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| | | ... their capital can influence lending decisions. Being private also means family offices are not swayed by public markets and short-term thinking," Gottlieb said. "Because it's a family investment, often these investors take a long-term view and see ... |
| | | | ... cycle remains intact, albeit uncomfortably slowing." In Australia, the macro backdrop remains stable and supportive in the short term, the Schroders outlook found. Inflation is moderating towards the Reserve Bank of Australia's (RBA) target, and growth ... |
| | | | ... including from the Department of Finance, RSA Archer, and most recently, the Risk Management Institute of Australia. In the short term, he has some consulting work lined up focused on developing a reasonable steps framework under the FAR regime, which ... |
| | | | ... and quickly became a key communicator for adviser presentations. After five years, he left the asset manager, and did a short stint in Singapore, helping to build Standard Chartered's equities broking business. But, Isles returned to work with Kerr ... |
| | | | ... Product overlap is marginal. L1 has a much more diversified client base and manages a select few niche strategies-such as long/short and catalyst-driven funds-that are less replicable by passive options," Ler said. "Investment performance for its suite ... |
| | | | ... the remaining 32% coming from smart beta and active ETFs. "In Australian fixed income, investors have continued to favour short duration strategies with high credit quality. Another trend has been the significant uptick of net flows into gold for 1H25 ... |
| | | | ... representations that Shield had a higher performing track record against other super funds when it had only been in existence for a short period. ASIC said it has reason to believe that Bradley is not a fit and proper person, is not adequately trained ... |
| | | | ... Partners' assets jumped $4 billion to reach a record high of US$172.4 billion for the 2025 financial year despite experiencing "short-term relative underperformance". "We have continued to position our portfolios defensively, and as a result, we ... |
| | | | ... come," he said. "In response to the evolving economic outlook, we moderately reduced our exposure to equities to manage short-term fluctuations. We remained confident in our long-term strategy, drawn from our global research capabilities, and did not ... |
| | | | ... members. "Following Liberation Day, we were looking at returns of 1.20% for the financial year-to-date," Gavin said. "Despite short-term risks, we remain optimistic about the US as a long-term investment destination. "Investing in the US is more challenging ... |
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