After another week in the global market, the ETFdb pop quiz returns with another round of questions about Kenya, Kellogg, and KraneShares.
1.highest percentage of holdings in Kenya, Market Vectors Africa Index ETF or MSCI Frontier 100 Fund?
2. How many years has SPY reported negative returns?
3. Which ETF with exposure to Kellogg has the lowest expense ratio?
4. Which asset class has the best three year returns?
5. Which ETF was the first introduced by newcomer KraneShares?
Also test your knowledge with our past Pop Quizzes
Disclosure: No positions at time of writing.