Search Results | Showing 1101 - 1110 of 6696 results for "securities" |
| | | ... fluctuations can help to ensure investors' portfolios are well-diversified especially in volatile markets, according to ETF Securities. During a period where asset prices and exchange rates are fluctuating unpredictably, many investors are looking to ... |
| | | | New research from ETF Securities has revealed that three new exchange traded funds (ETFs) saw tens of millions in inflows during the second quarter, while six UBS products exited the market. The products included ETF Securities' ETFS FANG+ ETF on March ... |
| | | | ... nearly 60% beating their benchmarks in the best performance of all asset classes that SPIVA looked at. "Fixed income securities are safe-haven investment during equity market crisis and corrections, though Australian bond funds tended to underperform ... |
| | | | ... likes Asian equities as valuations aren't as extreme, while in credit, Craig prefers investment grade asset backed securities in the US. In comparison, Natixis Australia managing director and head of distribution Louise Watson sees opportunities ... |
| | | | ... opportunities do exist across European and US markets and that active, selective exposure to US and global high-yield securities at this juncture will continue to benefit clients." Further volatility in high yield is likely, the firm added, with the ... |
| | | | ... fact moving in the right direction," the strategy's lead portfolio manager Will Baylis said. It will hold about 55 securities and aim to beat the S&P/ASX 200 Accumulation Index over rolling three-year periods. The fund is priced at 64 bps per year in ... |
| | | | ... and unhedged versions of the State Street International Equities Trust. Ast at April end, the trusts had six6 tobacco securities and five5 controversial weapons securities, accounting for 0.88% and 0.69% of the index. "Over recent years, we have witnessed ... |
| | | | ... periods of negative returns. A portfolio with 70% in growth assets, like stocks, and 30% in defensive assets, i.e. income securities - bonds, will typically have one negative year in every five," Sparks said. "While the impacts of COVID-19 have been ... |
| | | | ... lot of investors looking for higher levels of income have historically invested in Australian bank equity or hybrid securities." In the past, Australian investors have also relied heavily on fixed income investments with high exposures to banks and local ... |
| | | | ... Macquarie's strategy to actively manage its capital mix and maintain diverse sources of funding," the bank said. ANZ Securities, Citigroup Global Markets Australia, CBA, E&P Corporate Advisory, Ord Minnett, Morgans Financial, NAB, and Westpac Institutional ... |
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