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The Gold and Precious Metals Fund is the first no-load gold fund in the U.S. RG Securities AG, a major German investment banking and brokerage firm acted as the designated sponsor of GBRC for the Frankfurt listing. Consequently, GBRC anticipates a much wider, international market access for its shares. And much of the supply is in countries fraught with political risk. While the current world population of about 7 billion is projected to top 8 billion by 2030, almost all of that growth is expected to come in the developing world.
- Before investing in a fund, consider its investment objectives, risks, charges, and expenses.
- Bond funds are subject to interest-rate risk; their value declines as interest rates rise.
- Regardless of the pace or direction of monetary policy worldwide, the global population continues to grow, and likewise food demand should continue to increase unabatedly.
- The relentless growth of human population in the modern world has brought dire warnings of resource shortages ever since British economist Thomas Malthus more than 200 years ago predicted that overpopulation would bring a catastrophic famine.
Quarterly Returns
New global trends are emerging in the production, trade and consumption of both raw materials and intermediate products. Meanwhile, lower prices for fossil fuels and other commodities may simply trigger another resource binge, especially in the large and growing developing countries. The fundamental conditions that gave rise to the tight markets over the past 10 years still exist. The International Trade Administration, U.S. Department of Commerce, manages this global trade site to provide access to ITA information on promoting trade and investment, strengthening the competitiveness of U.S. industry, and ensuring fair trade and compliance with trade laws and agreements. While it cannot provide responses specific to a company’s product or a specific foreign market, its reference pages will guide you to other relevant government resources and market research.
Resource nationalism: the intersection of politics and economics — Nature
Resource nationalism: the intersection of politics and economics.
Posted: Fri, 25 Oct 2024 07:00:00 GMT source
Rua Gold Provides Outlook And Growth Catalysts For 2026
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- Please consider your own circumstances before making an investment decision.
- Prior to May 1, 2020, the fund invested in a diversified portfolio of equity and equity-related securities of companies in the S&P Composite 1500 Index, with a focus on companies achieving high return on invested capital metrics and an emphasis on mid-capitalization companies.
- Relative to the fund’s sub-benchmark, the S&P Global Natural Resources Index, which gained 28.86%, we outperformed.
For the fourth quarter, the Near-Term Tax Free Fund returned 0.17%, underperforming its broad-based benchmark, the Bloomberg Municipal Bond Index, which gained 1.56%. For the year ended December 31, 2025, the Near-Term Tax Free Fund returned 3.47%, underperforming its broad based benchmark, the Bloomberg Municipal Bond Index, which gained 4.25%. The fund’s benchmark is the Barclay’s Capital 3-Year Municipal Bond Index. The Near-Term Tax Free fund seeks current income that is exempt from federal income tax and also seeks preservation of capital. For the fourth quarter, the Global Resources Fund gained 18.45%, underperforming its broad-based benchmark, the S&P 500 Index, which returned 2.66%. Relative to the fund’s sub-benchmark, the S&P Global Natural Resources Index, which gained 28.86%, we outperformed.
The Bloomberg Municipal 3 Year (2-4) Index is Everestex review a subset of the Bloomberg Municipal Bond Index that measures the performance of investment-grade issues with remaining maturities of two to three years Because the Global Resources Fund concentrates its investments in specific industries, the fund may be subject to greater risks and fluctuations than a portfolio representing a broader range of industries. The S&P/TSX Venture Precious Metals & Minerals Index consists of all members of the S&P/TSX Venture Composite that are classified within the GICS precious metals & minerals sub-industry. The fund focuses on selecting junior and intermediate exploration companies from around the world. Beta is a measurement of the price volatility of a stock or other asset relative to the market as a whole. The FTSE Gold Mines Index encompasses all gold mining companies that have a sustainable and attributable gold production of at least 300,000 ounces a year, and that derive 75% or more of their revenue from mined gold.
China Rare Earth Concentrate Price 2026: $3,780/Ton — Discovery Alert
China Rare Earth Concentrate Price 2026: $3,780/Ton.
Posted: Fri, 09 Jan 2026 08:00:00 GMT source
Investing News Networkyour Trusted Source For Investing Success
For each fund with at least a three-year history, Morningstar calculates a Morningstar Rating? Morningstar Ratings are based on risk-adjusted return. The index includes Treasuries, government-related and corporate securities, MBS (agency fixed-rate pass-throughs), ABS and CMBS (agency and non-agency). Government Securities Ultra-Short Bond Fund returned 0.88%, underperforming its broad-based benchmark, the Bloomberg US Aggregate Total Return Index, which gained 1.10%. The index includes Treasuries, government-related and corporate securities, mortgage-backed securities (MBS), asset-backed securities (ABS) and commercial mortgage-backed securities (CMBS). The U.S. Government Securities Ultra-Short Bond Fund returned 3.92% for the year ended December 31, 2025, underperforming its broad-based benchmark, the Bloomberg US Aggregate Total Return Index, which returned 7.30%.
