Search Results | Showing 101 - 110 of 940 results for "International Equities" |
| | | ... The majority of the Balanced option, which aims for CPI+3.5% in returns, is invested in Australian and international equities with a strategic allocation of 24% and 30% respectively. There is about 19% allocated in fixed income and 11% in infrastructure ... |
| | | | ... Fund, abrdn Sustainable Emerging Opportunities Fund, abrdn International Equity Fund, abrdn Sustainable International Equities Fund, abrdn Multi-Asset Real Return Fund, abrdn Multi-Asset Income Fund, abrdn Global Corporate Bond Fund, abrdn Global Risk ... |
| | | | ... Sector-wise, cash led the pack, delivering the highest median return of 1.8% over the 12-month period, followed by international equities with a median return of 1.2%. Contrarily, property experienced the lowest 12-month sector median at -12.6%. The ... |
| | | | ... Microcap Fund came in third place with 27% p.a., also for three years. Out of all the asset classes, large cap international equities was the top performer over the 12-month period by a long shot with 12% p.a. Zurich's Global Thematic Share Fund ... |
| | | | ... have higher exposure to the communications services, health care and information technology sectors." In international equities holdings, "ESG products were found to on average have clear tilts away from many of the major global technology giants other ... |
| | | | ... Australia and Insignia Financial were the other investment managers to win multiple awards. Vanguard won the International Equities - Indexed/Enhanced Infrastructure categories. Insignia Financial won the Balanced and Growth Multi-Asset product of the ... |
| | | | ... maturing superannuation system and ageing population, APRA said. Super funds continue to favour local and international equities as 22% and 27% of total assets are allocated to these strategies respectively. Nine percent is invested in fixed income and ... |
| | | | ... equities exposures of -$136 million," he explained. "This marks a very striking change to previous years, with international equities flows being exceptionally light in the year to date, with investors continuing to take a cautious stance towards equities ... |
| | | | ... part of its broader consolidation strategy. The Sustainable Australian Equity Fund, Select Sustainable International Equities Fund, Global Smaller Companies Fund, Global Absolute Return Strategies Fund, and Emerging Market Local Currency Debt Fund were ... |
| | | | ... Magellan's organic FUM growth remain good, Morningstar found, notably from investors seeking to diversify to international equities or gain access to smart-beta investments. On the flip side, it does not believe that Magellan "can restore its competitive ... |
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