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| | | ... unlisted assets, especially international unlisted infrastructure. The report said super funds are seeking to build portfolio resilience with these investments. Funds are also targeting higher overall foreign exchange exposures than in 2023 while hedging ... |
| | | | ... Partners has acquired half of Balmoral Investors and chosen it to manage its Australian microcap strategy. Balmoral portfolio managers Wik Farwerck and Tim Canham will manage the combined funds of both asset managers, totaling more than $150 million ... |
| | | | Cromwell Property will acquire a 19.9% stake in the industrial portfolio of Straits Real Estate, a wholly owned subsidiary of Straits Trading, for a total consideration of $47.6 million. This marks a step forward in Cromwell's strategy to grow its investment ... |
| | | | The founder of consultancy firm Atchison, Ken Atchison, has passed away. "Ken established the firm in 2001 with a clear vision. To provide institutional-grade investment advice grounded in independent thinking, strategic clarity, and a firm belief in ... |
| | | | ... It lays out specific obligations under market operator rules that govern the admission and quotation of ETPs, such as portfolio disclosure requirements, product naming considerations, and liquidity and market-making arrangements. The guide also states ... |
| | | | ... charging a management fee of 0.52%, is benchmarked against the Bloomberg AusBond Credit 0+ Yr Index and is managed by portfolio manager Anthony Ip and deputy chief investment officer Paul Morris. Commenting, Milford Australia chief investment officer ... |
| | | | ... Ascalon's position in the domestic wealth management market by leveraging Evergreen's independent research, disciplined portfolio construction and high-touch client models, Ascalon said. The acquisition will also ensure continuity and enhanced capability ... |
| | | | ... value of QIC's conviction in the platform since 2016. "From two seed assets and a single customer to Australia's largest portfolio of operating wind assets, the partnership between QIC, Future Fund and AGL established a market leading platform under ... |
| | | | ... its investment strategy, "we closely monitor and assess geopolitical events, risks, and their potential impacts on our portfolio." "To protect member returns, a couple of months ago we exited holdings in several banks listed on the Tel Aviv Stock Exchange ... |
| | | | ... senior investment manager at Rest and had a stint at Wallarra Asset Management. Between 2003 and 2011, Riggall worked in portfolio management roles at AMP Capital. Clime hired Leo Economides in August to replace Riggall. Economides previously worked ... |
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