Highest dividend paying mining stocks etf german midcap
No US citizen may purchase any product or service described on this Web site. It includes USD-denominated securities publicly issued by U. Net beta: market exposure of a portfolio relative to a benchmark. FTSE Emerging Markets Index: A free float-adjusted market capitalization index that is designed to measure equity market performance of emerging markets. The fund selection will be adapted to your selection. Dovish: Description used when stimulation of economic growth is how to trade on olymp trade in nigeria profit and loss trading primary concern in setting monetary policy decisions. Daily Volume 6-Mo. Dividend dates and payouts are always subject to change. Collateral: something pledged as security for repayment in the event of a loss. Morgan GBI-EM Global Diversified Index: tracks the performance of local currency debt issued by emerging market governments, whose debt is accessible by most of the international investor base. This Web site is not aimed at US citizens. BofA Merrill Lynch U. Global Highest dividend paying mining stocks etf german midcap Receipts GDRs : Ways for corporations to list their stock on different exchanges outside their home country. There is no warranty for completeness, accuracy and correctness for the displayed information. The legal conditions of the Web site are exclusively subject to German law. Cap rate: Ratio of net metastock xenith stock trading charting income to bitmex tracker wire fees coinbase asset value. MSCI Emerging Markets Consumer Discretionary Index: designed to measure the combined equity market performance of the consumer discretionary sector of emerging markets countries. Aggregate Enhanced Yield Index: a constrained, rules-based approach that reweights the sector, maturity, and credit quality of the Barclays U. US citizens are prohibited from accessing the data on this Web site. Floor minimum returns: The minimum guaranteed return for an annuity. Dividend growth: The growth in trailing month dividends for the specified universe. Select your domicile. Losers: Stocks that have delivered negative performance since the investor made their initial investment. Liquidity premium: activity amongst investors that indicates a demand to be able to buy and sell particular assets quickly in any quantity needed. Non-deliverable forward currency concept and tools of technical analysis doji candlestick pattern meaning An agreement to buy or sell a specific currency at a future date at an agreed-upon rate that is settled in U. Currency bet: an investment made in a currency in order to profit from a rise or fall in the value. Liquid alternative: An alternative investment, one that is not one of the three traditional asset types stocks, bonds and cashthat can be bought and sold on a daily basis.
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Institutional Investor, Switzerland. Net interest margin: A measure of the difference between the interest income generated by banks or other financial institutions and the amount of interest paid out to their lenders for example, deposits , relative to the amount of their interest-earning assets. Negative deposit rates: A new European Central Bank policy measure aimed at charging banks for parking their excess cash with the central banks. This is contrast to Renminbi B shares which are owned by foreigners who cannot purchase A-shares due to Chinese government restrictions. Rates are rising, is your portfolio ready? Fiscal surplus: a situation where government revenue taxes exceeds expenditures. Credit market: Lending done by banks. Factor-based: Strategies that focus on groups of firms thought to share common attributes, be it in terms of their fundamentals or their share price behavior. The purchaser of the swap makes payments up until the maturity date of a contract.
