BMO Exchange Traded Funds

BMO ETFs: Views from the Desk

Business EN ↓ 373 episodes

In these timely episodes, we provide the latest investment news and expert commentary on the markets, the economy and investing.

Author

BMO Exchange Traded Funds

Category

Business

Podcast website

www.bmoetfs.ca

Latest episode

Jul 7, 2026

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Episodes

E99 – Upheaval at Rogers Communications 28.10.2021

Tensions continued to mount at Rogers Communications this week, as Chairman Edward Rogers sought to remove the independent directors who blocked his attempt to oust CEO Joe Natale. Mark Raes, Chris McHaney and Alfred Lee offer insights into this bizarre tale of family in-fighting, while giving investors investment strategies to help navigate the chaos. Our experts also discuss their particular tak...

E98 – Diving into US Earnings Results 21.10.2021

As the US earnings season starts to kick-off, markets have begun to show a preference for quality and fundamentals over sentiment and momentum. So, in today’s episode, Mark Raes, Chris Heakes and Alfred Lee dig into the first round of financial statements to see if the results are strong enough to weather macro headwinds out of China, the Federal Reserve and recent inflation data. Our experts also...

E97 – Back to Defensive Factors? 14.10.2021

Markets remained uneasy this week, as investors looked for greater certainty around near-term economic growth. Will the reopening trade continue? Or has the market cycle finally turned? In today’s episode, Mark Raes, Chris McHaney and Matt Montemurro discuss multiple factor-based ETFs that investors can use to implement their perspective, while also discussing some long-term opportunities availabl...

E96 – Bracing for a Risk-Off Moment 07.10.2021

Unrest continued to mount in bond markets this week, as the cracks in China’s real estate bubble grew wider and inflation expectations remained stubbornly high. How should investors manage this risk-off moment? For the fixed income side of the portfolio, Mark Raes, Chris Heakes and Matt Montemurro offer key satellite positions to gather yield and protect downside. Our experts also discuss premium...

E95 – Switching Sectors as Markets Get Fearful 30.09.2021

With markets paring back from all-time highs this week, investors may want to take a closer look at their sector allocations – including Energy, Technology and US Banks. Which areas will thrive amid higher inflation? And what exposures could help investors gather income in spite of the volatility? Mark Raes, Chris McHaney and Alfred Lee answer these timely questions in today’s episode, while namin...

E94 – Watching China’s Real Estate Crisis Unfold 23.09.2021

Alarm bells rang out across global markets this week, as a major Chinese real estate developer failed to meet its regularly scheduled coupon payment. Investors were left wondering: Is this China’s “Lehman Brothers” moment? In this episode, Mark Raes, Chris Heakes and Matt Montemurro discuss the latest developments of the Evergrande story, and whether the ripple effects will reach Canadian shores....

E93 – Election Outcomes: How to Position Your Portfolio 22.09.2021

With the federal election just around the corner, many investors are starting to re-evaluate the political risks in their portfolios. To this end, Kevin Prins, Alfred Lee and Chris McHaney explore the potential for a minority government, and what it could mean for positioning the Canadian side of an investment portfolio. Our experts also discuss the prospect of higher US corporate taxes, whether t...

E92 – Decoding Q3 Canadian Bank Earnings 21.09.2021

Canadian banks continued their bullish streak through the third quarter, as loan loss provisions surprised to the downside. In this special episode, Sohrab Movahedi, Chris Heakes and Daniel Stanley dig deeper into the positive results and other macro factors, including the Delta variant, inflation concerns and potential rate hikes. Our experts also offer multiple ways to gain exposure, focusing on...

How ZPAY Earns Yield from Market Volatility 20.09.2021

What should you do when the stock market goes haywire? Do you wait out the turmoil, or do you sit on the sidelines until it’s over? It’s a trick question, really. Professional investors know that options strategies can split the difference, collecting steady income AND stopping your losses if the markets do eventually plummet. However, what most investors don’t know is that you can get this advanc...

E91 – Seeking Shelter from the Fed & Hurricane Ida 02.09.2021

Investors seemed jittery this week as two storm clouds lingered over markets, including the Federal Reserve’s potential tapering of asset purchases and the literal bad weather caused by Hurricane Ida – the latter of which led to closures of key oil refineries in the US Gulf. In today’s episode, Kevin Prins, Chris McHaney and Matt Montemurro discuss how fixed income and equity markets are respondin...

E90 – What’s Driving “Big Six” Bank Performance 26.08.2021

Canadian banks continued to beat market expectations handily this quarter, reporting stronger than anticipated earnings on the back of robust trading and wealth management. The news proved especially timely given that BMO ETF recently lowered its management fee for Z-E-B, an Equal Weight Banks ETF, from 0.55% to 0.25%. In today’s episode, Chris Heakes and Matt Montemurro discuss the outperformance...

E89 – Weighing the Canadian Election vs. Oil Prices 19.08.2021

Less than a week after Prime Minister Justin Trudeau dissolved parliament to call for a special election, Canadian investors are weighing the potential impact on markets. What would a majority Liberal government mean for the future of the oil industry? How does the Conservative Party propose to manage the country’s growing fiscal deficit? And are any or all of these outcomes already priced into va...

