The Hamilton Global Financials ETF (HFG) continues to benefit from excellent performance, having materially outperformed Canadian financials in the last 1, 2, and 3-year periods with lower volatility. Despite the global financial sector’s strong performance over the last six months, there has been remarkably little discussion about it as current interests (AI, the “magnificent 7”, and a fixation on the Federal Reserve/the path for interest rates)…
Insights: Europe
Replay: Market Outlook with Ed Yardeni — Roaring 20s Still Ahead?
On April 2nd, 2024, we hosted a webcast with prominent Wall Street strategist, Ed Yardeni, where he provided his thoughts on U.S. equity markets, how the 2020s might be another ‘Roaring 20s, and what could cloud this optimistic outlook. Ed has been one of themost influential Wall Street strategists over the last 30 years and is regularly on CNBC and Bloomberg TV. For more…
Replay: Market Outlook with Ed Yardeni | The Re-Emergence of Bond Vigilantes
On November 2nd, 2023, we hosted a LIVE Q&A webcast with prominent Wall Street strategist, Ed Yardeni, moderated by Rob Wessel. During the presentation, Ed discussed the re-emergence of Bond Vigilantes and provided his thoughts on U.S. equity markets. Ed has been one of the most influential Wall Street strategists over the last 30 years and is regularly on CNBC and Bloomberg TV. For more…
Market Outlook with Ed Yardeni
On May 11th, 2023, we hosted a Q&A webcast with prominent Wall Street strategist Ed Yardeni, moderated by Rob Wessel. Throughout, Rob asked Ed for his thoughts on (i) U.S. equity markets and why he believes the S&P 500 bottomed on October 12, 2022; (ii) implications of changes in fiscal/monetary policy; (iii) recent events in the U.S. banking sector; (iv) what the yield curve is actually predicting and his…
HFT – Top Performing Fintech ETF by Wide Margin
With its focus on blue-chip firms, the Hamilton Financials Innovation ETF (HFT) outperformed all fintech ETFs in the last two years, including those offered by “high profile” U.S. providers/managers. When it was launched, we explained that HFT would differentiate itself versus its competitors by focusing on “blue-chip” firms focused on financial innovation with higher growth, which were (i) profitable, (ii) had established business models, and importantly…
HFG – Top Performing Global Financials ETF in Canada
Our Hamilton Global Financials ETF (HFG) was the top performing ETF in its category in 2022 and outperformed its domestic competitors and the iShares Global Financials ETF (IXG) over the last two years. During that period, HFG generated a total return of 17.5%, beating every competitor ETF by at least 2.8%[1]. Importantly, not only did HFG outperform its competitor global financials ETFs and the index in…
Market Outlook with Ed Yardeni
On October 13, 2022, we hosted a Market Outlook with Ed Yardeni, moderated by Rob Wessel, in which the prominent Wall Street strategist provided his outlook on U.S. and global equity markets, preferred sectors, the current geopolitical environment, and the implications of changing fiscal/monetary policy. Please register below to access the replay (58 min). Disclaimer: Commissions, management fees and expenses all may be associated with an investment…
Video: Market Outlook and Q&A with Ed Yardeni and Rob Wessel
Hamilton ETFs presents a Q&A with prominent Wall Street strategist, Ed Yardeni, moderated by Rob Wessel. Ed has been one of the most influential Wall Street strategists over the last 30 years and is regularly on CNBC. Rob asks Ed for his outlook on the U.S. and global equity markets, inflation, interest rates and, of course, the financials. Disclaimer: Commissions, trailing commissions, management fees and…
Global Financials: The Most Attractive/Important Investment Themes in 2021
Hamilton Global Financials ETF (HFG), which launched on June 26, 2020, is focused on investing in high quality global financial stocks with strong balance sheets, diversified income streams and exposure to favorable, medium- and long-term cyclical and secular trends. This focus aims to provide Canadian investors with diversified exposure to the most attractive themes within the global financial sector while maintaining a volatility profile not materially…
Financials: Does COVID-19 Represent a Growth Scare, Credit Event or Crisis?
Since we launched our first ETF in January 2016, there have been four significant macro corrections in four years. None of those large and painful corrections represented a crisis, insofar as the declines did not represent a threat to the solvency of the financial sector, either from a lack of liquidity or the destruction of capital. Rather, they were related to the market rapidly (and, in…
Scotia’s Pacific Alliance and Five Takeaways on Global Growth
Last week, Bank of Nova Scotia reported its Q3 results and its International Banking division generated solid double-digit earnings growth, supported by a strong economic backdrop and acquisitions. Within this segment is the Bank’s operations in the Pacific Alliance, the Latin American trade bloc that includes Peru, Chile, Columbia, and Mexico. This very large emerging markets platform has over $100 bln in loans, generates earnings of…
European Banks in Charts: Credit Normalization vs. Margins
The European banking sector includes some of the world’s largest banks, making its health and profitability very important to the global markets. Given the sustained weakness in the sector (the STOXX Europe 600 Banks has fallen ~30% since the beginning of 2018), we thought it would be helpful to review key balance sheet and income statement trends – in 14 charts – since the European sovereign…