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| | | ... at the end of June. Conversely, emerging market funds bucked the trend, reporting net flows of $4 million, while fixed income funds raked in $582 million. While this is not a record for fixed interest, Calastone managing director for Australia and New ... |
| | | | ... a single manager. Interestingly, the fund is based on and managed by the same investment team as the Multi-Sector Fixed Income strategy from the US, which was seeded in 2019. "We are pleased to be introducing the Capital Group MSI Fund to Australian ... |
| | | | ... being international and domestic equities. Another 37% is in asset classes that saw positive returns, like Australian fixed income and cash. The 9% average return prediction is supported by those funds that have already publicised their annual result. ... |
| | | | ... spreads trading above historical averages. "With rates normalising and credit spreads at current levels, returns from fixed income and credit look attractive relative to many other asset classes, including listed equity markets," he said. "Our investment ... |
| | | | ... went right. There was active outperformance in equities, and relative outperformance in property, infrastructure, fixed income pretty and every asset class." The majority of the Balanced option, which aims for CPI+3.5% in returns, is invested in Australian ... |
| | | | ... important and future-focused evolution of the Australian business. Joining in 2003, Doyle managed the firm's fixed income, multi-asset, and private debt teams and in 2022 was given the additional chief investment officer job. Head of Schroders Asia ... |
| | | | ... benchmarks, international credit will now be assessed against the Bloomberg AusBond Composite 0+ Yr Index, while Australian fixed income will retain the Bloomberg AusBond Composite 0+ Yr Index. Australian and international listed infrastructure will ... |
| | | | ... capital preservation and low volatility, as well as returns which have a low correlation to equity markets, traditional fixed income investments and other private credit strategies such as broadly syndicated loan focused funds," the fund manager said. ... |
| | | | ... delivered over 40 fee reductions across its product range, including the most recent reduction for its Australian Fixed Income ETF (VAF). In April, it reduced managements costs for the VAF from 0.15% to 0.10% p.a. citing its ongoing commitment to bring ... |
| | | | ... relative decline in most SMSF portfolios. "It is typical to see increased allocation to defensive assets such as fixed income or cash products during uncertain times. With interest rates rising, the data suggests SMSFs are favouring assets that they ... |
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