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| | | ... strongly after it." Amundi said there was still value in EM external debt, in particular, in Indonesian and Bahrain high yield debt. Within local debt, the asset manager sees value in Russian assets across both FX and rates, it said. The manager had ... |
| | | | ... valuations. "Companies in the upstream of the energy supply chain will face the greatest pressure," he said. "The US high yield market and issuers from the energy sector will quickly experience dislocation - credit spreads have already widened considerably. ... |
| | | | ... "Another reason is because real interest rates were going negative globally, across the developed world, so even though the yield on gold is zero it is still higher than a negative yield." Walesby said that despite interest in gold arising before COVID-19 ... |
| | | | ... and is committing to a distribution of 1.81 cents per unit in the fund for rest of 2020 which equates to 5.7% distribution yield based on March end unit price, which it says reflects its best estimate of short-term income impacts. The fund has about ... |
| | | | ... ready for a lean period of income." Hamson said while Plato hasn't calculated exactly how much lower the fund's yield could be, he hopes that it will not fall by the 30% he expects of the broader market, owing to active positions. "I think some ... |
| | | | ... growth can be revealed. If there were no NOI growth, an asset value reduction of 10% would imply a 60 basis point create in yield, based on the record low 5% yields registered in December 2019. "If, at the same time, NOI were to fall by 6% (as happened ... |
| | | | ... include risk and compliance, efficiency and technology adoption, aspirations, differentiation to meet client needs, and yield. The process only takes 20 minutes, with advisers prompted to answer questions on their business online. De Gori said the new ... |
| | | | ... comprehensive accommodation package the month before, which included: A reduction in the cash rate target to 0.25%. A target for the yield on three-year Australian Government bonds of around 0.25%. A term funding facility for the banking system, with ... |
| | | | As global markets begin to simmer down, there are three catalysts that can cause a rebound in emerging markets debt, according to Eaton Vance. The investment company said global markets have settled into a more normal, high volatility environment from ... |
| | | | ... companies." On the global scale, investment grade credit is down on average about 5%, hybrids are down 15%, while the high yield market and loans are down 15-20%, Sivapalan said. In comparison, equities have shed 30-35%. In terms of rates, bonds are ... |
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