Before allocating, investors must be clear about what they're buying.
T. Rowe Price's David Giroux shares his thoughts about bond positioning, beaten-down Big Tech, and whether a recession is imminent.
The appeal of investing in carbon markets has to be weighed against their risks.
A fine primary retirement option.
Fewer than half of commodity funds are beating their benchmarks since the Russian invasion.
After putting active ETFs on the map, Cathie Wood's firm looks toward interval funds.
What a long, strange trip it's been.
Morningstar's multi-inflation strategies specialist puts performance in perspective, discusses best practices, and shares our top picks.
Grayscale Bitcoin Trust opened the floodgates but is structurally inadequate.
Climate change has underscored the need for clean drinking water. Does that make investing in water funds a compelling option?
Diversified real assets can enhance a portfolio built for the long run.
The series' cheapest share classes now earn a Morningstar Analyst Rating of Gold.
If you can get aboard, should you?
An epic rally in the underdogs of Wall Street illustrates the challenges of short-selling.
What history shows us.
Hear from our 2020 Outstanding Portfolio Manager Award winner.
Real assets are often thought of as an inflation hedge, but their diversification benefits are a plus, too.
Large losses highlight that these strategies aren't immune to market shocks.
Principal Diversified Real Asset provides exposure to asset classes that have shown a high sensitivity to inflation.
Funds focusing on corporate actions, such as mergers and acquisitions, were solid performers in a volatile 2018.
Event-driven strategies have performed well in a difficult period for liquid alternatives, and rising cash rates could further boost their outlook.