Americas ETP News

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Pax World to Exit ETF Business, Merge Socially Responsible ETF Into an Open-End Fund

December 27, 2013--On Thursday, Dec. 12, Pax World announced that it plans to merge its socially responsible ETF into a newly created open-end mutual fund.

The firm announced that sometime in early 2014, it will merge the $55.5 million Pax MSCI EAFE ESG Index ETF (EAPS) and a Pax open-end mutual fund, the $44.5 million Pax World International Fund (PXIRX), into a newly created fund, to be named Pax World International ESG Index Fund.

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Source: Morningstar


CFTC Grants Singapore Exchange Derivatives Clearing Ltd. Registration as a Derivatives Clearing Organization

December 27, 2013--The U.S. Commodity Futures Trading Commission (CFTC) issued an Order granting Singapore Exchange Derivatives Clearing Limited (SGX-DC) registration as a derivatives clearing organization pursuant to

Section 5b of the Commodity Exchange Act.

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Source: CFTC.gov


U.S. Commodity Futures Trading Commission and Monetary Authority of Singapore Sign Memorandum of Understanding to Enhance Supervision of Cross-Border Regulated Entities

December 27, 2013--Today, leaders of the U.S. Commodity Futures Trading Commission (Commission) and the Monetary Authority of Singapore (MAS) signed a Memorandum of Understanding (MOU) regarding cooperation and the exchange of information in the supervision and oversight of regulated entities

that operate on a cross-border basis in the United States and Singapore.

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Source: CFTC.gov


Copper spikes on 'fat finger' trade

December 26, 2013--Copper prices rose to their highest finish in seven months Tuesday after an erroneous trade triggered a late-session rally.

The most actively traded contract, for March delivery, gained 6.65 cents, or 2%, to $3.3740 a pound on the Comex division of the New York Mercantile Exchange. This was the highest settlement price since May 22.

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Source: cableabc.net


Effective swaps oversight undercut by inaccurate data reporting

December 26, 2013--The Commodity Futures Trading Commission's efforts to create a system for tracking derivatives trading is running into trouble because it relies on what is turning out to be bad data.

The regulator is trying to correct errors that have caused much of the information it produces to be unreliable. The agency has already incorrectly reported the size of some swaps used in interest-rate hedging.

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Source: smartbrief.com


Federal Court Gives Regulators Until Dec. 30 to Respond in Volcker Case

Regulators Want Additional Time to Respond to ABA's Demand to Halt Provision of Volcker Rule
December 26, 2013--A federal court Thursday partially granted banking regulators' request for additional time to respond to an industry group's demand that they halt a provision of the Volcker rule.

The Federal Reserve, Federal Deposit Insurance Corp. and Office of the Comptroller of the Currency have until Monday to respond to the American Bankers Association's request to delay the provision, according to an order filed in the U.S. Court of Appeals for the District of Columbia Circuit.

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Source: Wall Street Journal


CFTC.gov Swaps Report Update

December 26, 2013--CFTC's Weekly Swaps Report has been updated, and is now available.

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Source: CFTC.gov


DB-Synthetic Equity & Index Strategy-North America-US ETF Market Weekly Review- Growth ETPs led Equity weekly inflows of $9.6bn

December 23, 2013--Data in this report is as of Fri, Dec 20th
Market and Net Cash Flows Review
The US (S&P 500) edged higher by 2.42%; while, outside the US, the MSCI EAFE (in USD) rose by 2.57% and the MSCI EM (USD) dropped by 0.21%. In the meantime, performance was positive across US sectors; the Industrials (+3.39%) and Materials (+2.80%) sectors recorded the largest weekly gains.

The DB Liquid Commodity Index rose by 1.02%; similarly, the Agriculture sector (DB Diversified Agriculture Index) and the WTI Crude Oil rose by 0.42% and 2.82%, respectively; while Gold and Silver prices fell by 2.87% and 1.40%, respectively. Moving into other asset classes, the 10Y US Treasury Yield rose 1bps ending at 2.89%. Last but not least, Volatility (VIX) dropped by 12.50% during the same period.

The total US ETP flows from all products registered $7.9bn (+0.5% of AUM) of inflows during last week vs. $7.6bn (+0.5%) of inflows the previous week, setting the YTD weekly flows average at +$3.5bn (+$176.9bn YTD in total cash flows).

Equity, Fixed Income and Commodity ETPs experienced flows of +$9.6bn (+0.7%), -$0.7bn (-0.3%) and -$1.1bn (-1.7%) last week vs. +$7.4bn (+0.6%), +$0.7bn (+0.3%) and -$0.5bn (-0.9%) in the previous week, respectively.

Among US sectors, Industrials (+$0.6bn, +4.5%) and Materials (+$0.4bn, +3.7%) received the top inflows, while Energy (-$0.2bn, -0.8%) and Utilities (-$0.1bn, -1.5%) experienced the largest outflows.

Top 3 ETPs & ETNs by inflows: VO (+$1.3bn), VXF (+$1.0bn), VB (+$0.9bn)

Top 3 ETPs & ETNs by outflows: SPY (-$1.9bn), GLD (-$0.5bn), QQQ (-$0.5bn)

New Launch Calendar: USD, JGB, US HY Corporate and US broad bonds

There were six new ETFs listed by WisdomTree during the previous week. The new products offer exposure to the US broad bond market (AGZD; AGND) and below investment grade corporate bonds (HYZD; HYND) while seeking to manage interest rate risk through the use of short positions in US Treasuries; changes in Japanese interest rates (JGBB), and the value of the US dollar against a basked of developed and emerging market currencies (USDU).

