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| | | ... double-digit returns, including the Growth Fund which delivered 11.5% p.a. and the High Growth Fund which returned 12.8% p.a. The top returning option was International Shares, which turned in 16% p.a. The lowest return was in the Defensive option which ... |
| | | | ... to alternative asset classes, in particular private credit, half of which is real estate debt. "Capital preservation is a top priority for Rivkin investors and one of the key factors that resonates with them is knowing their investment is backed by property-especially ... |
| | | | ... underscoring the benefits of strong diversification and active management," Sicilia said. Across all its investment options, the top performers were International Shares (17.58%) and International Shares - Indexed (16.66%), while the bottom performers ... |
| | | | ... the proposed global minimum tax of 15% in another jurisdiction. The IIR requires a parent entity of multinationals to pay a top-up tax if such subsidiaries are taxed below the 15% minimum in their respective jurisdictions. Cheung pointed out that the ... |
| | | | ... Loftus Peak's Global Disruption Active ETF turned in 20.9% p.a. Over the period, however, emerging markets equities was the top-performing asset class, with a 14.7% p.a. median return. Large-cap equities international made 14.5% p.a. and domestic large-cap ... |
| | | | ... Woodside, BHP, CSL, Macquarie and Westpac. Their most sold stocks were Commonwealth Bank, Telstra, Woolworths and Fortescue. The top stock holdings of advised investors are Commonwealth Bank, Wesfarmers, BHP, Westpac and National Australia Bank. AUSIEX ... |
| | | | ... market ended the financial year on a record high, reaching $280 billion in total assets under management (AUM), steered by top performing ETFs across the defence and gold mining sectors. There were 36 new exchange trade products (ETPs) on the ASX and ... |
| | | | ... distribution team drove more than $20 billion of net new flows while the investment team added $500 million of excess return on top of a very strong market return. "While I'm pleased with this result in 2024, we know that this business requires us ... |
| | | | ... Additionally, 84% believe the pace of progress of sustainability is either going to continue or accelerate between now and 2030. The top three sustainability and ESG objectives over the next two years included increasing allocations to energy transition ... |
| | | | ... private equity Mark Hargraves said last August that the fund remains strongly committed to private equity, as it's been the top-performing asset class over five and 10 years for the fund, delivering returns of 10% p.a. and 12% p.a. respectively. ... |
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