In this issue:
- Stock In Asia Ex-Japan Shine In 2020
- Beta Risk Provided Strong Tailwinds For Portfolio Strategies In 2020
- A Red-Hot Year For Our Managed Volatility Strategy But Minimum Vol Stumbled
Asia Ex-Japan Equities Led 2020 Returns: If you held a healthy share of equities across Asia excluding Japan in your investment strategy last year, congratulate yourself. This slice of global asset classes not only posted the strongest return this week; Asia ex-Japan also outperformed the rest of the field for our list of proxy ETFs representing the major asset classes on a global basis.