While Ethereum and Bitcoin are both blockchain-based cryptocurrencies, their differences are profound. Read this guide to learn more about Ethereum and how it differs from Bitcoin.
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Disclosure: https://www.vaneck.com/us/en/social-media-disclaimer/ VanEck has a history of looking beyond the financial markets to identify trends that are likely to create impactful investment opportunities. We were one of the first U.S. asset managers to offer investors access to international markets. This set the tone for the firm’s drive to identify asset classes and trends—including gold investing in 1968, emerging markets in 1993, and Exchange Traded Funds in 2006—that subsequently shaped the investment management industry. Today, VanEck offers active and passive strategies with compelling exposures supported by well-designed investment processes. The firm’s capabilities range from core investment opportunities to more specialized exposures to enhance portfolio diversification. Our actively managed strategies are fueled by in-depth, bottom-up research and security selection from portfolio managers with direct experience in the sectors and regions in which they invest. Investability, liquidity, diversity, and transparency are key to the experienced decision-making around market and index selection underlying VanEck’s passive strategies. Since our founding in 1955, putting our clients’ interests first, in all market environments, has been at the heart of the firm’s mission.
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Beschäftigte von VanEck
Updates
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At the Bitcoin 2024 Conference in Nashville? Come check us out at Booth #226. Learn more: vaneck.com/HODL Prospectus: vaneck.com/hodlprospectus/
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As the first in the US to file for a spot ether exchange-traded product, we have been steadfast believers in Ethereum’s long-term potential. We view Ethereum as an open-sourced app store, and investing in ether is an opportunity for pure play exposure to the economics of blockchain software. Now Trading: VanEck Ethereum ETF (ETHV): vaneck.com/ETHVprospectus
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Our annual Finance Boot Camp is underway, hosted by Portfolio Manager Eric Fine! Over the course of two weeks, high school students interested in finance, economics, statistics, and accounting learn how these disciplines help investment managers make decisions. The students provide daily macroeconomic content, are assigned a country, and present their bond market recommendations. 📊
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Understanding the macroeconomic nuances of emerging markets takes a keen eye, developed over years of practice. However, more importantly, the ability to translate and clearly communicate the ramifications of these trends is an innate skill. Follow Natalia Gurushina who combines these qualities through sharing her views on emerging markets on LinkedIn.
China’s real GDP growth can slow from 5% in 2024 to 3.3% in 2029 - according to the updated IMF projections - reducing China’s contribution to global growth to ~65bps from ~150bps at its peak. But fear not – India is catching up, about to become an independent global growth driver.
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Gold reached all-time highs in May 2024 on its way to forming a new, higher base. At the same time, gold companies have shown how they are ready to capitalize on these higher prices with costs now firmly under control. Register for our upcoming webinar on Wednesday, July 24 at 10 AM ET: https://lnkd.in/eFGWpNcQ. We’ll discuss: -Gold’s recent consolidation around new highs -Gold miners’ improved outlook -Forecasts for the remainder of 2024
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“Usually spreads tighten in periods of good economic performance,” Winifred Cisar Stieglitz, Global Head of Strategy at CreditSights, shares in a recent episode of Trends with Benefits with host Edward Lopez. Listen to learn more about current spread levels, the impact of private credit on public markets, and overlooked sectors: https://lnkd.in/e9dXXSxH
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Do you understand the key differences between bitcoin and Ethereum? Learn more: https://lnkd.in/gcwR9cWb