Stay ahead with NDR’s investment insights, analysis and perspective on the economy and the markets.
Leverage NDR’s capital markets expertise, independent macro-economic research and analysis to help differentiate yourself in client communications.
Remove emotion and subjectivity from the investment process by focusing on our objective, rules- based investment ideas and tools.
Global economics and asset allocation, detects business cycles, and identifies investment themes.
Economics, asset allocation, equity style, and sectors to identify important themes in U.S. financial markets.
Regional Europe and individual countries and sectors, and periodically highlights stocks or ETF-specific insights.
U.S. and global fixed income markets, economics, and asset risks in those and other asset markets.
Commentary and perspectives on market trends, sentiment, macro environments, and latest economic data.
High-conviction investment ideas for investment managers and their clients.
Over 2,500 ETFs to identify those that meet investment needs and help optimize portfolios.
Stock selection analysis, screening information and implementation ideas.
Amplify
C8 Technologies
Envestnet
GeoWealth
SMArtX
Vestmark
Smart Sector Series (www.dhfunds.com)
A high conviction (large tracking error) approach to global asset allocation. Invests across 13 different assets including U.S. equity styles, global equity regions, fixed income sectors, and cash.
Allocates across nine fixed income sectors including duration, quality, and geography.
Overweights and underweights global asset classes and equity regions relative to a 60/40 benchmark.
Seeks larger and smaller non-U.S. equity markets with favorable attributes.
Assigns tactical weightings across eleven equity sectors relative to the U.S. large-cap space.
Strategic allocations to U.S. equities, international equities, and fixed income using the Smart Sector framework.
Raises cash from areas correlated to equities during periods of market stress. For the invested position, the strategy allocates across nine fixed income sectors including duration, quality, and geography.
Overweights and underweights global asset classes, equity regions, and U.S. equity styles relative to a 60/40 benchmark.
Raises up to 50% cash during periods of market stress. For the invested position, the strategy seeks larger and smaller non-U.S. equity markets with favorable attributes.
Raises up to 50% cash during periods of market stress. For the invested position, the strategy assigns tactical weightings across eleven equity sectors relative to the U.S. large-cap space.
Please note that you are using an unsupported browser. While the site will continue to function, you might experience sub-optimal behavior until you upgrade. Please update your browser to a later version for a better experience.