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The perceived and actual value of Exchange-Traded Funds

Event time: 15:00 - 16:00 PM Singapore Time
Duration: 1 Hour

There are different ways of measuring the value of an exchange-traded fund (ETF), leading to potential confusion. An ETF can be valued using an exchange-based or over-the-counter (OTC) price, using the published daily net asset value (NAV) or an indicative net asset value (iNAV), usually calculated only during trading hours.

In our webinar, we throw light on this complex topic. Listen to professionals discussing the concept of fair value of ETFs, the benefits and shortcomings of value indicators and the takeaway from the liquidity issues in March 2020.

  • How accurately does NAV and iNAV represent the fair value of an ETF
  • When is the best time to buy a selected ETF?
  • Challenges for independent ETF valuation: Fair value, frequency, composition and availability



Speakers

Paul Amery
Financial Journalist and Editor, New Money Review

Louis Crous
Chief Investment Officer, BetaShares

Viktor Östebo
Managing Director, Head of Institutional Trading APAC, Flow Traders

Andrew Weaver
Senior Manager, Investment Product Specialists, ASX

Wee Lynn Low
Product Specialist, Pricing, Valuations and Reference Data, IHS Markit

Mark Miller
Product Manager, ETFs and Real-Time Pricing

Webinar Details

This event is will be a live online event. Once registered, you will receive a registration confirmation email that contains your login information. If you cannot make the times work, an on-demand version will be made available.

Note: If you do not receive the registration email in your email inbox, please check the junk folder instead.

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