E88 – Switching Gears as the Reopening Trade Slows Down 12.08.2021

With the reopening trade running out of steam, investors must turn their attention now to less obvious drivers of market outcomes, such the billions of dollars currently flowing into the repo market, the growing institutional demand for ESG investments and the recent inflation reports. In today’s episode, Kevin Prins, Alfred Lee and Chris McHaney dive into these underlying trends, offering investo...

E87 – Moonshot ETFs for Clean Energy & Autonomous Tech 29.07.2021

As the summer wears on, both equity and fixed income markets have been heating up with volatility. Investors looking to cool off can turn to the longer-term trends that extend beyond the next 12 to 18 months – including Clean Energy, Autonomous Tech, Space Tourism and ESG bonds. In this episode, Danielle Neziol, Matt Montemurro and Chris Heakes explore the potential upside of these Megatrends, and...

E86 – Surfing Volatility with REITs, Industrials & Bonds 22.07.2021

The impact of the Delta variant remains uncertain, with some investors moving back into bonds to wait out the volatility. Will the market rebound? Or will the optimism of recent months fade as we move deeper into the third quarter? In this episode, Alfred Lee and Mark Raes take stock of the problem, and offer multiple trade ideas to improve your client portfolios, discussing everything from Indust...

E85 – Balancing the Inflation vs Growth Tradeoff 15.07.2021

CPI numbers registered above expectations again this week, stoking fears that inflation is not as transitory as the Federal Reserve claims. How should investors weigh the potential for higher prices against the upside of an economic reopening? In this episode, Chris Heakes, Alfred Lee and Market Raes discuss how best to approach bonds and equities, and then dive into more specific areas – such as...

E84 – Drilling into Oil Prices as Economies Re-Open 08.07.2021

A lack of production cuts from OPEC drove oil prices higher this week, with some analysts predicting that crude prices may once again reach $100 per barrel. In this episode, Mark Raes, Chris McHaney and Matt Montemurro explain why an equal weighted approach to Energy can help investors manage risk, especially as the economy continues to re-open and demand for oil increases. Our experts also explor...

E83 – Belski: Riding the Bull Market with ZACE 06.07.2021

In this episode, Danielle Neziol interviews Brian Belski about his famously bullish views on the U.S. equity market. Listeners will also hear his outlook for the next 18 to 24 months, his read on the Federal Reserve, and why he chose to create a new U.S. All Cap Equity strategy to invest across all market cap exposures – including large, mid and small. Danielle Neziol is a Product Specialist at BM...

E82 – Taking Risk Off the Table With Quality & Low Vol 24.06.2021

The Federal Reserve soothed markets this week when Chairman Jay Powell announced the central bank’s intention to keep interest rates low until 2023. The announcement poured cold water on inflation concerns, yet uncertainty still lies ahead. Should investors find safe havens to wait out the volatility? In today’s episode, Chris Heakes, Alfred Lee and Mark Raes discuss which ETFs can help investors...

E81 - Canadian Mortgage-Backed Securities (MBS) – Yield Premiums with Downside Protection 23.06.2021

Looking for an income solution with little to no credit risk? In this episode of Inside Investments, Rob Butler speaks with Director and Portfolio Manager of Exchange Traded Funds, Matt Montemurro, about the advantages of investing in the $500 billion Canadian MBS market, and the significant structural differences from its U.S. counterpart. Listeners will hear how BMO Canadian MBS Index ETF (ZMBS)...

E80 – Choosing Wisely within the Equity Universe 17.06.2021

Although G7 countries issued a collaborative statement against China, the political maneuvering failed to rattle investors who were more focused inflation, interest rates and the ongoing economic re-opening. The big question now is: what sectors and themes will benefit most from a return to normalcy? In today’s episode, Mark Raes and Chris McHaney explore multiple ways to build the trade, includin...

E79 – Decoding Q2 Canadian Bank Earnings 15.06.2021

Canadian banks sustained their runaway performance in the second quarter – but can the upward trend continue? In this special episode, Sohrab Movahedi, Chris Heakes and Daniel Stanley dig deeper into the positive earnings surprises amid the broader economic context, including inflation concerns, potential rate hikes and the continued reopening. Our experts also offer multiple ways to gain exposure...

E78 – Looking Beyond G7 Taxes with Tech & EM Bonds 10.06.2021

In a historic moment for international markets, the G7 group of countries have agreed to implement a global minimum tax rate of at least 15%. But how will these reforms impact corporate earnings? In today’s episode, Chris Heakes, Alfred Lee and Mark Raes address the ripple effects across markets, and offer an update on other areas of the market – including emerging market bonds, innovation-themed...

E77 – Rebalancing Global Equities, Canadian Banks & Bonds 03.06.2021

As restrictions ease across Canada, macro conditions remain encouraging – and ever-changing. The bond universe is normalizing; innovation stocks, which looked unstoppable in 2020, are facing higher costs of capital; options layers are being stymied by lower volatility; and Canadian banks are continuing to win the reopening trade. In this episode, Chris McHaney, Matt Montemurro and Mark Raes provid...

E76 – Homeward Bound with CAD-Hedged Bonds & Equities 27.05.2021

With a strengthening loonie comes the promise of greater returns on CAD-hedged as well as Canadian ETFs. In this episode, Chris Heakes and Alfred Lee analyze some of the top trends that will shape the domestic stock market, including a healthy economy, an attractive investment-grade bond universe, and a positive outlook for the Big Five banks.   Read the episode summary. Mark Raes is the Head of P...

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