Search Results | Showing 3661 - 3670 of 7326 results for "Returns" |
| | | ... significant growth in products abating and attributes the increase to a number of possible influences, such as "attractive past returns from the sector, waning domestic market performance, and a general push for portfolio diversification." Record low ... |
| | | | ... Sydney. Perpetual chief executive and managing director Geoff Lloyd said, "We wish David well as he leaves the industry and returns to the UK. I thank him for his contribution over the past six months." Kiddie will remain in his role as he serves out ... |
| | | | ... management venture. Our company remains well placed to meet our investment objectives and we look forward to building on recent returns which have seen our investment portfolio generate a return of 18.6% in the first eight months of the calendar year ... |
| | | | ... a real investment portfolio it operated with a capitalisation of $100,000. It was claimed this portfolio was achieving returns of 60% per annum and that results like this could be achieved by enrolling in The Sharemarket College training courses. An ... |
| | | | ... recorded the largest decrease in FUMA of -1.7%. DEXX&R attributes the stagnant growth in FUMA to the impact of low investment returns in the major asset classes and negative returns in some other asset classes. Returns for the twelve months to 30 June ... |
| | | | ... 'Recommended Index' by Lonsec. The rating indicates that Lonsec has strong conviction that the ETF can generate risk adjusted returns in line with relevant objectives. The research house has also maintained its 'Recommended Index' ratings for the VanEck ... |
| | | | ... Australia, Jayson Egan, said: "The underlying retail fundamentals and long indexed lease structure ensure sustainable income returns making it a defensive long term investment. Melbourne's metropolitan population is currently the fastest growing of any ... |
| | | | ... companies. It is a long term, long only, high conviction growth equities manager that looks to achieve above benchmark returns over a three year investment horizon. |
| | | | ... portfolio plus or alpha portfolio is where the fund increases its illiquidity, risk and fees in order to generate excess returns. It allocates to active equity managers and those who have high conviction or may operate in a niche part of the market. ... |
| | | | ... and leader of the research project, Andrew Ainsworth said that funds with higher fees did, on average, deliver higher returns. "Fees are higher for riskier assets and the returns are often greater as well. However, when you take into account the risk-adjusted ... |
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