Wednesday, June 19, 2013
25th ANNUAL MORNINGSTAR CONFERENCE
As rates remain low, many investors overlook the risks of higher-yielding fixed-income assets; instead, they should maintain low-cost, well-diversified portfolios, says Vanguard's Fran Kinniry.
FIVE-STAR INVESTOR
These funds are run by skilled managers who invest in small companies they can hang on to for the long haul.
STOCK STRATEGIST
Costs and regulatory issues keep mirrors safe from replacement by cameras in the medium term.
HEARD ON THE BOARDS
What's your take on 401(k) plans? Do you think they're fulfilling the role they were intended to, or would you alter them or scrap the 401(k) system altogether?
    Mutual Funds
    VIDEO REPORT
    May flows data show investors are putting money to work in nontraditional fixed-income holdings, as well as emerging-markets equities, for perceived better returns.
    Real Life Finance
    Stocks
    Closed-End Funds
    CEF SPOTLIGHT
    Early signs indicate that a relatively recent addition to Advent Capital's management team is improving the risk profile of at least one CEF. says Morningstar's Mike Taggart.
    ETFs
    ETF WEEKLY
    Plus, State Street seeks to issue nontransparent, actively managed ETFs, and AdvisorShares to liquidate an actively managed, sector rotation ETF.
    The Economy
    READING INDICATORS
    After bottoming at 1.4% a year ago, 10-year rates jumped much closer this week to the 3.0%-3.5% range that would be expected with current inflation.
    Bonds
    BOND STRATEGIST
    Despite the fact that company fundamentals remain supportive of spread levels, the impact of interest-rate and equity market moves was again felt in the corporate bond market.
    Perspectives
    PERSPECTIVES: Causeway Capital Management
    Stocks in the energy sector currently offer significantly better valuations and dividend income than those in consumer staples, especially in the non-U.S. developed markets.
    Market Barometer
    Lg
    Md
    Sm
    Value—Growth
    Day Return
    +1.25%
    0
    -1.25%
    1Wk Return
    +1.25%
    0
    -1.25%
    1Mo Return
    +4%
    0
    -4%
    3Mo Return
    +8%
    0
    -8%
    1Yr Return
    +20%
    0
    -20%
    3Yr Return
    +20%
    0
    -20%
    1Wk1Mo3Mo1Yr3Yr
    Market Consensus
    0.25%
    Actual
    Market Consensus
    NA
    Actual
    -3.3%
    Market Consensus
    NA
    Actual
    0.313M
    Market Consensus
    340K
    Actual
    Market Consensus
    2967K
    Actual
    Market Consensus
    5.00M
    Actual
    Market Indexes
    DJIA
    15,303
    -15.7
    -0.1%
    S&P 500
    1,650
    -1.8
    -0.1%
    NASDAQ
    3,477
    -5.6
    -0.2%
    Morningstar U.S. Market
    4,154
    -5.5
    -0.1%
    Morningstar Small Cap
    6,315
    -30.9
    -0.5%
    $1,372.50
    0.43%
    Jun 13
    $98.44
    0.00%
    Jul 13
    $3.97
    1.59%
    Jul 13
    Maturity
    %Yield
    6 Month
    0.08
    2 Year
    0.27
    5 Year
    1.07
    10 Year
    2.20
    30 Year
    3.34
    1 Yr Ago
    Last Close
    Data as of last close