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| | ... another classic case of "she'll be right, mate", Australian investors are far less concerned about the current market volatility than our global counterparts, according to new research by State Street Global Advisors. The ETF Impact Investment Survey ... |
| | | ... a way that strengthens the credit features." Further, QIC head of multi-sector private debt Phil Miall said market volatility has created opportunities for sourcing high-quality debt assets with yields of nine-10%. "History suggests when market volatility ... |
| | | Global X will soon roll out the local market's first fully systematic, index tracking covered call products. To be launched on the ASX, the three new strategies are intended to provide investors with income at a time when both equity and bond markets ... |
| | | ... "Investor sentiment has been very subdued in the wake of three successive previous quarters of negative markets and high volatility." The company said total funds under administration (FUA) were $42.7 billion, up 6% from $40.5 billion in June. Its platform ... |
| | | ... $0.01 billion. Australian Ethical said managed flows had been suppressed by cautious market sentiment related to market volatility. The investment manager's funds under management (FUM) was $8.37 billion at 31 December 2022; FUM was $6.18 billion the ... |
| | | ... Australia, according to managing director Laird Abernethy. In an interview with Financial Standard, Abernethy said that despite market turbulence, GQG has performed exceptionally, with only a fractional drop in funds under management (FUM). The asset ... |
| | | ... executives are revising business models due to geopolitical conflicts, with 46% adjusting supply chains, 46% re-evaluating market presence or expanding into new markets, and 41% diversifying their product/service offering in response to potential disruptions. ... |
| | | ... fund discussions and decisions, including macro-economic forces directly impacting the industry. KPMG listed market volatility, higher inflation and interest rates as the top issue for super funds. Superannuation advisory partners Melinda Howes, Lisa ... |
| | | ... fund's total YTD return was -26.57% against the benchmark - the S&P/ASX300 Industrials Accumulation Ex Top 5 Stocks by Market Cap Gross Index's - return of -13.99%. Since December 2015, it's seen a total return of 31.91% versus the benchmark's 55.54% ... |
| | | ... sustainable bonds, and even M&A, activity within certain pockets of APAC," she said. "That has been a good indication that the market is still very resilient and growing quite well amidst global volatility," she said. Tan noted that at a global level ... |
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