Search Results | Showing 1821 - 1830 of 14210 results for "Interest" |
| | | Too many asset managers are disregarding liquidity risks and are unprepared in the event of mass redemptions, a review by the Financial Conduct Authority (FCA) finds. The UK regulator found that many authorised funds dismiss their liquidity management ... |
| | | | Cromwell Property Group (Cromwell) and Australian Unity Property have agreed to bring two unlisted property funds under the one roof, creating a $1.1 billion entity. The deal will result in unitholders in the Cromwell Direct Property Group (CDPF) and ... |
| | | | ... funds release their annual returns. Adding to the property sector's woes are supply chain problems, however higher interest rates are perhaps the biggest detriment. In June, Charter Hall provided an update on its REIT valuation and said: "The valuations ... |
| | | | ... market performance, bolstered by solid corporate profits and a sharp rebound in technology stocks. Despite these gains, interest rate sensitive assets such as bonds, property, and infrastructure struggled, encumbered by rate rises from central banks ... |
| | | | ... lacked independent valuation committees, and exhibited unclear board-approved policies, leading to potential conflicts of interest and delayed adoption of valuation adjustments. Frontier Advisors director of research Paul Newfield said: "Frontier has ... |
| | | | ... geopolitical tensions, and rising inflationary pressures. Delaney cautioned ongoing economic challenges amid a higher interest rate environment. "There are challenges ahead in the higher interest rate environment and there are headwinds to economic growth ... |
| | | | ... get what they want, she said a tight labour market means employers need to oblige to some extent. Meanwhile, the rapid interest rate increases have shifted the likelihood of a recession within Australia, with Mousina saying the risk is currently sitting ... |
| | | | The US investment manager has launched its Capital Group Multi-Sector Income Fund (MSI) to the local market. MSI combines investment-grade corporate bonds, high-yield corporate bonds, emerging market bonds and securitised credit in a single portfolio. ... |
| | | | ... month's inflation dip should prompt a pause, but Conroy remained clear on his view. "This idea that there is a need to push interest rates up higher will simply bring on a recession," he said. "Phil Lowe [just deliberately wants] to give the middle ... |
| | | | ... which investors are now facing cost-additive pressures. "This is a real contrast versus the previous decade, when low interest rates, downward pressure on management fees and improved (though still imperfect!) transparency helped considerably to reduce ... |
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