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Investing Strategies to Navigate Market Volatility


  • (1:00) - What Should Investors Expect From The U.S. Economy Going Forward?
  • (7:15) - Declining Earnings Estimates and Fed Rate Hikes: Should You Be Creating A Defensive Portfolio?
  • (18:20) - Breaking Down Big Tech Earnings and The Future of AI Investing
  • (23:10) - Is Now The Time To Gain International Exposure In Your Portfolio?
  • (28:30) - Episode Roundup: DYNF, USMV, SPLV, IGV, IHF, GLDM, IAUM
  •                 [email protected]

 

In this episode of ETF Spotlight, I speak with Kristy Akullian, Head of iShares Investment Strategy for the Americas at BlackRock, the world’s largest asset manager, about investing amid current market volatility.

Stocks have surged in recent days on trade deal optimism, but it's been a roller-coaster ride. BlackRock expects continued high volatility due to slower growth and evolving trade dynamics.

A resilient labor market and potential tariff-driven inflation could limit the Fed's capacity to cut rates. In this environment, low-volatility strategies and defensive stocks may help reduce portfolio risk.

The iShares Edge MSCI Min Vol U.S.A. ETF USMV—the most popular fund in the space—selects and weights stocks to create a portfolio with lower volatility relative to the broader market. The strategy uses optimization, accounting for both the correlation between stocks and their individual volatility.

AI beneficiaries struggled earlier this year, particularly following DeepSeek’s AI reveal and growing concerns over trade wars. However, recent big tech earnings suggest the AI trade is far from slowing down.

Google GOOG and Microsoft MSFT reaffirmed their spending plans, while Meta META raised its full-year capital expenditure guidance. This is good news for NVIDIA NVDA, which remains the biggest beneficiary of the massive AI buildout.

Software ETFs like the iShares Expanded Tech-Software Sector ETF IGV are also worth considering, as these companies stand to benefit from declining AI costs and increasing adoption.

Amid uncertainty surrounding monetary policy, BlackRock favors the shorter end of the yield curve. Furthermore, as bonds no longer offer the same diversification benefits, they did in previous decades, investors should consider gold and other alternative assets.

Tune in to the podcast to learn more!

Make sure to be on the lookout for the next edition of ETF Spotlight! If you have any comments or questions, please email [email protected].

Disclosure: Neena holds IGV in the ETF Investor Portfolio

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Alphabet Inc. (GOOG): Free Stock Analysis Report
 
Microsoft Corporation (MSFT): Free Stock Analysis Report
 
NVIDIA Corporation (NVDA): Free Stock Analysis Report
 
iShares MSCI USA Min Vol Factor ETF (USMV): ETF Research Reports
 
iShares Expanded Tech-Software Sector ETF (IGV): ETF Research Reports
 
Meta Platforms, Inc. (META): Free Stock Analysis Report

This article originally published on Zacks Investment Research (zacks.com).

Zacks Investment Research


Source Zacks-com

At Zacks, we are dedicated to independent investment research, helping investors succeed through tools like our Zacks Rank stock-rating system, which has averaged +23.89% annual returns since 1988. Founded on the discovery that earnings estimate revisions drive stock prices, we offer purely mathematical, unbiased ratings, along with additional innovations like the Price Response Indicator, Earnings ESP, and specialized rankings for mutual funds and ETFs.
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