Search Results | Showing 1131 - 1140 of 3272 results for "Yield" |
| | | ... In the past year, its Global Income Fund returned 8% net of fees, the Syndicated Loan Fund returned 11.37% and the High Yield Fund returned 14.5%. Quin noted that 2016 was an interesting year for financial markets, adding: "There are still some uncertainties ... |
| | | | Australia's yield appetite will no longer be sated by income-oriented portfolios that invest solely in domestic assets. A new paper from State Street Global Advisors' SPDR ETF business argues that because of low interest rates and the heavy sector concentration ... |
| | | | ... product we are planning to launch and will allow for investment loans in the DomaCom property portfolio. They will offer a yield of 3.54% over the RBA cash rate with the security of a first registered mortgage and a loan-to value ratio (LVR) of less ... |
| | | | ... few months, says BondAdviser. In its 2017 outlook, the fixed income research platform found the possibility of a steeper yield curve might make it challenging for Australian bond investors employing index based methods and passive long-only strategies ... |
| | | | ... factor-tilted equities (47.5%), index equities (15%), US bonds (17.5%), private equity (10%), emerging market bonds (10%) and high-yield bonds (10%). This portfolio carried a higher standard deviation of 13.2%, meaning that putting aside any alpha generated ... |
| | | | If you want to understand the US and global economies and where they're going, you've got to think outside the box because sometimes the most obvious realities are the hardest to see. That was the key message from Principal Global Investors' chief global ... |
| | | | ... policy meeting. The Policy Board kept the policy interest rate unchanged at -0.1%, maintained its 10-year government bond yield target at around zero and JGB purchases "at more or less the current pace -- an annual pace of increase of about 80 trillion ... |
| | | | ... factor-tilted equities (47.5%), index equities (15%), US bonds (17.5%), private equity (10%), emerging market bonds (10%) and high-yield bonds (10%). This portfolio also carried a higher standard deviation of 13.2%. Anderson noted that "this isn't the ... |
| | | | Future Fund chairman Peter Costello is adamant the global investment environment remains risky and offers little return, weighing considerably on the $127 billion sovereign wealth fund's strategy. Announcing a 7.8% return for the 2016 calendar year ... |
| | | | Lonsec and Zenith have upgraded ratings of the Perpetual Diversified Real Return Fund. The fund is now 'Recommended' by both ratings houses following its strong performance. Before tax and fees the fund achieved returns of 9% per annum as at 31 December ... |
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