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resilient portfolios.

Take a proactive approach to managing market volatility.
Elect resiliency in 2020.

Building a resilient portfolio is more critical than ever. Our guide evaluates current market risks, and explores investor-focused solutions.

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Webinar: Senior investment leaders offer insight into navigating today's market challenges, and where to find opportunities.

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What is your primary goal for portfolio resiliency?

Explore our low volatility solutions for income and growth potential

EPLCX

MainStay Epoch U.S. Equity Yield Fund EPLCX

Has offered steady income and capital appreciation, with less volatility than the market and peers.

MTOIX

MainStay Income Builder Fund
MTOIX

A global, balanced approach that opens the door to a diversified range of opportunities.

Why shareholder yield today?

Epoch's Executive Chairman and Co-CIO, Bill Priest, discusses the merits of a shareholder yield approach for investors seeking steady income and growth in a volatile world.

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Why shareholder yield today?

Epoch's Executive Chairman and Co-CIO, Bill Priest, discusses the merits of a shareholder yield approach for investors seeking steady income and growth in a volatile world.

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The resilience of dividend paying companies

With interest rates around the world hovering around historical lows, investor appetite for alternative income sources, particularly dividends, has increased markedly. Although some investors might be fearful of dividends being affected by market volatility, history tells us that dividend paying companies are, in fact, remarkably resilient.

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The resilience of dividend paying companies

With interest rates around the world hovering around historical lows, investor appetite for alternative income sources, particularly dividends, has increased markedly. Although some investors might be fearful of dividends being affected by market volatility, history tells us that dividend paying companies are, in fact, remarkably resilient.

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MainStay Income Builder Fund: A global, multi-asset approach for income generation and capital appreciation

A balanced, global approach opens the door to a range of opportunities that could offer investors several advantages, including higher income potential, improved growth potential, and risk management through increased diversification.

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MainStay Income Builder Fund: A global, multi-asset approach for income generation and capital appreciation

A balanced, global approach opens the door to a range of opportunities that could offer investors several advantages, including higher income potential, improved growth potential, and risk management through increased diversification.

Download brochure

Explore our highly rated muni solutions for tax free income potential

MSTIX

MainStay MacKay Short Term Municipal Fund MSTIX

Has delivered attractive tax equivalent yield, with historically low NAV volatility.

MMIN

IQ MacKay Municipal Insured ETF
MMIN

A low cost strategy to add a layer of insurance and tax free income potential to your portfolio.

Municipal markets, fall technicals, and the elections

Bob DiMella, Co-Head and Portfolio Manager with MacKay Municipal Managers, talks about the state of the municipal market heading into the election season and municipal strategies that can build resiliency in portfolios.

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Municipal markets, fall technicals, and the elections

Bob DiMella, Co-Head and Portfolio Manager with MacKay Municipal Managers, talks about the state of the municipal market heading into the election season and municipal strategies that can build resiliency in portfolios.

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Adding resiliency to portfolios with insured municipal bonds

Municipal bond insurance offers a range of benefits to investors, including default protection, guaranteed regular income, and enhanced liquidity. For these reasons, insured bonds can be particularly valuable in volatile investment climates like we are experiencing today.

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Adding resiliency to portfolios with insured municipal bonds

Municipal bond insurance offers a range of benefits to investors, including default protection, guaranteed regular income, and enhanced liquidity. For these reasons, insured bonds can be particularly valuable in volatile investment climates like we are experiencing today.

Read the report

Resiliency and yield with short term municipals

As many investors start to get off the sidelines and back into assets with greater return potential, we believe short term muni bonds can offer an optimal risk-reward balance, and active muni bond managers remain best positioned to outperform during these extraordinary market conditions.

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Resiliency and yield with short term municipals

As many investors start to get off the sidelines and back into assets with greater return potential, we believe short term muni bonds can offer an optimal risk-reward balance, and active muni bond managers remain best positioned to outperform during these extraordinary market conditions.

