Search Results | Showing 131 - 140 of 940 results for "International equities" |
| | | ... in the International Select strategy ($1.2 billion) as clients reduced their exposure to growth-oriented international equities. |
| | | | ... arrangements were modest in terms of Australian equity exposure, between managed funds and ETFs almost 75% of international equities exposure was via pooled structures. |
| | | | ... Atrium AEF 7 International Listed Property Bennelong Funds Management - Quay Global Real Estate Fund ESG - International Equities BetaShares Capital - BetaShares Global Sustainability Leaders ETF International Equities - Active Core BNP Paribas Asset ... |
| | | | ... rounding convention on the stock exchange." Meanwhile, the funds under management of hybrid products in international equities strategies rose from zero in the middle of 2020 to $15.7 billion at the end of March 2022 and now represent 23% of all international ... |
| | | | ... semi-standard deviation, and sum of negative returns. The asset classes included are Australian equities, international equities, property, infrastructure, fixed interest, multi-asset, and ESG. The awards also recognise excellence across subsectors of ... |
| | | | ... Securities as an institutional dealer. Back in the late 1990s, he did a two-year stint with Macquarie running international equities and an eight-year as a global derivatives trader and portfolio manager at National Mutual Funds Management. "Atrium's ... |
| | | | ... financial years and examining seven asset classes (cash and term deposits, listed Australian equities, listed international equities, listed trusts, unlisted trusts, Limited Recourse Borrowing Arrangements (LRBAs) and other assets) the research revealed ... |
| | | | ... benchmark, the S&P ASX 200 Accumulation Index, returned 9.8% p.a. On a median basis, Rainmaker found that international equities (24.4% p.a.), property (19.7% p.a.), and diversified growth (12.8% p.a.) were the sectors that delivered the best results. ... |
| | | | ... benchmark returns for Australian equities in January 2022 were about -6% and -2% for currency unhedged international equities. While the impact of this was felt, it pales in comparison to the -27% for Australian equities and -13% in international equities ... |
| | | | ... 2021, this had fallen to about $31 billion. Of the initial $61 billion managed by Vanguard, 29% was in international equities. Australian equities accounted for 14%, Australian fixed income sat at 24% and a further 24% was categorised as 'other'. International ... |
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