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US Large Cap
+0.83%

1W flows +$15.21B

1W perf. +0.68%
US Mid Cap
+0.45%

1W flows +$520M

1W perf. +0.26%
US Small Cap
+0.52%

1W flows +$753M

1W perf. +0.63%
Global Blended Cap
+1.28%

1W flows +$1.83B

1W perf. +0.64%
Developed Markets Blended Cap
+1.67%

1W flows -$34M

1W perf. +0.68%
Emerging Markets Blended Cap
+0.55%

1W flows +$383M

1W perf. +0.21%
Europe Blended Cap
+0.96%

1W flows -$606M

1W perf. +0.63%
China Blended Cap
+0.13%

1W flows +$112M

1W perf. -0.05%
US Aggregate Bonds
+0.23%

1W flows +$3.27B

1W perf. +0.16%
US Government Bonds
+0.19%

1W flows -$1.51B

1W perf. +0.19%
US Corporate Investment Grade Bonds
+0.24%

1W flows +$1.83B

1W perf. +0.15%
US Corporate High Yield Bonds
+0.33%

1W flows +$1.06B

1W perf. +0.03%
Gold
+0.48%

1W flows -$145M

1W perf. -0.02%
Energy
-1.02%

1W flows +$70M

1W perf. +0.78%
Volatility
-0.06%

1W flows +$134M

1W perf. +0.11%
Thematic Investing: Cryptocurrency
+0%

1W flows +$1.65B

1W perf. +0.17%

Last update: Yesterday 1:57 PM

Live
Closed
US Large Cap
+0.83%

1W flows +$15.21B

· 1W perf.
US Mid Cap
+0.45%

1W flows +$520M

· 1W perf.
US Small Cap
+0.52%

1W flows +$753M

· 1W perf.
Global Blended Cap
+1.28%

1W flows +$1.83B

· 1W perf.
Developed Markets Blended Cap
+1.67%

1W flows -$34M

· 1W perf.
Emerging Markets Blended Cap
+0.55%

1W flows +$383M

· 1W perf.
Europe Blended Cap
+0.96%

1W flows -$606M

· 1W perf.
China Blended Cap
+0.13%

1W flows +$112M

· 1W perf.
US Aggregate Bonds
+0.23%

1W flows +$3.27B

· 1W perf.
US Government Bonds
+0.19%

1W flows -$1.51B

· 1W perf.
US Corporate Investment Grade Bonds
+0.24%

1W flows +$1.83B

· 1W perf.
US Corporate High Yield Bonds
+0.33%

1W flows +$1.06B

· 1W perf.
Gold
+0.48%

1W flows -$145M

· 1W perf.
Energy
-1.02%

1W flows +$70M

· 1W perf.
Volatility
-0.06%

1W flows +$134M

· 1W perf.
Thematic Investing: Cryptocurrency
+0%

1W flows +$1.65B

· 1W perf.
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Content from our partners

Model portfolios

Four-Pillar Portfolio

The Four Pillar Strategy is a passive investment model designed to capture global market returns efficiently and at minimal cost. By focusing on four distinct, non-correlated asset classes, this portfolio provides a framework for long-term capital appreciation and inflation protection. The strategy rests on four pillars: Total US Equities, International Stocks, Total Bond Market, and Real Estate Investment Trusts (REITs). The addition of REITs offers an additional layer of diversification.

YTD perf.
3Y perf.
Volatility
7.66%
E/R
0.18%
ETF Central Logoby ETF Central

Balanced 60/40 Portfolio

Built on the foundational principles of diversification, this model allocates 60% of capital to equities for long-term growth and 40% to fixed-income securities to provide a defensive cushion and steady income. Investors have utilized the 60/40 investment strategy to navigate diverse market cycles. The equity portion captures the upside of economic expansion and corporate earnings. Conversely, the bond component acts as a stabalizer. This synergy aims to optimize risk-adjusted returns.

YTD perf.
3Y perf.
Volatility
10.92%
E/R
0.03%
ETF Central Logoby ETF Central

Endowment Model

The Yale Endowment Model, pioneered by David Swensen, moves beyond the traditional 60/40 portfolio by emphasizing a diversification into other asset classes, designed to generate equity-like returns with reduced systemic risk. This model prioritizes broad-market exposure while allocating a significant portion to Real Estate (REITs) and inflation-sensitive assets. The fixed-income component is strategically split between Intermediate Treasuries and Treasury Inflation-Protected Securities (TIPS).

YTD perf.
3Y perf.
Volatility
10.83%
E/R
0.07%
ETF Central Logoby ETF Central
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Movers & Shakers

XYZ
tickers are listed on NYSE

Segments

ETFs

Issuers

Best performance, 1 week1W perf.YTD perf.
AI & Big Data+10.70%+25.57%
US Info. Technology+9.87%+29.20%
Blockchain+9.82%+18.40%
Cloud Computing+9.67%-0.83%
Cybersecurity+9.00%+3.51%
Worst performance, 1 week1W perf.YTD perf.
US Energy-6.52%+27.18%
Energy-6.40%+79.44%
US Utilities-4.29%+5.61%
Multi-Commodity-1.92%+31.30%
Cannabis & Psychedelics-1.89%+5.75%
Most inflows, 1 week1W flowYTD flows
US Large Cap+$15.21B+$86.78B
US Aggregate Bonds+$3.27B+$32.99B
Uncategorized Equities+$3.26B+$34.36B
US Multi-Factor+$2.98B+$24.40B
Options Strategies+$2.73B+$34.46B
Most outflows, 1 week1W flowYTD flows
US Info. Technology-$2.22B+$9.20B
US Government Bonds-$1.51B+$25.11B
EM Large & Mid Cap-$875M+$13.64B
US Large Cap Growth-$737M+$17.34B
US Cons. Discretionary-$734M-$2.56B

Data period: May 1 - 8, 2026

Latest ETF launches

Recent launchesInception
DUSG
U.S. Small Cap Growth Portfolio: ETF Class Shares5/6/2026
TCAN
21Shares Canton Network ETF5/6/2026
KMCA
PLUS Korea Manufacturing Core Alliance Index ETF5/6/2026
BUYB
ProShares S&P 500 Buyback Aristocrats ETF5/6/2026
CLOO
NYLI Investment Grade CLO ETF5/6/2026
GLAM
Corgi Beauty, Skincare & Aesthetics ETF5/6/2026
BLCK
Corgi Crypto Infrastructure ETF5/6/2026
NICO
Hexis Active Nicotine Engagement ETF5/6/2026
EYES
Corgi Data & Surveillance ETF5/6/2026
STYL
Corgi Lifestyle Brands ETF5/6/2026
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