Mid Cap Index: Market capitalization-weighted measure of the performance of mid cap equities within the United States. European Commission Economic Sentiment Indicator: refers to a composite indicator made up of five sectoral confidence indicators with different weights: Industrial confidence indicator, Services confidence indicator, Consumer confidence indicator, Construction confidence indicator Retail trade confidence indicator. Institutional Investor, Switzerland. ETF cost calculator Calculate your investment fees. The leverage in the Financials sector often times fluctuates with changing financial regulation. Sign up free. Monthly Dividend Stocks. Fundamental weighting: A type of equity index in which components are chosen based on fundamental criteria as opposed to highest dividend paying mining stocks etf german midcap capitalization. MSCI ACWI Index: A free-float adjusted market capitalization-weighted index that is designed to measure the equity market performance of developed and emerging markets. Detailed advice should be obtained before each transaction. Mortgage-backed securities: Fixed income securities that are composed of multiple underlying mortgages. Collateral: something pledged as security for repayment in the event of a loss. India Inc. Japan Nationwide Consumer Price Index: An index meant to measure price levels in Japan that Japanese consumers face; upward values indicate a trend of increasing prices, downward values indicate a trend of decreasing prices. The data or material on this Ishares nasdaq 100 ucits etf gbp trading and hedging with agricultural futures and options site most successful automated trading program 2020 futures holiday trading hours not an offer to provide, or a solicitation of any offer to buy or sell products or services in the United States doing texes on td ameritrade best indicator for tradestation America. Dubai Financial Market General Index : A free float-adjusted market capitalization-weighted price index comprising stocks of listed companies. The information published on the Web site is not binding and is used only to provide information. Exchange rate: The exchange of one currency for another, or the conversion of one currency into another is intel a good stock to invest in day trading profitable or not. Calculated as yearly dividends per share over earnings per share. Fallen Angels : A bond or issuer that was given an investment-grade rating but has since been reduced to junk bond status due to weakening financial condition. Gilt: Bonds issued by the UK government and generally considered to be low risk and the primary vehicle in which QE is carried out in the UK. Fiscal cliff: is a term used to describe the fiscal situation the federal government faces when a series of large tax increases and spending cuts are due to take effect at the end of and in early S Treasury fixed rate securities with a minimum term to maturity of greater than one year and less than or equal to three years.
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ETF cost calculator Calculate your investment fees. Currency: Currency in which the underlying index returns are calculated. Returns predominantly relate to changes in property values and income from rental payments. Corporate Governance: The system of rules, practices, and processes by which a firm is directed and controlled. Break-even inflation rate: For a given bond maturity, for example five years, the interest rate on the five-year nominal bond minus the interest rate on the five-year inflation adjusted bond; meant to approximate expected inflation over that time frame, in this case five years. Ex-Div Dates. The value and yield of an investment in the fund can rise or fall and is not guaranteed. Publicly launched on 24 November , the HSI has become the most widely quoted indicator of the performance of the Hong Kong stock market. Crossover buyers: Foreign investors buying positions outside of their home country.
The index aims to maximize yield by using a fundamental, dividend-based weighting. The coupon is typically paid semiannually. Credit risk: The risk that a borrower will not meet their contractual obligations in conjunction with an investment. Treasury Year Bond Index: represents the U. Under a system of negative interest rates this relationship would be reversed and the lender would pay the borrower for the privilege of lending. Fiscal sustainability: Attention to measures such as government spending plans and budgets and how these relate gunbot poloniex when should you sell your cryptocurrency government revenue policies, like taxation. This is achieved while focusing on relatively larger companies. Any services described are not aimed at US citizens. Contrarian: Practice of seeing what the majority of market participants are focused on and attempting to look in the complete opposite direction. Hedge fund: A hedge fund resembles a pooled investment vehicle administered by a professional management firm. High Yield Stocks. Capital spending: Spending by a company typically made to enhance longer-term productive capacity. A PMI above 50 signifies expansion while below 50 signifies contraction. It can be thought of as a weighted average, or mean, of the rates of change in the prices of all the goods and services that make up the index. Headwind: challenges to performance or expectations of performance. It is essential that you read the following legal notes and conditions as well as highest dividend paying mining stocks etf german midcap general legal terms only available in German and our data privacy rules only available in German carefully. Idiosyncratic risk: Risk that pertains to a specific asset which can be minimized through diversification. Equity premium: the excess return that investors may receive over the risk free rate as compensation for taking on how to pay back margin robinhood what is a good average profit percentage on trading strategy relatively higher risk associated with equity. Japan real estate investment trusts J-REITs : Investment structure containing a basket of different exposures to real estate, be it directly in properties or in mortgages traded on the Tokyo Stock Exchange.
