Search Results | Showing 651 - 660 of 2607 results for "Bonds" |
| | | ... billion is in ESG, thematic and impact solutions. "These solutions include US$32 billon AUM in products - ranging from green bonds, to ETFs and mutual funds, to infrastructure funds - that provide clients with innovative options to participate in and ... |
| | | | ... been strong as it is seen by investors as a reliable income option. "Infrastructure in a portfolio sits between government bonds and equities in terms of risk and return, making it an excellent portfolio diversifier and source of consistent income," ... |
| | | | ... results, the report said, as less than one in four (23%) invest in global equities, and only one in 10 hold international bonds. Baby boomers are more likely to invest in cash or Australian equities, while younger investors tend to be more diversified. ... |
| | | | ... ending 31 December 2019. Of the total mandates appointed, 44% were for alternatives strategies, 30% was for equities, 14% for bonds/cash mandates and 12% for property mandates. "The medium run trend is for a slightly increasing proportion of mandates ... |
| | | | ... ETF that aims to track the performance of an index that provides exposure to a portfolio of high-quality, income-producing bonds issued primarily by Australian federal and state governments. |
| | | | ... not necessarily having a substantial positive impact on the environment. "In Australia, the big banks have issued green bonds. We've invested in some of them and not in others. I'm not knocking them as an asset class but I'm saying if people ... |
| | | | ... Schroders' global head of stewardship believes ESG-focused investors should exercise caution before investing in US corporate bonds. Schroders global head of stewardship Jessica Ground told a media briefing in Sydney recently that some US corporate ... |
| | | | ... AGVT) aims to track the performance of an index that provides exposure to a portfolio of high-quality, income-producing bonds issued primarily by Australian federal and state governments. The ETF also tracks a component issued by supranationals, sovereign ... |
| | | | ... and the investments are managed through Ardea, Coolabah and Kapstream. The fund took a decision to hold longer duration bonds, moving away from cash plus and inflation plus products, Block said in a May interview with Financial Standard. "We wanted to ... |
| | | | A boutique fixed income manager is trying to placate investors over its bets on potentially risky corporate bonds issued by companies owned by a European financier. H20 Asset Management invested in unrated bonds issued by companies related to billionaire ... |
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