ETF

104 articles
The Motley FoolThe Motley Fool··Reuben Gregg Brewer

VanEck Rare Earth ETF Surges 125% Amid Sector Boom—But Volatility Looms

$REMX surges 125% on rare-earth demand, but commodity cyclicality poses downside risks for speculative investors seeking core portfolio exposure.
REMXETFdiversification
The Motley FoolThe Motley Fool··Adria Cimino

Vanguard Tech ETF Eyes Stock Split as 136% Rally Tests Accessibility

Vanguard's tech ETF (VGT) splits 8-for-1 on April 17, lowering share price from $700 to $85. The 136% three-year rally reflects tech strength, but timing shouldn't drive investment decisions.
NVDAMSFTAAPLVGTartificial intelligenceETF
GlobeNewswire Inc.GlobeNewswire Inc.··Jack Duffy

XRP Bounces Back From Worst Quarter in 8 Years as ETF Inflows Accelerate

XRP rebounds from worst quarter in 8 years as six new U.S. spot ETFs attract $1B+ in inflows within weeks, with analysts targeting $5 by 2026.
BLKDIVBcryptocurrencyXRP
The Motley FoolThe Motley Fool··Reuben Gregg Brewer

VTI Down 6% From Peak, But 15% Gains Show Bull Market Resilience

$VTI down 6% from peak but up 15% annually, trading near highs with stretched 26.9x P/E. Geopolitical and growth concerns warrant investor caution.
VTIVOOvaluationETF
The Motley FoolThe Motley Fool··Katie Brockman

History Favors Long-Term $VOO Investors Despite Current Market Volatility

Eight decades of S&P 500 data show no negative 10-year returns. Current market weakness presents buying opportunities for patient investors.
VOOmarket volatilityS&P 500
The Motley FoolThe Motley Fool··Sean Williams

Dividend ETFs Gain Appeal as Major Indices Enter Correction Territory

With markets facing headwinds, the Schwab U.S. Dividend Equity ETF ($SCHD) offers investors 3.4% yields and lower volatility across 100+ dividend-paying stocks.
SCHDvaluationdividend stocks
The Motley FoolThe Motley Fool··Dan Caplinger

Ray Dalio's All-Weather Strategy Now Available to Main Street Investors via $ALLW ETF

State Street launches $ALLW ETF packaging Ray Dalio's all-weather portfolio strategy, enabling retail investors to access diversified asset allocation previously restricted to institutions.
ALLWrisk managementETF
The Motley FoolThe Motley Fool··David Dierking

Value Stocks Surge as Market Rotates Away from Tech: VTV Outperforms by 7 Points

U.S. stock market shifts toward value stocks in 2026. Vanguard Value ETF ($VTV) outperforms S&P 500 by 7 percentage points, driven by strength in financials and healthcare sectors.
VTVhealthcaremarket rotation
The Motley FoolThe Motley Fool··Neil Patel

Why Most Active Managers Lose to Index Funds: The S&P 500 Advantage

Research shows 80-90% of active fund managers underperform the S&P 500. Low-cost index funds like $VOO (0.03% fee) offer superior long-term returns for most investors.
VOOS&P 500ETF
GlobeNewswire Inc.GlobeNewswire Inc.··Not Specified

Dogecoin Surges on SEC Commodity Status, ETF Launch Ignites Retail Interest

Dogecoin gains SEC commodity classification and ETF listing, sparking whale accumulation and 176% wallet growth surge.
TDOGcryptocurrencyETF
The Motley FoolThe Motley Fool··Ben Gran

Can $10K in NOBL Dividend Aristocrats Turn Into $1M? Here's the Reality

NOBL could theoretically turn $10K into $1M over 44 years at its 11.1% average return, but recent 2.8% performance significantly trails the S&P 500's 15% gain.
XOMCVXNEENEEpNNEEpS+6dividend stocksETF
GlobeNewswire Inc.GlobeNewswire Inc.··Mulvihill Capital Management Inc.

Canadian Bank ETF Surges Past $130M on Strong Income Generation

Mulvihill's CBNK ETF grew assets 56% to $130.48M in 2025, distributing $8.67M while generating $48.96M in investment income.
RYBNSTDCMBERZ+24ETFCanadian banks
The Motley FoolThe Motley Fool··Anthony Di Pizio

Growth Outperformance: Why VOOG's 16-Year Edge Could Persist for Long-Term Investors

VOOG has outperformed the S&P 500 by 2.3% annually over 16 years through concentrated growth exposure, though it's down 7.1% in 2026. Recommended for 5+ year investors.
NVDAMSFTAAPLAVGOVOOGmarket volatilityS&P 500
The Motley FoolThe Motley Fool··Justin Pope

Low-Cost Index Investing Poised to Win as Active Funds Struggle With Fees

Vanguard's S&P 500 ETF ($VOO) with 0.03% fees outperforms 80% of actively managed funds over 10 years, making passive index investing increasingly attractive.
METAMSFTGOOGGOOGLVOOmarket volatilityS&P 500
BenzingaBenzinga··Infrastructure Capital Advisors

Infrastructure Capital Boosts Dividends Across Income ETFs Amid Market Shift

Infrastructure Capital raises monthly distributions for $SCAP and $ICAP ETFs to $0.245 per share, signaling confidence in portfolio performance.
SCAPICAPBNDSinfrastructuredividend increase
GlobeNewswire Inc.GlobeNewswire Inc.··J.P. Morgan Asset Management

JPMorgan Asset Management Distributes Cash to Toronto-Listed ETF Holders

JPMorgan Asset Management announces final March 2026 cash distributions for four Toronto-listed ETFs, with per-unit payouts ranging from $0.02910 to $0.23883.
JEPIJEPQJAVAcash distributionsETF
BenzingaBenzinga··J.P. Morgan Asset Management

JPMorgan Distributes $0.03-$0.24 Per Unit Across Four Canadian ETFs

JPMorgan announces final March 2026 cash distributions for four Toronto-listed ETFs, with per-unit payouts ranging from $0.03 to $0.24, payable April 8.
JEPIJEPQJAVAdividendcash distributions
The Motley FoolThe Motley Fool··Trevor Jennewine

Wall Street Bets on Tech and Consumer Stocks to Crush S&P 500

Analysts forecast tech and consumer discretionary sectors will outperform S&P 500 by 39% and 30%. Two Vanguard ETFs offer exposure, though concentration risk warrants caution.
NVDAMSFTAMZNAAPLTSLA+2economic growthS&P 500
The Motley FoolThe Motley Fool··Eric Trie

Forefront Analytics Nearly Doubles iShares ESG EM ETF Position to $16M Stake

Forefront Analytics expanded iShares ESG EM ETF stake to $16.07M, adding 165,743 shares. $ESGE appreciated 40% in past year, outperforming S&P 500 by 29 points.
VEAVWOHDVESGEESGD+1emerging marketsportfolio allocation
The Motley FoolThe Motley Fool··Dave Kovaleski

Wall Street Giants Cut S&P 500 Return Forecasts as Tech Valuations Spark Caution

Major firms project 3-6.7% annual S&P 500 returns over next decade, down from 12.9% recently, citing tech stock overvaluation concerns.
SPYAMJBJPMJPMpCJPMpD+10emerging marketslarge-cap stocks