Sector exposure historically has been a major driver of stock returns.
A review of key factors that may influence global financial markets.
The global economy is in a mature expansion, and the late-cycle environment may continue to stir up volatility.
The stock/bond correlation has been steadily decreasing since its peak in 2015: What does it mean?
Fidelity outlines the merits of factor-based investing across the asset classes.
Fidelity outlines three approaches to incorporating factor-based strategies in your portfolio.
With a range of investment options to select from, you can aim to build a 'championship team' of investments for your clients’ portfolios.
Investors are increasingly looking to factors as portfolio-building blocks, and Fidelity has found that the excess returns of many factors have been just as compelling in international markets as in domestic markets.
For investors seeking income, see why active ETFs are a compelling option to consider for fixed-income portfolios.