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Consider our low volatility high yield solutions for risk-adjusted return potential

MDHIX

MainStay MacKay Short Duration High Yield Fund MDHIX

Has provided competitive risk-adjusted returns driven by superior credit selection

HYLV

IQ S&P High Yield Low Volatility Bond ETF HYLV

A low cost strategy to gain high yield exposure while managing downside volatility.

IndexIQ’s Sal Bruno Spotlights HYLV - IQ High Yield Low Volatility ETF

Sal Bruno joined ETF Prime to discuss how investors can build a smarter core in this near-zero environment with HYLV, an innovative ETF that focuses on credit selection and eliminates the potentially riskiest bonds, while still seeking competitive yield.

Listen to the podcast

IndexIQ’s Sal Bruno Spotlights HYLV - IQ High Yield Low Volatility ETF

Sal Bruno joined ETF Prime to discuss how investors can build a smarter core in this near-zero environment with HYLV, an innovative ETF that focuses on credit selection and eliminates the potentially riskiest bonds, while still seeking competitive yield.

Listen to the podcast

The high yield market, the Fed, and a shift in market characteristics

Eric Gold, Portfolio Manager for MacKay Shields High Yield Team, discusses the state of the high yield market, the impact of recent Fed actions, and opportunities in high yield going forward.

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The high yield market, the Fed, and a shift in market characteristics

Eric Gold, Portfolio Manager for MacKay Shields High Yield Team, discusses the state of the high yield market, the impact of recent Fed actions, and opportunities in high yield going forward.

Watch the video

Gain international exposure with less of the risk

HFXI

IQ 50 Percent Hedged FTSE International ETF HFXI

A simpler approach to international investing, with a 50% currency hedge for lower volatility.

The case for international equity diversification

Given current valuations and market uncertainty, the outlook on currencies is anyone's bet. A middle ground approach could be a sensible solution to take advantage of broad passive international exposure while hedging against potential risk.

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The case for international equity diversification

Given current valuations and market uncertainty, the outlook on currencies is anyone's bet. A middle ground approach could be a sensible solution to take advantage of broad passive international exposure while hedging against potential risk.

Read the report

Travel bans don't apply to global investing

U.S. equities have led a historic global rebound from March lows. But with COVID infection rates reaccelerating, and many states and municipalities delaying or reversing plans to reopen business, can U.S. markets retain their leadership role? And what does this mean for investors?

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Travel bans don't apply to global investing

U.S. equities have led a historic global rebound from March lows. But with COVID infection rates reaccelerating, and many states and municipalities delaying or reversing plans to reopen business, can U.S. markets retain their leadership role? And what does this mean for investors?

Learn more

Elect our featured solutions for a resilient portfolio

Avg. Total Returns (as of 10/31/20)

Ticker Name Morningstar
Category
1YR 3YR 5YR 10YR Since Incep. Incep. Date Gross
Exp. Ratio

Avg. Total Returns (as of 10/31/20)

Ticker Name Morningstar
Category
1YR 3YR 5YR 10YR Since Incep. Incep. Date Gross
Exp. Ratio

Avg. Total Returns (as of 10/31/20)

Ticker Name Morningstar
Category
1YR 3YR 5YR 10YR Since Incep. Incep. Date Gross
Exp. Ratio

Fixed income

Whether you're looking for risk-adjusted returns or tax free income potential, help weatherproof your income portfolio.

Equities

How do you meet the challenge of uncertain markets? With a more resilient, less volatile approach to equity investing.

Multi-asset

Volatility is nothing new. Regardless of the cause, be prepared with a global, multi-asset solution built for times like these.

Past performance is no guarantee of future results. Funds and ETF average total return shown at NAV.

Click on the fund name for the most current fund page, which includes the prospectus, investment objectives, performance, risk, and other important information. Returns represent past performance which is no guarantee of future results. Current performance may be lower or higher. Investment return and principal value will fluctuate, and shares, when redeemed, may be worth more or less than their original cost. Visit www.newyorklinvestments.com/etf and www.newyorklinvestments.com/mutual-funds for the most recent month-end performance.