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Showing 2831 - 2840 of 2916 results for "Volatility"

S&P feels UBS needs to review fees

... has been impressive compared to its peers and its solid results have been achieved with consistently low levels of volatility. In regard to running the UBS Global Alpha Strategies (Australia) Fund the investment team feels smaller hedge funds produce ...

Tyndall launches new income fund

... "The Quality Income Fund has a suggested investment time frame of three or more years with expected low to moderate volatility making it an attractive fund for investors such as high net worth retirees." The Quality Income Fund will be available on platforms ...

Morningstar admires IOOF's distinctive approach

... ending 30 April 2005 the fund outperformed the S&P/ASX300 by 1.14, 0.97, and 0.95 per cent respectively with lower volatility than the market and its competitors. The fee charged on the fund is 0.69 per cent, which is also very attractive when stacked ...

Standard & Poor's rates CSAM and Vanguard offerings

... compared with its peers the manager's portfolio performance is views as more than adequate with consistently moderate volatility. CSAM's global alternative funds are suited to investors seeking exposure to a portfolio of hedge funds, potential capital ...

Morningstar selects best large-cap strategies

... basis the extent of outperformance had dropped. Morningstar attributes this development to a reduction in stock returns volatility that has led to a lower active risk profile for most fund managers. In light of these findings the researcher is predicting ...

Morningstar comfortable with Fiducian Oz shares strategy

... benchmark by 0.22, 1.17 and 0.17 per cent over the three five and seven years to March 31, 2005. "We expect Fiducian's volatility-conscious but competitive offering to deliver consistent results over the long term," Morningstar says. The fund runs a ...

S&P gives Principal Global Investors four stars and an upgrade

... plus 3 per cent return over a rolling three-year period, but is more impressed with the fund's 1.5 per cent level of volatility risk that is about half the level of other high-yield products. S&P fund analyst Ken Ostergaard says, "Following the expiry ...

Macquarie makes it easy to invest in agriculture

... the US market reveals that over a 40 year timeframe timberland investments achieved higher returns for their level of volatility than other asset classes including a negative or low correlation with equities, corporate bonds and commercial real estate. ...

IWL primed for good performance throughout 04/05

AAP  |  TUESDAY, 19 APR 2005
IWL Ltd expects its strong performance to continue into the last quarter of the 2004/05, despite recent volatility in the sharemarket. The diversified financial services technology company said its overall performance had remained strong throughout ...

Choice of fund onus lies with consumer

... says education will play a key role in avoiding the trend toward fund switching and an understanding of year on year volatility as investors must increasingly focus on the long term perspectives to investing in superannuation. He predicts the real change ...