Turnover Review: Floor activity increased by 32.4%

Total weekly turnover increased by 32.4% to $369.4bn vs. $279.0bn from the previous week; Furthermore, last week's turnover level was 37.0% over last year's weekly average. Equity, Fixed Income and Commodity ETPs turnover increased by $81.9bn (+32.8%), $4.2bn (+23.6%) and $3.4bn (+38.6%) during the same period, respectively.

Assets under Management (AUM) Review: assets increased by $28.3bn

US ETP assets rose by $28.3bn (+1.7%) totaling $1.650 trillion at the end of the week. As of last Friday, US ETPs had accumulated an asset growth of +23.8% YTD. Assets for Equity, Fixed Income and Commodity ETPs moved +$31.2bn, -$0.7bn and -$2.2bn during last week, respectively.

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Source: Deutsche Bank-Synthetic Equity & Index Strategy-North America


US ETF shop for sale (ETFs not included)

December 23, 2013--A private equity group has put its exchange traded fund business on the auction block, soliciting offers for an entity without products or assets but with regulatory approval to launch them.

It is the latest example of an entity selling its ETF regulatory approval to the highest bidder, an undertaking that is meeting with varying degrees of success, sources say.

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Source: FT.com


NYSE proposes 'kill switch' to help catch trading errors

December 23, 2013--IntercontinentalExchange Group's NYSE Euronext unit has filed a plan with regulators to offer firms that trade on the New York Stock Exchange a "kill switch" that could cut off trading if preset levels were breached.

Risk controls have been a major focus for the securities industry in the wake of high-profile snafus like the August 2012 glitch at Knight Capital Group, now a part of KCG Holdings Inc, that sent a flood of errant orders to the NYSE, nearly sank the firm and led to its takeover by rival Getco. Knight was one of the biggest executors of U.S. trades.

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Source: Reuters


SEC Filings


April 21, 2026 Capital-Force ETF Trust files with the SEC- CapForce IBDÃ’ 50 ETF and Capital-Force IBDÃ’ Breakout Opportunities ETF
April 20, 2026 Precidian ETF Trust II files with the SEC
April 20, 2026 Pear Tree Funds files with the SEC
April 20, 2026 Praxis Funds files with the SEC-Praxis Impact Large Cap Value ETF and Praxis Impact Large Cap Growth ETF
April 20, 2026 Krane Shares Trust files with the SEC-KraneShares High-Bandwidth Memory ETF

view SEC filings for the Past 7 Days


Europe ETF News


April 17, 2026 Liquidation of JPMorgan ETFs (Ireland) - Green Social Sustainable Bond Active UCITS ETF-effective from 29 May 2026
April 14, 2026 KraneShares Introduces Options on KWEB UCITS through Eurex, Enhancing Flexibility for Its Flagship China ETF
April 08, 2026 Lloyd Capital and HANetf Launch Lloyd International Equity UCITS ETF Tracking the Solactive Lloyd International Equity Index
March 26, 2026 KraneShares Launches California Carbon ETC (KCCA) on London Stock Exchange

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Asia ETF News


April 16, 2026 Asia's Economic Resilience Is Being Tested by the Energy Shock
April 14, 2026 Samsung Active Asset Management Launches the KoAct Global AI Memory Semiconductor Active, Benchmarked Against the Solactive Global AI Memory Semiconductor Index
April 09, 2026 India Remains Among the Fastest-Growing Economies Even As Growth Slows Amid Middle East Conflict; Outlook Vulnerable to Risks and Uncertainty
April 08, 2026 South Asia's Growth Slows Amid Global Headwinds
April 07, 2026 KB Asset Management Launches RISE US AI Electricity Infrastructure Active ETF Tracking the Solactive US AI Electricity Infrastructure Index

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Global ETP News


April 14, 2026 Decentralized Finance (DeFi) Market: $770.56 Bn by 2031 with Tokenized RWA Platforms Forecast to Expand at 39.72% CAGR, Reports Mordor Intelligence
April 14, 2026 Global Economy in the Shadow of War
March 30, 2026 Charted: The Global Stock Selloff as Oil Fears Rise
March 30, 2026 How the War in the Middle East Is Affecting Energy, Trade, and Finance
March 26, 2026 Golden Eagle Strategies Releases first Hypergrowth Trend Report, Advancing Hypergrowth Stocks as a Distinct Asset Class

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Middle East ETP News


April 07, 2026 The Gulf's growth model faces its first true stress test
April 02, 2026 Mideast Stocks: Most Gulf equities retreat on fears of prolonged Middle East conflict
April 01, 2026 Mideast Stocks: Dubai leads Gulf stocks higher on hopes of de-escalation of Iran war
March 31, 2026 UAE space programme at private sector 'tipping point'

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Africa ETF News


April 16, 2026 IMF-Regional Economic Outlook Update Sub-Saharan Africa-Hard-Won Gains Under Pressure
April 08, 2026 Sub-Saharan Africa's Growth Holds, But Downside Risks Mount

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ESG and Of Interest News


April 15, 2026 Fiscal Policy under Pressure: High Debt, Rising Risks
April 14, 2026 War in the Middle East Challenges Global Financial Stability
April 14, 2026 Global Financial Markets Confront the War in the Middle East and Amplification Risks
April 08, 2026 Energy Shock and Uncertainty Slow Growth in East Asia and Pacific
April 08, 2026 Economic Growth to Slow in Europe and Central Asia as Risks Rise

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White Papers


April 10, 2026 IMF Working Paper-Trade Policy Shocks and Corporate Valuations-Disentangling Trade and Uncertainty Channels
April 10, 2026 IMF Working Paper-Making Stablecoins Stable
April 06, 2026 IMF-Understanding Global Imbalances
March 17, 2026 50 Investible Opportunities for a New Nature Economy

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