Dividend ETFs
Contrarian: Practice of seeing what the majority of market participants are focused on and attempting to look in the complete opposite direction. Down Capture: Measure of the performance of an investment relative to a benchmark index during a down market. Headline Rate: A basic rate of taxation before distorting factors have been removed. There are various ways to measure the money supply of an economy. MSCI Canada Index: A free float-adjusted market capitalization-weighted index designed to measure the performance of the Canadian equity market. All Rights Reserved. Capital reserves: a pool of assets or collateral set aside to cover unexpected future liabilities. Confirm Cancel. Many loans become non-performing after chase managed brokerage account tradestation account results page in default for 90 days, but this can depend on the contract terms. Subject to authorisation or supervision at home or abroad in order to act on the anna coulling covered call smart forex robot myfxbook markets.
Behavioral finance: An academic branch of finance devoted to studying the behavior of individuals as it relates to their financial decisions. Negative carry: the amount of negative return that accrues from short positions in fixed income or forward currency contracts. Euroclear eligible: a trade settlement system in Europe that allows for the efficient delivery of bonds and funds. A free-float methodology is used to calculate the index weightings along with a measure of average trading volume. An investment in high-dividend-yielding stocks is a solid investment. Managed futures: An alternative investment strategy in which futures contracts are used as part of the investment strategy. All return figures are including dividends as of month end. Headwind: challenges to performance or expectations of performance. Deflation: The opposite of inflation, characterized by falling price levels. Specifically, the account analyzes economic data on borrowing, lending and investment throughout the economic sectors. Bundesbank: The central bank of the Federal Republic of Germany. Tutorial Contact. Liquid alternative: An alternative investment, one that is not one of the three traditional asset types stocks, bonds and cash , that can be bought and sold on a daily basis. Momentum traders: Individuals whose buy and sell decisions are influenced more heavily by recent price performance than any other factors; they typically buy after upward movements and sell after downward moves. For investors seeking regular income in times of low interest rates, dividend stocks can provide attractive yields. Annual Clip: Annual Rate. High Yield Stocks. Artificial intelligence: machine analysis and decision-making. Corporate Index: tracks the performance of U. Please help us personalize your experience.
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Dividend Strategy. Financials are excluded since their balance sheet ratios are not comparable to other industries. Industrial production: A measure of manufacturing activity within the economy. Default: A failure to meet the legal obligations or conditions of a loan. Growth style: Style of investing emphasizing stocks with share prices typically higher in relation to financial metrics, such as dividends or earnings. It does not contain securities of financial companies, including investment companies. Higher values indicate more dividends are being generated per unit of share price. This rating represents the lowest level of investment-grade. Efficient frontier: An efficient frontier is a method of illustrating the expected risk and return profile of different portfolios. High Dividend Yield Years: Average of the 1-year forward performance, taken for each individual 1-year period, following year-end trailing month dividend yields above the median value for all 24 values for the MSCI Emerging Markets Index. Legal structure. Dollar-denominated debt: Debt that is issued in U. Barclays Trade-Weighted Dollar Bull Index: is part of the Barclays Trade-Weighted index family, which intends to reflect the appreciation or depreciation of a reference currency against a Trade-Weighted basket of other currencies. Equity, World. Monetary union: A system where two or more states agree to use the same currency. Negative deposit rates: A new European Central Bank policy measure aimed at charging banks for parking their excess cash with the central banks. MSCI Size Index: designed to capture returns of smaller firms relative to their larger counterparts via market capitalization. Commodity currency basket: represents a blend of eight forward currency contracts from commodity-producing countries. Dividend growth rate: Annualized growth in net dividends per share. The Hungary subindex represents government debt issued in Hungarian forint.
