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Michael Bommarito
Michael J. Bommarito II is a third-year undergraduate at the University of Michigan majoring in math with a focus on finance. He intends to complete his bachelors and obtain a masters in a financial engineering program, thereafter seeking employment in the applied financial community. Until free from school, he enjoys being a part of the investment community by freely publishing quantitatively-oriented analysis and commentary on his site, ETF Central.
Visit: ETF Central
Michael Bommarito's Latest Articles
- Capitalization Coupling: Major Indices at Correlation Highs
- ProShares Ultra and UltraShort Sector ETFs: Does 2 = 2?
- A Look at Sector Performance over the Last Month
- Building a Long-Volatility ETF Portfolio
- Market Volatility Benefiting ProShares Ultra ETFs
- Top 20 VIX Correlated ETFs: All ProShares
- Sector SPDR ETF Returns and Volatility Relative to the S&P 500
- Select SPDR Sector ETF Correlation to the S&P 500
- Index ETF Summary, Top ETF Dollar Flows
- Moment and Omega Rankings of Index ETFs
- Recent Changes In Correlation Between SPDR Sector ETFs and the S&P 500
- ETF Comparison: S&P 500 Performance Relative to Gold
- Volatility Falling: VIX Breaks Below 20
- Top ETF Dollar Inflows Over the Last Week
- Best, Worst ETF and CEF Year-to-Date Returns
- ETFs With a 50% Correlation To the VIX
- A Response To Bespoke Investment's Sector Correlation Claims
- Update On Oil ETFs and Contango
- Weakness In Muni Bond CEFs Hints At Difficulty Muni ETFs May Face
-
A VIX-Replicating ETF Would Be Problematic and Expensive
on Sep 10, 2007
- Top ETF Dollar Volumes Over the Past 50 Days
- Using the Omega Ratio for Asset Allocation on the Select SPDR ETFs
- Omega Ratio Comparison of Select SPDR ETFs
- S&P 500 Outpaces Log-Return of the Russell 2000 in Dramatic Fashion
- Best Weighted ETF and CEF Omega Measures
- Best ETF and CEF Absolute Lagged Correlation To the S&P 500
- Weekly ETF Performance Review: Only the 'Shorts' Were Higher
- VIX Breaks Through 30, Its Highest Point In More Than Four Years
- Russell 2000 Continues To Make Up Ground Versus the S&P 500
- VIX Breaks Below 20
- Gauging Post-FOMC Investor Fear
- VIX Ends Day Lower: Put Little Stock In Pre-Market Futures
April 29, 2008
| Last Updated
12:03
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