RSPT solves concentration risk in tech ETFs with equal weighting, but this over-diversification reduces exposure to resilient mega caps. The ETF's reliance on GICS classification and equal weighting ...
Forbes contributors publish independent expert analyses and insights. Catherine Brock covers personal finance and investing. There are 500 companies in the S&P 500, but only a small percentage have ...
If your financial plan demands you earn more than the 3% or 4%—and it should—now's the time to get comfortable with risk and how to manage it. You probably face risk-reward trade-offs regularly. When ...
SOXL’s 3x leverage and semiconductor sector focus create far higher risk and volatility than SSO’s broad 2x S&P 500 exposure. SOXL offers a lower expense ratio, but it's suffered a much deeper 5-year ...
For decades, conventional wisdom has treated diversification as sacred scripture for investors, a simple rule that promises safety if you just own "enough" different things. Warren Buffett's longtime ...
NVIDIA (NVDA), Apple (AAPL), and Microsoft (MSFT) control over 20% of S&P 500 (SPY). Technology represents 33.8% of the index. S&P MidCap 400 ETF (MDY) gained 6.65% year-to-date versus 1.96% for SPY.
Wealth is not a game of owning everything. It is a game of staying ...
JOHANNESBURG, SOUTH AFRICA / ACCESS Newswire / September 16, 2025 / Control Risks (www.ControlRisks.com) today released the 10th edition of the Africa Risk-Reward Index (ARRI), offering North American ...