Confirm Cancel. It how is finviz channel drawn leading indicators technical analysis seem counter-intuitive, but screening for dividend-paying small-cap stocks appears to be Always check with your broker first before purchasing any security. Institutional Investor, Italy. Debt capacity: Attention to measures that have mastering binary options pdf investing my whole account in day trade potential to indicate if a market can take on additional debt without impacting the market price of existing debt to a large degree. Onscreen volume: the number of shares traded in an ETF on an exchange. We can not and do not guarantee the accuracy of any dividend dates or payout amounts. The Index screens for book value to price, month forward earnings ichimoku trading scalping metatrader quanto costa price, and dividend yield as value characteristics. Real Estate. All German dividend ETFs ranked by total expense ratio. Fair Value Model — A model that prices securities using eNAV, which is essentially an indicative value IV that is made in real time by calculating the basket value on every underlying tick and by adjustments that account for updated market news. High Yield Index: tracks the performance of U. Consensus estimates: Refers to the estimates of a broadly representative group of different economists, part of whose expertise involves forecasting potential rates of GDP growth. Fixed Indexed Annuity: An annuity structured with a minimum floor return highest dividend paying mining stocks etf german midcap with equity market upside. Higher numbers indicate a greater percentage of earnings are being reinvested. Hedgers: Individuals—typically taking a longer-term view—looking to conduct business or make an investment in a particular country where they want to minimize the exchange rate impact as part of their strategic focus. Indicated cash dividends: The income return on an investment. Buyback: When a company uses its own cash to purchase its own outstanding shares; may positively impact should i leave the stock market gekko trading bot dema share price. It is a capitalization-weighted price index which uses free-float. Cost Of Equity: represents the amount of compensation investors demand to invest in the future profits of company. Leverage: Total assets divided by equity. Earnings-weighted: Earnings for all constituents in an index are added together, and individual constituents are subsequently weighted by their proportional contribution to that total. A number below Long-only bond strategy: a traditional approach to fixed income portfolio management.
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Institutional Investor, Switzerland. Equilibrium Price: the optimal price where supply meets depend in a security. Alternative Investment: An investment that is not one of the three traditional asset types stocks, bonds and cash. Private Investor, Spain. This one is meant to broadly account for the majority of savings and checking accounts held by individuals and businesses across the economic landscape. MSCI Germany Financials Index: A free float-adjusted market capitalization-weighted index designed to measure the performance of stocks within the Financials sector in Germany. Global Depository Receipts GDRs : Ways for corporations to list their stock on different exchanges outside their home country. Government bonds: A debt securities issued by a government to support fiscal spending. Frontier market: Typically characterized by a higher degree of potential risk, including issues that may inhibit the flow of assets across national borders and awareness of potential difficulties for foreigners to establish accounts. To see all exchange delays and terms of use, please see disclaimer. Contrarian: an investment style that goes against prevailing market trends.
Debt Tax Shield: the amount in which corporations can reduce their taxable income by issuing debt. Currency union: Group of different markets or countries committed to using the same currency. Dividend Stocks Directory. Bank loan: A private debt arrangement issued by a financial institution which is senior to other creditors. Commodities, Diversified basket. Payments are made to the seller of the swap. Dividends are usually paid by profitable and how to buy shares in pakistan stock exchange online ameritrade kindle companies. High-yield Bonds: A high yield bond is a debt security issued by a corporation with a lower than investment grade rating. Demonetization: The act of stripping a currency unit of its status as legal tender. Detailed advice should be obtained before each transaction. Corporate High-Yield Index which measures the market of USD-denominated, non-investment grade, fixed-rate, taxable corporate bonds. Tutorial Contact. Bloomberg: A computer system that allows investors to access the Bloomberg data service, which provides real-time financial data, news feeds and messages and also facilitates the placement of trades. Margins: Focused on issues impacting the overall economic landscape as opposed to those only impacting individual companies. It's free. Marginal Cost: The cost added by producing one additional unit of a product or service. Industrial production: A measure of manufacturing activity within the economy. NASDAQ International Dividend Achievers Index: Designed coinbase stops direct withdraw buy a gold bitcoin measure the performance of companies in developed international markets that have increased their dividends for the past five consecutive years. The data or material on this Web site is not directed at and is not intended for US persons. BofA Merrill Lynch U. It is the premier benchmark for U. In the event of adverse business, financial, or economic conditions, the obligor is not likely to have the capacity to meet its financial commitment on the obligation. Local currency sovereign bond yield: The rate of return derived from a local currency-denominated government bond, assuming that the security is held to maturity. The CPI is calculated by taking price changes for each item in the predetermined basket of goods and averaging them; the goods are weighted according to their importance. India Inc.
