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| | | CBRE Investment Management has welcomed Melbourne-based Sandy Padilla to the role of APAC head of research. Padilla recently served as senior director within the APAC research team, with a focus on Pacific markets. She joined CBRE Investment Management ... |
| | | | ... positioned than most countries to manage the ongoing economic headwinds. "Australia also has abundant natural resources in short supply globally and with borders reopened we expect the return of immigration to offset labour inflation," he explained. ... |
| | | | The Administrative Appeals Tribunal (AAT) has supported ASIC's decision to cancel the AFSL of Olive Financial Markets Pty Ltd (Olive). Between 2013 and 2018, Olive operated both a managed discretionary account (MDA) service and a superannuation rollover ... |
| | | | ... higher depending on the candidate's revenue generation, or if there might be an opportunity for equity in the business or short term/long term incentive schemes," he said. "Businesses are competing for talent at the moment to try and keep their advisers ... |
| | | | ... Prime Super and the fund is in a strong position to continue delivering strong returns for our members over the medium and short terms." |
| | | | Investment options continue to flood the market meaning there is no shortage of places to stash your cash, but one super fund says the modern-day investor has lost sight of their superannuation. While more Aussies are engaged with investing, they are ... |
| | | | ... change its name to the Select International Alpha Fund. GAM investment director Mark Hawtin will manage the fund using a long short approach to seek long-term growth opportunities across sectors whose business models are driven by new, disruptive technologies. ... |
| | | | ... competitors to our clients," he stated. Regarding GQG's share price, Abernethy also noted that it's been a very short time since the listing and that there's been a very negative sentiment in 2022 over the market, particularly towards listed ... |
| | | | ... diversification." However, Aviva warned if investors' hearts are set on bonds rallying every time equities wobble, smoothing even short-term volatility, then the 60/40 model is broken. "That past experience depended on central banks rushing to cut rates ... |
| | | | ... funds are exposed to a very high-risk strategy that generates absolute returns by trading in listed equities and by using short selling, leverage and derivatives, ASIC explained. The managed fund invested in property development projects is subject to ... |
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