, Moderate Value Exposure, And Modest Volatility Of course, SCHV is less volatile than RPV; in the last decade, it has had a lower standard deviation, less severe drawdown, and better Sharpe Ratio, resulting in better risk-adjusted returns. However, it's worth noting that VTV experienced an even better risk-adjusted performance.
10-Mar-2026 6:33 AM CST - Seeking Alpha SCHD: An Unexpected Beneficiary Of The War In Iran SCHD holds 22% in energy and 68% in sectors resilient to oil shocks, positioning it to benefit from elevated oil prices and market volatility. See why the fund is a Buy.
3-Mar-2026 7:04 AM CST - The Motley Fool IGSB vs. VGSH: Which Short-Term Bond ETF Should You Choose? IGSB charges a slightly higher expense ratio but offers a higher yield and broader bond diversification. VGSH has shown smaller drawdowns and less volatility, reflecting its focus on short-term U.S. Treasuries. IGSB's portfolio tilts toward investment ...
13-Feb-2026 8:14 AM CST - Seeking Alpha The AI Bubble Burst: Phase Two The AI bubble burst Phase Two is currently unfolding; it's the AI disruption scare trade. The Phase Three will be when the AI adoption causes an increase in the unemployment rate and a recession - we are not there yet. Markets are likely to be volatile during the unfolding Phase Two; the crash comes with Phase Three.
2-Feb-2026 2:00 PM CST - Benzinga $100 Invested In Schwab U.S. Large-Cap Growth ETF 10 Years Ago Would Be Worth This Much Today Schwab U.S. Large-Cap Growth ETF (NYSE: SCHG) has outperformed the market over the past 10 years by 4.56% on an annualized basis producing an average annual return of 18.69%. Currently, Schwab U.S. Large-Cap Growth ETF has a market capitalization of $52.46 billion.
28-Jan-2026 1:29 PM CST - Seeking Alpha SCHV: Low Fees, Moderate Value Exposure, And Modest Volatility Of course, SCHV is less volatile than RPV; in the last decade, it has had a lower standard deviation, less severe drawdown, and better Sharpe Ratio, resulting in better risk-adjusted returns. However, it's worth noting that VTV experienced an even better risk-adjusted performance.