Search Results | Showing 2761 - 2770 of 5520 results for "Class" |
| | | Despite a suspect reputation, hybrid securities have actually delivered a better risk-adjusted return than the equity market over all time periods, according to Real Asset Management portfolio manager Michael Frearson. Speaking to Financial Standard ... |
| | | | ... fund's best annual performances, the goal was squarely focused on achieving long-term returns. "The fund is generating world class returns and creating significant wealth for New Zealanders on a sustained basis. It should not, however, be measured on ... |
| | | | ASIC is ramping up its financial literacy initiatives that plans to incorporate life insurance in curriculums across primary and secondary schools. Already the regulator is undertaking an extensive program with state and territory governments to train ... |
| | | | ... differentiate themselves in the wake of commoditisation and platform consolidation. "Asset managers with reliable multi-asset-class capabilities can provide their investment models through several channels. As asset managers rethink their approach to ... |
| | | | ... option from age 16 onwards. He even suggested that, in time, this kind of industry behaviour might lead to a member-enacted class action given the potential for missed investment opportunities. The TTS solution to this problem involves taking the focus ... |
| | | | ... bias." Secondly, she noted that in order to avoid double-counting multiple share classes, the scorecard only uses the share class with the greater assets. "This means they're choosing the vehicle with the most assets, rather than the highest return," ... |
| | | | State Street has launched a machine learning solution to help investment professionals wade through the plethora of research reports they receive on a daily basis. Through the combination of machine learning and human expertise, the new Quantextual ... |
| | | | ... office investment portfolio. Accounting for 16.2% of all family office investments, real estate was the third-largest asset class in 2017. However there are significant differences in levels of investment to this asset class between regions, as allocations ... |
| | | | ... alternative beta strategies by following trends in managed futures. It's split across two sets of unit classes: the first, Class A, has a 10% volatility target and a 0.6% per annum management fee, while Class B has a 15% volatility target and a 1.125% ... |
| | | | ... reveals SMSF funds with more members tend to shun riskier equity markets and invest more heavily in cash, a lower risk asset class and one that more investors are familiar with. The report also suggests men are bigger risk takers than women with male ... |
|