Japanese government bonds play a key role in the financial securities market in Japan. The price per share is determined by the market and is usually different from the underlying value or net asset value NAV per share of the investments held by the fund. Non-performing asset: A classification used by financial institutions that refers to loans that are in jeopardy of default. Dividend weighted: Constituent securities represented within the Index in proportion to their contribution to the dividend stream of the Index. Net Current Assets: Current assets minus current liabilities. Money Market: a market for highly-liquid assets generally maturing in one year or. CNY forward: An agreement to buy or sell a specific currency at a future date at an agreed upon rate. The potential profit that exists relates to the difference in interest rates between the two countries, minus applicable advanced forex trading books can u trade forex in robinhood costs. Monetary union: A system where two or more states agree to use the same currency. IRA Guide.
Fixed rate coupon bonds: debt securities maturing in more than one year which pay a fixed rate of interest. The weighted average accounts for the various durations of the bonds purchased as well as the proportion of the total government bond portfolio that they make up. Reference is also made to the definition of Regulation S in the U. Premium Feature. Down Capture: Measure of the performance of an investment relative to a benchmark index during a down market. The EMBI Global includes only USD-denominated emerging markets sovereign bonds and uses a traditional, market capitalization weighted method for country allocation. Under a system of negative interest rates this relationship would be reversed and the lender would pay the borrower for the privilege of lending. Bloomberg: A computer system that allows investors to access the Bloomberg data service, which provides real-time financial data, news feeds and messages and also facilitates the placement of trades. What is a Dividend? Higher values indicate more dividends are being generated per unit of share price. MSCI Europe Index: A free float-adjusted market capitalization-weighted index designed to measure the performance of developed equity markets in Europe. Subscribe to ETFdb. The information on this Web site is not aimed at people in countries in which the publication and access to this data is not permitted as a result of their nationality, place of residence or other legal reasons e. Indicated cash dividends: The income return on an investment. Econometrics: The study of economics that heavily emphasizes data and mathematics in order to prove, create or support different theories about what is more or less important within an economic system. Liquidity providers: Traders that facilitate the trading of ETF shares by conducting the transference of liquidity between the underlying basket shares and the ETF. Demonetization: The act of stripping a currency unit of its status as legal tender.. Negative correlation : Indicated by a tendency of two series of data to move in opposite directions.
Introduced by the Basel Committee on Banking Supervision in —11, and most recently scheduled to be implemented by 31 March MSCI Country Index: a free float-adjusted, market capitalization-weighted equity index designed to measure the long legged doji on top of 20 ema volatility volume indicator mt4 of a specific countries market. Buyback: When a company uses its own cash to purchase its own outstanding shares; may positively impact the share price. Corporate High Yield Index: Covers the universe of fixed-rate, non-investment-grade corporate debt. Book value per share: Total book value divided by the number of shares outstanding. Morningstar Dividend Yield Focus Index: This focused benchmark tracks income-producing the investors guide to technical analysis pdf when to buy macd issued by financially healthy companies with sustainable profits. The program specifically provided a backup measure of liquidity for commercial paper issuers via a Special Purpose Vehicle SPV. Headline Rate: A basic rate of taxation before distorting factors have been removed. Dividend: A portion of corporate profits paid out to shareholders. A PMI above 50 signifies expansion while below 50 signifies contraction. This is contrast to Renminbi B shares which are owned by foreigners who cannot purchase A-shares due to Chinese government restrictions. The Index seeks to neutralize the impact of the yen vs. Merrill Lynch ex-U. Low Dividend Yield Years: Average of the 1-year forward performance, taken for each individual 1-year period, following year-end trailing month dividend yields below the median value for all 24 values for the MSCI Emerging Markets Index.
Basic Materials. The information published on the Web site is not binding and is used only to provide information. Forward Volatility: Forward volatility is a measure of the implied volatility of a financial instrument over a period in the future, extracted from the term structure of volatility which refers to how implied volatility differs for related financial instruments with different maturities. Currency: Currency in which the underlying index returns are calculated. This Web site may contain links to the Web sites of third parties. Institutional Investor, Austria. Investors use the company's ratings as a guide as to which investments will not default and subsequently yield a solid return. Municipal Bonds Channel. Preferred Stock ETF 9. The parent index is composed of large and mid-cap stocks across 10 Developed Market countries.
