Commentary: HBIL.U

Nick Piquard on BNN Bloomberg: Bond Volatility & More

U.S. bond markets are spooked by inflation. Our Chief Options Strategist, Nick Piquard, was on BNN Bloomberg this week to discuss what this could mean for investors. With the 30-year U.S. Treasury yield recently reaching its highest level since 2007, Nick pointed out that the recent bond selloff could be an opportunity for investors to rebalance their portfolios. Since equities have been surging, investors may be…

Hamilton ETFs Announces Plans to Launch Two New YIELD MAXIMIZER™ ETFs with Filing of Preliminary Prospectus

TORONTO, April 20, 2026 – Hamilton Capital Partners Inc. (“Hamilton ETFs”) is pleased to announce that it has filed a preliminary prospectus with the Canadian securities regulators for the Hamilton Canadian Equity YIELD MAXIMIZER™ ETF (CMAX) and the Hamilton International Equity YIELD MAXIMIZER™ ETF (IMAX), two new additions to its suite of YIELD MAXIMIZER™ ETFs. ETF Name Proposed Ticker Units Investment Objective Hamilton Canadian Equity YIELD…

HBIL: Adapting to an Uncertain Interest Rate Environment

The investment landscape for fixed income has changed since the September 2024 launch of our Hamilton U.S. T-Bill YIELD MAXIMIZER™ ETF (HBIL, HBIL.U). As we navigate uncertain times, we are adjusting HBIL to support a more resilient approach for investors seeking higher income in a shorter duration fixed income product. HBIL was designed to provide a yield advantage over short-term U.S. Treasury bills, while maintaining a…

Yardeni Fireside: Key Takeaways

On November 3rd, we hosted the prominent Wall Street strategist, Ed Yardeni, in Toronto for a fireside chat moderated by Jennifer Mersereau and Pat Sommerville, Co-CEOs of Hamilton ETFs. The discussion centered on his “Roaring 2020s” thesis, offering insights into the transformative trends defining the decade ahead.

Replay: Market Outlook with Ed Yardeni (2025-06-04)

On June 4, 2025, we hosted our 8th Market Outlook with Ed Yardeni where the prominent Wall Street strategist provided his current thoughts on the U.S. economy and stock market, including what is fueling the market’s resilience, where risks still linger, and what could trigger the next move — up or down. See below for the replay.

Volatility Is Back — and Likely Here to Stay

Markets have shown remarkable resilience, bouncing back from the lows seen in early April. But beneath this recent resurgence, a key shift has emerged: significantly elevated volatility. While the broader market indices’ year-to-date returns suggest some sense of stability, the volatility seen last month was reminiscent of March 2020 and even the 2008 Global Financial Crisis (GFC) — periods marked by far steeper drawdowns.

Navigating Tariff Turmoil with Ed Yardeni

Rising geopolitical tensions and renewed fears of a tariff-driven trade war have injected fresh uncertainty and volatility into global markets. To help investors make sense of it all, we sat down on April 8th with prominent Wall Street strategist, Ed Yardeni, to ask five questions that are top of mind for investors.

Replay: Market Outlook with Ed Yardeni (2025-02-05)

Last week, we hosted our 7th Market Outlook with Ed Yardeni where the prominent Wall Street strategist provided his current thoughts on the U.S. economy and stock market, including three potential market scenarios and his probabilities for each. See below for a replay and key takeaways from the webcast.

Replay: Market Outlook with Ed Yardeni (Sep. 2024)

On September 24, 2024, we hosted our 6th Market Outlook with Ed Yardeni where the prominent Wall Street strategist provided his current thoughts on the U.S. economy and stock market, including three potential market scenarios and his probabilities for each. See below for a replay of the webcast as well as a written summary.

Monetizing Volatility in Bonds (a First) & Equities – Podcast

Our Chief Options Strategist, Nicolas Piquard, was recently featured in an Advisor Analyst podcast to discuss how investors can benefit from rising volatility in today’s markets by using covered call strategies to generate income. Nick also makes the case for a new and timely opportunity from bonds, with the Hamilton U.S. Bond Yield Maximizer ETF (HBND). CLICK HERE to listen to the full podcast.      …

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