Search Results | Showing 661 - 670 of 3619 results for "Interest Rates" |
| | | ... management and hope to reduce supply chain vulnerabilities and related risks over the next 12 to 18 months. However, low interest rates and a rebound in the financial markets are bright spots for many finance chiefs. "Almost a third expect funding to ... |
| | | | ... the credit ratings. I have no concerns at all about the state governments being able to borrow more money at low interest rates." "The Reserve Bank is making sure that's the case. The priority for us is to create jobs, and the state governments have ... |
| | | | ... environment. "We are going through an unprecedented period of government and central bank intervention with extremely low interest rates and high levels of liquidity," he said. "Under normal conditions investors would seek out the best investment opportunities. ... |
| | | | ... employment would save rather than spend the dollars governments' are handing out, much less borrow even on zero interest rates. So too would businesses. While those in the travel, tourism, leisure and hospitality sectors are hardest hit, theseindustries ... |
| | | | ... reflective of the current operating environment, characterised by volatile markets, subdued credit demand, low interest rates, cost pressures and deteriorating asset quality," he said. "In navigating these near-term challenges, we have not lost sight ... |
| | | | ... relative to term deposits," he said. "Advisers are now aware that AAA is offering a better alternative and when the interest rates are as low as they are at the moment, every basis point counts." While Vynokur said he does not have the visibility to ... |
| | | | ... unable to sustain the dividend policy noting changes in the market environment. The market factors include lower interest rates, subdued rates of economic and earnings growth, lower dividend yields, lower capital growth in the mid-cap sector and ongoing ... |
| | | | ... term will dampen inflation, there are fears of an inflationary scenario in which central banks are unable to hike interest rates due to the unprecedented amount of outstanding debt in the economy," it said. "Risk managers are seeking robust portfolios ... |
| | | | ... critical factor for investment success. "Within the EMD universe, investible risk factors include currencies, local interest rates, and sovereign and corporate spreads," Godfrey said. "While we are medium-to-long-term investors, the situation in global ... |
| | | | ... was able to make some gains due to the divestment of its wealth businesses which offset some losses due to lower interest rates and COVID-19. "We have now substantially divested our wealth management businesses in line with our simpler, better bank strategy," ... |
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