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| | | ... Douglass said the mortgage crisis also highlights the disconnect between paying managers for making ridiculously high returns or for protecting capital. "At the end of the day, the fund management industry needs to, over time, better align their remuneration ... |
| | | | ... against another. Whiteley said the performance table would allow people to switch super funds if they were unhappy with its returns. Retail funds have had a mixed response to ISN's proposal. David Hutchison, MLC head of investment product, said people ... |
| | | | ... opportunities in food production, processing and distribution. Investors should be casting their nets in these areas for long-term returns. "Whatever awareness out there could be greater [about these trends]. We're really at the beginning of this sort ... |
| | | | ... fund, legalsuper, has experienced a 50 per cent increase in salary sacrifice contributions at the end of May, despite returns being the worst for 20 years. Andrew Proebstl, chief executive of the $1 billion super fund claims the high contribution rate ... |
| | | | Industry Super Network (ISN) has called for reporting of superannuation returns to be standardised, in the same way as managed fund returns are currently reported, to provide investors with better transparency over their superannuation savings. Given ... |
| | | | ... provide a diversified exposure to three emerging markets managers implementing complementary styles to achieve value added returns. "While political and other risks in emerging markets exist, we believe that adding emerging markets to a portfolio can ... |
| | | | ... Queensland Business School and author of the report, mum-and-dad investors tend to focus on relative fund performance and "raw" returns while institutions focus on more sophisticated alpha and risk metrics. More importantly, mums-and-dads tend to stick ... |
| | | | ... sector," he said. In a separate Financial Standard article, Atchison noted that both listed and unlisted property had similar returns over the past 20 years. "Evidence of cumulative returns from both listed and direct markets indicates that, even after ... |
| | | | ... Lifeplan claims the industry's active communication strategy may be helping clients rein in their expectations of market returns, while simultaneously enhancing the pros of a diversified portfolio. "Most perceptions across the traits and attributes of ... |
| | | | ... asset classes - but industry players are now putting more money into the sector as investors seek a safe haven from poor returns. According to RARE Infrastructure, institutional investors in particularly have been keen to take up the infrastructure flag. ... |
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