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Showing 111 - 120 of 174 results for "Income Portfolio"

GSAM global bond fund receives Zenith rating

MARK SMITH  |  FRIDAY, 7 MAR 2014
... securities. It has the flexibility to invest across all fixed income sectors globally. "Owning a standard kind of fixed income portfolio exposure is an exposure we think right now has a very high probability of generating negative returns in a portfolio. ...

Van Eyk expands research team

STAFF WRITER  |  TUESDAY, 18 FEB 2014
... Fixed Income.A Prior to that, he spent 11 years at BT Financial Group as an executive vice president and fixed income portfolio manager. van Eyk chief executive Mark Thomas said the strengthened manager research team would ensure financial advisers continued ...

GSAM launches flexible global bond fund in Australia

MARK SMITH  |  FRIDAY, 8 NOV 2013
... accommodative policies," GSAM head of fixed income for Asia-Pacific Philip Moffitt said. "Owning a standard kind of fixed income portfolio exposure is an exposure we think right now has a very high probability of generating negative returns in a portfolio. ...

Russell appoints global CIO

LAURA MILLAN  |  TUESDAY, 6 AUG 2013
... Schoenheimer will then transit to a non-executive advisory role. Gerard Fitzpatrick, currently a senior fixed income portfolio manager, will succeed Hussey as chief investment officer of global fixed income. The company confirmed that the changes will ...

Credit Suisse launches SIV portfolios

MARK SMITH  |  FRIDAY, 7 JUN 2013
... requirements stipulated by the Australian Government's Department of Immigration and Citizenship (DIAC). The SIV Fixed Income Portfolio is made up of 100% Australian government bonds and liquidity, while the SIV Income Oriented Portfolio combines 75% ...

London firm Stratton enters Australian market

LAURA MILLAN  |  MONDAY, 13 MAY 2013
... expect global bond markets to price securities efficiently, but that is not the case," Stratton Street fixed income portfolio manager Andrew Seaman said. "We find there are bonds that have substantially higher yields but the same or lower risk profile ...

Infrastructure offers income low correlation to other assets

MARK SMITH  |  FRIDAY, 10 MAY 2013
Investments in infrastructure assets give diversification benefits to income portfolios with less volatility and lower correlation to the equity market, according to Omega Global Investors managing director George Vassos. Vassos explained that a institutional ...

AMP expands Chicago credit research team

ALICE URIBE  |  FRIDAY, 5 APR 2013
AMP Capital has added a portfolio manager to its Chicago credit research team, reinforcing the importance of its US presence in managing global fixed income portfolios. Afrim Ponik joined the fixed income team (credits market research) and sits in a ...

Bond investors beware interest rate risk

MARK SMITH  |  FRIDAY, 1 MAR 2013
Institutional investors who focus their investment strategies too heavily on the 'great rotation' out of bonds and into equities are likely to be caught out by the inherent risks that still pervade the market, according to a new report from the BlackRock ...

UBS Global AM secures major FI mandates

MARK STORY  |  FRIDAY, 21 DEC 2012
UBS Global AM has successfully been awarded two significant fixed income mandates in Australia, collectively worth close to A$2.8 billion. A leading Swiss-based global multi-line insurance provider has formally appointed Global AM as a fixed income ...