Markets were very volatile during 2025, with the Nifty falling below 22,000 in March before recovering and shooting past 26,000 in October. Analysts expect heightened volatility to continue in 2026 as ...
This repository contains instances, solutions, and models for Berth Allocation Problems. At the present moment, it contains data for a single problem with the following characteristics: Temporal ...
AUSTIN, TX / ACCESS Newswire / November 18, 2025 / Kensington Asset Management is proud to announce the Kensington Dynamic Allocation Fund (KAGIX) has reached its five-year anniversary, exceeding $1.2 ...
We may receive a commission on purchases made from links. Did you know that modern food companies spend, on average, 10% to 40% of their product development and marketing budgets on packaging (per ...
The article introduces a dynamic ETF allocation model using the CAPE-MA35 ratio—the Shiller CAPE divided by its 35-year moving average—to identify market phases and adjust portfolio exposure. The ...
The fund has returned 37.59 percent over the past year, 16.91 percent over the past three years, and 12.00 percent over the past five years.
The investment seeks long-term total return through a balance between income and the potential for long-term capital growth. Under normal circumstances, the fund invests 25-65% in equity securities ...
Underpinning GMOD is GMO’s long-standing view that markets can diverge from fair value but will ultimately return. The ETF seeks to benefit from those cycles by dynamically tilting exposure to asset ...