Search Results | Showing 1211 - 1220 of 2002 results for "Australian equities" |
| | | ... share price index futures contract lost 17 points at 4,197, with 19,367 contracts traded. MF Global head of Australian equities Sam Willis said investors were nervous and unsure which way the market would turn ahead Dr Bernanke's speech at a meeting ... |
| | | | ... in financial advice and distribution. Of the $76 billion in funds under management and advice, 45% was in Australian equities, 39% in fixed interest, 9% in international equities and 6% in property. IOOF manages $19.4 billion in retail superannuation ... |
| | | | ... expects 2011 to be a "transformational year" for the group. When looking at its FUM by assets class, McGill said Australian equities were decreasing in their significance to the company over time while alternatives were increasing, on the back of RARE ... |
| | | | ... the radar for financial advisers for the first time. Darren Katz, head of distribution at Clime, said the Australian equities fund had returned 12.90% on an annualised basis over the past three years, compared with the All Ordinaries Accumulation Index ... |
| | | | Industry Funds Management's active Australian equities strategy has received a $100 million mandate from superannuation fund HOSTPLUS. The fund allocation builds on an existing $30 million mandate from two years ago. Industry Funds Management (IFM) ... |
| | | | ... return-on-equity. Over a five-year term, managers performed better, improving on the index by 2.1%, with the median Australian equities fund returning 3.0% compared with 1.9% for the S&P/ASX 300 Index. In the long-only category, concentrated Australian ... |
| | | | ... this quarter, will see nabInvest take on core, concentrated, long/short, sustainable and smaller companies Australian equities strategies, while Aviva Investors shifts its focus to Asia. "Domestic investors heavily favour Australian equities and it's ... |
| | | | ... expectations of future market retreats in the US and Europe. But Keenan said Lonsec has a positive view for Australian equities in the medium to long term as Australia had high interest rates which it could cut and fiscal policy room to create stimulus ... |
| | | | ... as of June 2010 to $939 million at the end of June this year, the update said. The Future Fund reduced its Australian equities exposure in percentage terms (excluding Telstra) from 11.8% at June 30, 2011 to 11.2% last June - however the holding increased ... |
| | | | UniSuper announced its selection of Bloomberg as partner in its internal management of its Australian equities portfolio with more super funds following suit. In June last year, UniSuper moved its equities management in-house and away from fund managers ... |
|