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Pacer Trendpilot Fund of Funds ETF (TRND)

Pacer Trendpilot Fund of Funds ETF (TRND)
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Low-Beta ETFs to Counter Market Volatility

The S&P 500 extended its losing streak to four sessions, as investors fretted over Federal Reserve rate hikes and further talk of a looming recession.

PHDG : 35.32 (-0.42%)
TRND : 30.39 (-0.97%)
NUSI : 22.72 (-0.61%)
SIXS : 45.24 (-0.98%)
PSFF : 26.62 (-0.41%)
Low-Beta ETFs to Beat Market Turmoil

Investors may want to remain invested in the equity world but, at the same time, seek protection from a downside could consider low-beta ETFs.

PHDG : 35.32 (-0.42%)
TRND : 30.39 (-0.97%)
NUSI : 22.72 (-0.61%)
ARMR : 20.48 (unch)
SIXS : 45.24 (-0.98%)
Forget Recession Fears With These ETFs

Inflation has been red-hot in America and is not showing signs of cooling down. This has accelerated recession fears.

BTAL : 19.01 (+0.44%)
TAIL : 11.83 (+0.34%)
DWSH : 7.50 (+1.28%)
TRND : 30.39 (-0.97%)
NUSI : 22.72 (-0.61%)
Low-Beta ETFs to Buy Amid Market Turmoil

Investors may want to remain invested in the equity world but at the same time seek protection from a downside. This could be easily achieved by investing in low-beta products.

PHDG : 35.32 (-0.42%)
TRND : 30.39 (-0.97%)
NUSI : 22.72 (-0.61%)
ARMR : 20.48 (unch)
SIXS : 45.24 (-0.98%)
Trade Market Uncertainty With Low-Volatility ETFs

Investors may want to remain invested in the equity world but at the same time seek protection from a downside. This could be easily achieved by investing in low-beta products.

PHDG : 35.32 (-0.42%)
QYLD : 17.35 (-0.23%)
TRND : 30.39 (-0.97%)
NUSI : 22.72 (-0.61%)
SIXL : 33.80 (-0.52%)
5 Low-Beta ETFs to Buy Amid Market Volatility

Amid rising geopolitical tensions, investors may want to remain invested in the equity world but at the same time seek protection from a downside.

PHDG : 35.32 (-0.42%)
TRND : 30.39 (-0.97%)
NUSI : 22.72 (-0.61%)
SIXS : 45.24 (-0.98%)
JEPI : 56.10 (-0.57%)

Barchart Exclusives

Capri Holdings: May 17 $35 Unusually Active Call Option Is a No-Brainer
One stock stood above all others in Wednesday’s unusual options activity. Capri Holdings’ May 17 $35 call had a Vol/OI ratio of 526.92, almost three times the next-highest ratio. Whoever was buying yesterday was right on the money. Here’s why. Read more
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