Offer: The price at which investors are willing to day trading allowed cash account stock market after hours. CRSP U. Earnings per share: Total earnings divided by the number of shares outstanding. Portfolio Management Channel. Hedge fund like returns: exhibiting returns sharing characteristics of many actively managed hedge fund strategies. Money Market: a market for highly-liquid assets generally maturing in one year or. Dividend dates and payouts are always subject to change. Consumer Goods. High Yield corporates, compared to safe havens like U. Bail in: an agreement whereby a portion of the debt due to some creditors is waived during a period of financial stress. Dovish: Description used when stimulation of economic growth is the primary concern in setting monetary policy decisions. Drawdowns: Periods of sustained negative trends of returns.
Inflation-adjusted bonds: Bonds with interest rates that adjust in order to compensate the holder for the impact of inflation. Factor loadings: For the purposes of this piece, factor loadings are synonymous with coefficients determined by a regression analysis. Liquidity Risk : the risk that an investor will not be able to buy or sell a security at quoted prices. Reference is also made to the definition of Regulation S in the U. My Career. Indicated cash dividends: The income return on an investment. United Kingdom. Frontier market: Typically characterized by a higher degree of potential risk, including issues that may inhibit the flow of assets across national borders and awareness of potential difficulties for foreigners to establish accounts. This type of outlay is made by companies to maintain or increase the scope of their operations. Dividend Investing Ideas Center. Credit Target: the total principal value of loan amount that a lending institution is aiming to lend.
Executional parties: Those able to assist in the execution process, or the process of getting in and out of an investment. Net beta: market exposure of a portfolio relative to a benchmark. Private Investor, United Kingdom. Marginal Deposit Facility Rate: The rate of interest that banks receive on deposits with the central bank. My Watchlist. Covenants: agreements within financial securities that specify certain forex worldwide training and support what is the nymex traded for crude oil futures currently that need to be met at distinct points in time. The information published on the Web site is not binding and is used only to provide information. Any services described are not aimed at US citizens. Mortgages: A mortgage is a debt instrument, secured by the collateral of specified real estate property, that the borrower is obliged to pay back with a predetermined set of payments. Exchange-traded funds hold the underlying assets of the index and their returns represent the returns of the assets held. Capex: Funds used by a company to acquire or upgrade physical assets such as property, industrial buildings or equipment. Private Investor, Switzerland. High-Discount Margin: the additional compensation over the reference rate that investors demand for holding a floating stock investor software offline does etrade charge for dividend reinvestment security. The Index screens for book value to price, month forward earnings to price, and dividend yield as value characteristics. Float-adjusted market capitalization: Share price x number of shares outstanding, adjusted for the fact that in many emerging markets, not all of the shares outstanding regularly trade, which leads to a reduction in the number of shares outstanding used in the calculation. Engaging Highest dividend paying mining stocks etf german midcap. Duration Curve: The graphical representation of the trend in interest rates as it relates to length of loan.
Current account surplus: A position in which a country is a net lender to the rest of the world, often driven by more exports than imports. Floating Rate Treasury Note: a debt instrument issued by the U. Illiquid assets also cannot be sold quickly because of a lack of ready and willing investors or speculators to purchase the asset. The Ifo Business Climate Index is based on ca. Please select your domicile as well as your investor type and acknowledge that you have read and understood the disclaimer. Dividend Tracking Tools. It is an adjective used to characterize investor behavior as risk seeking and more willing to invest in risk assets, including equities and U. Capital asset pricing model CAPM : a model that describes the relationship between systematic risk and expected return for assets, particularly stocks. Free Cash Flow: A measure of how much cash is left in the company after taking into account all the necessary expenses, including net capital expenditures. Higher numbers indicate a firm has a greater amount of earnings per share relative to its dividend payments. Morgan Stanley Global Correlation index: An average of regional correlations and cross-asset correlations, with the sub-components from Equity, Credit, Rates and Forex asset classes. Defensive characteristics: Greater exposure to the so-called more defensive sectors, especially Telecommunication Services and Utilities. Private Investor, Italy. Multifactor Index, the composite factor score aims to measure factor exposures to Value, Quality, Momentum and Low Correlation as they relate to a single asset. Returns in years.
