6-Nov-2025 1:04 AM CST - Seeking Alpha IWF Is A Better Bet Than VUG For Growth Exposure IWF outperforms VUG in long-term Sharpe ratios, lower volatility, and better downside protection. Read more about IWF and VUG ETFs here.
6-Jul-2025 8:00 AM CST - Seeking Alpha UTG: Beware Of Riding Until The Bubble Pops (Rating Downgrade) UTG surged 42% on AI-driven optimism and leveraged sector exposure, but yield compression and volatility risks now loom. See why UTG ETF is a hold.
15-May-2025 12:08 PM CST - Benzinga New Innovator ETF Targets Rolling Downside Protection With Up To 50% Equity Upside Innovator Capital Management provides investors with a Kevlar vest-like ETF, BFRZ, that offers 100% downside protection and some upside potential. With low fees, BFRZ seeks to deliver returns and resilience in volatile markets.
18-Dec-2024 5:19 PM CST - Morningstar Fidelity Strategic Dividend & Income The fund aims to deliver higher income than the S&P 500 with lower volatility through a unique neutral allocation: 50% dividend-yielding equities, 20% preferred stocks, 15% REITs, and 15% ...
6-Nov-2025 1:04 AM CST - Seeking Alpha IWF Is A Better Bet Than VUG For Growth Exposure IWF outperforms VUG in long-term Sharpe ratios, lower volatility, and better downside protection. Read more about IWF and VUG ETFs here.
6-Jul-2025 8:00 AM CST - Seeking Alpha UTG: Beware Of Riding Until The Bubble Pops (Rating Downgrade) UTG surged 42% on AI-driven optimism and leveraged sector exposure, but yield compression and volatility risks now loom. See why UTG ETF is a hold.
15-May-2025 12:08 PM CST - Benzinga New Innovator ETF Targets Rolling Downside Protection With Up To 50% Equity Upside Innovator Capital Management provides investors with a Kevlar vest-like ETF, BFRZ, that offers 100% downside protection and some upside potential. With low fees, BFRZ seeks to deliver returns and resilience in volatile markets.
18-Dec-2024 5:19 PM CST - Morningstar Fidelity Strategic Dividend & Income The fund aims to deliver higher income than the S&P 500 with lower volatility through a unique neutral allocation: 50% dividend-yielding equities, 20% preferred stocks, 15% REITs, and 15% ...