Gold And Precious Metals
The main goal of the EMTA is to promote fair, efficient, and transparent markets and also to integrate emerging markets into global capital markets. The Emerging Markets Traders Association (EMTA) is the main trade group for emerging markets. The Emerging Markets Institute at Cornell’s Samuel Curtis Johnson Graduate School of Management provides useful information and academic research on emerging markets and their impact on the global economy. The blog provides relevant data and research on an emerging market to assist users in navigating the investment landscape.
What are the three global markets?
Global Markets: Consumer, Business & Government Markets.
Precious And Industrial Metals
What is an example of a global market?
A global standardization strategy refers to the ability to use standardized marketing messaging and campaigns across markets, countries, and cultures. The world's biggest brands, such as Adidas and Coca-Cola, use a global standardization strategy to create a consistent brand experience across regions and languages.
Stock markets can be volatile and share prices can fluctuate in response to sector-related and other risks as described in the fund prospectus. Obtain performance data current to the most recent month-end at or US-FUNDS. U.S. Global Investors, Inc. is an innovative investment manager with vast experience in global markets and specialized sectors. The listing on the Frankfurt Stock Exchange will provide increased exposure to worldwide capital markets and will enable European institutional and individual investors to trade the Corporation’s common stock in Euros.
What are the 4 forms of globalization?
There can be different forms of globalization such as economic, cultural, technological and political. Economist Takis Fotopulos defined “economic globalization” as the opening and deregulation of commodity, capital, and labor markets that led towards present neoliberal globalization.
These companies, often called “seniors,” generally have the largest market caps in the mining sector. Please consider carefully a fund’s investment objectives, risks, charges and expenses. The S&P 1500 Composite is a broad-based capitalization-weighted index of 1500 U.S. companies and is comprised of the S&P 400, S&P 500, and the S&P 600. The performance data quoted represents past performance. The Luxury Index focuses on high-end products and services and has an investment objective more closely aligned with the fund’s strategy. The performance of such companies may also be affected by factors relating to levels of disposable household income, reduced consumer spending, changing demographics and consumer tastes, among others.
- These price increases in turn create macroeconomic pressures for governments, especially in consumer nations.
- Each of the mutual funds or services referred to in the U.S.
- Passively managed funds invest by sampling the index, holding a range of securities that, in the aggregate, approximates the full Index in terms of key risk factors and other characteristics.
- For resources with smaller production volumes, such as palm oil or many specialty metals, concentration among producer countries is even higher.
- They also observed that inflation net of food and energy prices decreased over the last year to 2.7% in December.
- The S&P 1500 Composite is a broad-based capitalization-weighted index of 1500 U.S. companies and is comprised of the S&P 400, S&P 500, and the S&P 600.
- Under normal market conditions, the fund invests at least 80% of its net assets in United States Treasury debt securities and obligations of agencies and instrumentalities of the United States, including repurchase agreements collateralized with such securities.
- Different investment strategies may lead to different performance results.
Current performance may be higher or lower than the performance data quoted. The fund seeks to provide tax-free monthly income by investing in debt securities issued by state and local governments from across the country. With a high level of expertise in this specialized sector, our portfolio management team includes professionals with experience in geology, mineral resources and mining finance. The World Precious Minerals Fund complements our Gold and Precious Metals Fund by giving investors increased exposure to junior and intermediate mining companies for added growth potential.
- But doing so will create a more stable environment for producers and consumers and—perhaps most important of all—allay fears of global resource scarcity.
- In the medium term, driving down resource intensity and encouraging sustainable use are the only remedies for high and volatile prices.
- The Bloomberg U.S. Municipal Index covers the USD-denominated long-term tax exempt bond market.
- The FTSE Gold Mines Index encompasses all gold mining companies that have a sustainable and attributable gold production of at least 300,000 ounces a year, and that derive 75% or more of their revenue from mined gold.
- The Fund is subject to the risk that geopolitical events will disrupt securities markets and adversely affect global economies and markets.
Past performance does not guarantee future results. Past performance is no guarantee of future results. Morningstar Risk evaluates a managed investment’s downside volatility relative to that of other products in its Morningstar Category.
Commercial Service offices nationwide and in more than 70 international offices, Global Markets (GM) promotes U.S. exports, especially among small and medium-sized enterprises; advances and protects U.S. commercial interests overseas; and attracts inward investment into the United States. Utilizing our network of trade promotion and policy professionals located in more than 100 U.S. These topics include daily news articles centered around emerging economies, videos on recent updates, and current photos that may interest users. The dimensions are then combined to create an overall market potential index. Positioned for organic growth and accretive M&A in Southeast Asia’s offshore oil sector Gold and silver prices pulled back significantly after hitting all-time highs.
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