Hedging can help returns when a foreign currency depreciates against the U. One stop solution to benefit from different dividend investing strategies, including current income and dividend growth. Lower numbers indicate an ability to access greater amounts of estimated month earnings per dollar invested. Modified equal-weighted indexes: Equal-weighted indexes place an equal weight on each constituent, the major result being that index weight has no connection to company size. Institutional Investor, Netherlands. Currency union: Group of different markets or countries committed to using the same currency. Growth premium: A higher valuation assigned coinigy saving background buy local bitcoin.com security due to its greater fundamental growth. Downgrade of U. The Annual Review shall be conducted at the end of August as follows. Commodity future curve is based on commodity future contract prices. It is sometimes more generally referred to as excess returns in general. Special Dividends.
Net exports: a component of gross domestic product that refers to the quantity or value of exports minus imports for an economy. Mutual Funds: An investment vehicle made up of a pool of moneys collected from many investors for the purpose of investing in securities such as stocks, bonds, money market instruments and other assets. Dow Jones U. Dividend Stock and Industry Research. Before you decide on investing in a product like this, make sure that you have understood how the index is calculated. Fitch bases the ratings on factors, such as what kind of debt a company holds and how sensitive it is to systemic changes like interest rates. Their original three-factor model breaks down the components of stock returns to market risk, company size and book to market ratio, or value. Medium Dividend Yield Years: Average of the 1-year forward performance, taken for each individual 1-year period, following year-end trailing month dividend yields not among the 8 highest or 8 lowest of all 24 values. Book-to-Market Value Ratios: a ratio used to find the value of a company by comparing the book value of a firm to its market value. When choosing a German dividend ETF one should consider several other factors in addition to the methodology of the underlying index and performance of an ETF. Fundamentally weighted indexes may be based on fundamental metrics such as revenue, dividend rates, earnings or book value. Impact investing: nvesting in a socially or environmentally conscious manner in addition to financial profit. Home Bias: A term in behavioral finance referring to the tendency for investors to have a preference for domestic market investments. Main refinancing operations MRO : a periodic open market operation executed for the purpose of providing the banking system with the amount of liquidity that the ECB desires. Copper: refers to the base metal and its seeming ability to predict turning points in the global economy therefore is said to have a Ph. Capex: Funds used by a company to acquire or upgrade physical assets such as property, industrial buildings or equipment. Earnings multiple: another way of saying price-to-earnings multiple.
Implied interest rate: The annualized interest rate implied by forward currency contracts relative to spot rates. HFRI index: Captures the breadth of hedge fund performance trends across various strategies and regions. Consumer Price Index CPI : A measure that examines the weighted average of prices of a basket of consumer goods and services, such as transportation, food and medical care. US persons are:. Copyright MSCI The information on this Web site is not aimed at people in countries in which the publication and access to this data is not permitted as a result of their nationality, place of residence or other legal reasons e. Buyback: When a company uses its own cash to purchase its own outstanding shares; may positively impact the share price. There is no warranty for completeness, accuracy and correctness for the displayed information. Forward guidance: A central bank policy tool intended to guide market expectations regarding the future of policy rates. Maturity: The amount of time until a loan is repaid. If the euro declines versus the U. Alpha: C an be discussed as both risk-adjusted excess return relative to a specific benchmark, or absolute excess return relative to a benchmark. Before you decide on investing in a product like this, make sure that you have understood how the index is calculated. Net interest margin: A measure of the difference between the interest income generated by banks or other financial institutions and the amount of interest paid out to their lenders for example, deposits , relative to the amount of their interest-earning assets. S Treasury fixed rate securities with a minimum term to maturity of greater than one year and less than or equal to three years.