Search Results | Showing 1401 - 1410 of 3270 results for "yield" |
| | | ... returns in a low growth world. "The average global cash rate has fallen from 4.5% in 2007 to 0.5% today and the 10 year bond yield from 4.5% to 1.5%," said Perpetual's head of investment strategy, multi assets, Matt Sherwood. "In this environment investors ... |
| | | | ... Australian equity market, traditionally one of the highest dividend payers in the world, has benefited from a global search for yield, as central banks elsewhere lowered rates and undertook major quantitative easing (QE) programs. "The REITS sector ... |
| | | | ... trading platform Vega-Chi in March 2014, which is available to approved market participants who trade US and European high yield bonds, as well as European convertible bonds. "By combining this platform with Liquidnet's institutional network and our ... |
| | | | The big banks and BHP Billiton have dragged the share market lower. Investors are being cautious around high yield stocks including the big four banks, Telstra and supermarket owners Wesfarmers and Woolworths, Bell Direct equities analyst Julia Lee ... |
| | | | "If you repeat a lie often enough, people will believe it, and you will even come to believe it yourself." -Paul Joseph Goebbels It may not be as sinister as what Adolf Hitler's propaganda minister intended it to be but the Bank of Japan (BOJ) continues ... |
| | | | The Australian market looks set for a fairly flat open to the week after a weak lead from Wall Street on Friday. The June share price index futures contract was up two points at 5,749. On Friday, the S&P 500 in the US edged higher to a new record in ... |
| | | | ... unconstrained capabilities." Head of investment and head of Australian operations Anthony Kirkham said that the current low yield environment in bond markets is driving demand for unconstrained strategies. "This is a very tricky environment and duration ... |
| | | | Global institutional investors are unperturbed by the threat of a market correction and continue to pile into equities. That's according to new investor behaviour research by State Street Global Advisors (SSGA), which conducted the research in January ... |
| | | | Investors with a long term focus could benefit from a strategy that targets low volatility at a moment when it is expected to raise, HSBC global asset management's head of global equities Angus Parker said. HSBC's Global Low Vol strategy sits within ... |
| | | | ... corporate bond market. The GFC has caused people, globally and in Australia, to think a lot more about capital security, yield, proper asset class diversification, and outcome focused investing, and this has led them towards fixed income investments. ... |
|