Search Results | Showing 1 - 10 of 32 results for "Market Equity" |
| | ... domestic investment market to absorb it." Consequently, the allocation that super funds have to international public market equity increased from 18.6% in December 2013 to 29.8% in December 2021 per APRA data. While this is substantial, Preqin's view ... |
| | | Yarra Capital has appointed Australian equities portfolio manager David Acton to lead its first private market equity fund. Acton has more than 30 years of industry experience and joins from Rothschild & Co where he was a senior advisor. Before that ... |
| | | ... investors. "As the exclusive retail distribution partner for Northcape Capital's Australian, global and emerging market equity strategies, the rapid growth in funds under management for the Flinders Investment Partners small companies strategy and with ... |
| | | ... relationships and build on our existing presence," Rahmani said. Maple-Brown Abbott is also launching a global emerging market equity strategy which is expected be available to investors by mid 2022. |
| | | ... valuations but also much uncertainty, will slightly outpace developed markets...Our expectation of 5.4% of emerging market equity returns, driven primarily by China and Asia, is a mere 0.6% return premium to developed markets." In fixed income, it expects ... |
| | | ... returns accrue over the period. The LTCMA report goes on to say that as much as 80% of forecast returns in developed market equity will come from dividends and buybacks, compared with less than one-third in emerging market equity. Bilton explained JPMAM ... |
| | | ... and emerging markets equity (-4.2%). On a year to date basis, REITs returned 3% as of June 30, behind developed market equity (6.7%), global fixed income (4.3%) and Aussie equities (4.3%). Earlier this month, Centuria Capital appointed a former Mirvac ... |
| | | ... well received by current clients and prospects and we see significant interest in our Global Small Cap and Emerging Market Equity strategies. We also plan to introduce to the region our Emerging Market Debt and Global Fixed Income capabilities in the ... |
| | | ... meet the realities of a carbon-constrained future." Morningstar analysis finds that, among diversified developed-market equity strategies, Europe ex-UK funds generally have the lowest carbon risk score, Asia ex-Japan the highest, and the US lands in ... |
| | | ... with the MSCI World Index," McClone said. He said it is true the correlation between commodity prices and emerging market equity prices significantly increased from 2005 to 2013, however this actually benefited commodity-producing countries in emerging ... |
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