Search Results | Showing 151 - 160 of 3267 results for "yield" |
| | | ... over $16 million in funds under management. This time last year it had double that. As at November 2024, it had a running yield of 8.4% versus its target yield of 6.33%. "Following a strategic review undertaken by DXAM and after careful consideration ... |
| | | | AMP deputy chief economist Diana Mousina has listed the top five things the AMP econosights team is hoping to see in 2025. Firstly, Mousina said that while higher trade tariffs are unavoidable given the incoming US President, she hopes the US will stop ... |
| | | | ... momentum will require "supportive monetary policy conditions." However, US bond yields have proved sticky. The US 10-year yield is above the level prevailing at the start of the year, fuelled by a gargantuan budget deficit - close to 7% of GDP - when ... |
| | | | ... after it announced its acquisition of PineBridge Investments. MetLife Investment Management will take on Mesirow's high yield and bank loan strategic fixed income, and small-cap equity teams - which manage about $6 billion of assets - as well as certain ... |
| | | | ... Regal Partners Private Fund, the Regal Tactical Opportunities, and Attunga Power & Enviro Fund. The PM Capital Enhanced Yield strategies and Regal Australian Small Companies Fund were also standout performers. Regal grew its funds under management (FUM) ... |
| | | | ... consolidate IDA's platform to deliver attractive risk-adjusted returns for its client base across private credit, high yield and land syndication, and community creation investment strategies. IDA will also capitalise on growing demand due to undersupply ... |
| | | | Nuveen has closed its first commingled Australian commercial real estate debt strategy with investments of over $400 million from the Teachers Insurance and Annuity Association of America (TIAA) and Temasek. The strategy, leveraging Nuveen Real Estate's ... |
| | | | ... policies. "Share valuations are less attractive, with the key US share market trading on a 26 times forward PE and the earnings yield bond yield gap is negative," Oliver said. "Australia is not bad at 20 times, but it's not cheap." Oliver added that ... |
| | | | Equity Trustees Asset Management's head of asset management Darren Thompson has warned that ASX200 FY25 market earnings and dividends are expected to be flat or down compared to FY24. He added that high yielding, major resource companies - such as BHP ... |
| | | | ... of institutional business Charles Levinge said this mandate reflects the continued interest in strategies offering high yield-like return with lower volatility, giving investors an attractive risk-adjusted option within public fixed income. "The strategy ... |
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