Over the past several decades, the composition of central bank reserves has undergone a structural transformation. In the mid-20th century, gold accounted for more than 60% of global reserve holdings, ...
In 2025, frontier AI model performance converged dramatically, with performance benchmarks like LMSYS’s Chatbot Arena revealing near-parity among top systems—a seismic shift suggesting excellence ...
There's a quiet revolution taking shape in portfolios. For decades, the 60/40 mix—60% equities, 40% bonds—was the shorthand for prudence, diversification and balance. 1 But the regime that made that ...
U.S. equities don’t have a monopoly on acronyms. Before there was the Magnificent 7, it was the FAANGS. Europe has been consistently ignored by U.S. investors over the lack of its own basket of ...
Bitcoin’s fixed supply and decentralized nature position it as an inflation hedge and alternative asset amid ongoing economic uncertainty, geopolitical tensions and inflationary pressures. The launch ...
Sources: Bloomberg, WisdomTree, as of 6/30/25. Please note: All-In Sustaining Margins represent the difference between gold price and the weighted average all-in sustaining costs (AISC) of the ...
Nvidia recently reached a new milestone, surpassing $3 trillion in market capitalization. There are six ETFs with more than 10% exposure to Nvidia and more than $100 million of AUM: BOTZ, CHAT, SOXX, ...
September’s jobs report surprised markets with stronger-than-expected payroll growth, while the unemployment rate also rose, due to a surge in labor force participation. This divergence is explained ...
Upon launching the WisdomTree U.S. Efficient Core Fund (NTSX), previously referred to as the WisdomTree 90/60 U.S. Balanced Fund, we updated some of the seminal research from Cliff Asness on the ...
U.S. Treasury yield curves have normalized after prolonged inversion, with the 2s/10s and 3-Month/10-Year constructs now turning positive. Federal Reserve rate cuts and a macro narrative shifting ...
The VIX’s surge past 60 in April 2025 mirrors past market bottoms, historically preceding strong 12-month equity gains across major downturns. Despite widespread stagflation fears and weak ...
As geopolitical risks and inflationary pressures persist, commodities are reclaiming their role as a crucial hedge and portfolio diversifier in 2025. The potential for tariffs, shifting trade policies ...
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