Search Results | Showing 111 - 120 of 365 results for "Investment Grade" |
| | | ... investors yield north of 2%. The VanEck Vectors Australian Subordinated Debt ETF (ASX: SUBD) will hold a portfolio of investment grade subordinated debt issued in AUD by Australia's largest financials. Australia's subordinated debt market currently stands ... |
| | | | ... market environments". The fund will opportunistically invest in a "wide range" of fixed income assets, such as investment grade, high yield, and emerging market debt. The aim is to maximise total return from high current income and long-term capital ... |
| | | | ... investment into our fund," MacPherson said. Colchester said the local emerging market debt index was primarily investment grade quality with over 80% of countries rated BBB- or above. Adding that the emerging markets it has invested in have prudent government ... |
| | | | ... investors mitigate the investment risks of climate change, which he noted had not historically been incorporate into investment grade government debt. "These issues have a direct and long-term impact on government finances, with projected expenditure ... |
| | | | ... yield-generating investments across asset classes, such as high dividend-paying domestic and international equities, investment grade and high-yield debt securities. After talking to several financial advisers and brokers, head of SPDR ETFs for Australia ... |
| | | | ... Metrics Credit Partners' new trust, the MCP Wholesale Income Opportunities Trust (ASX: MOT) will invest in sub-investment grade debt, starting with 30 positions. The target total return is between eight and 10%. It will invest in four wholesale funds ... |
| | | | ... launched to Australian wholesale investors. The Loomis Sayles World Multi-Asset Credit Fund invests in global investment grade and high yield credit, bank and securitised loans, and emerging markets sectors. It replicates the $US2.9 billion strategy ... |
| | | | ... Bateman said. On the fixed income side, Fidelity is focusing on gaining exposure to high quality, shorter-dated investment grade issues. "Missing out on upside is an obvious concern, but perhaps less obvious are the risks in investment grade fixed income. ... |
| | | | ... has about $600 million in funds under management and is now in its 20th year. The strategy invests in corporate investment grade bonds, semi-government and government bonds, supranational bonds and mortgage and asset backed securities, currently with ... |
| | | | ... yielding assets, and a reduced exposure to lower yielding, more defensive assets. It will invest predominantly in investment grade securities and will offer daily liquidity. "We expect domestic interest rates to remain little changed over the next year ... |
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