Search Results | Showing 901 - 910 of 7322 results for "Returns" |
| | | ... Macquarie Asset Management (MAM) has launched two ultra low-cost systematic active ETFs on the ASX that seek to enhance returns over index performance. The ETFs will endeavour to outperform the index by combining data science and human intelligence. ... |
| | | | ... on bringing more assets in-house and leveraging external partnerships to cut costs, manage risks, and increase expected returns. This model has saved CalSTRS more than US$1.6 billion since 2017. "As deputy chief investment officer, Scott has already ... |
| | | | ... said: "The combined strength of a single fund across NSW and Victoria, with a focus on delivering sustainable long-term returns and strong retirement outcomes for members, will serve our members in local government and beyond for decades to come." Together ... |
| | | | ... immediate asset to the Aware Super team," Collins said. "Our members rely on us every day to deliver strong long-term returns, competitive fees, and the most seamless experience of interacting with their super on their terms - including access to appropriate ... |
| | | | ... performance. When it comes to investing with purpose, despite uncertainty around governance and the impact on investment returns, it remains a high priority, with 50% of Australian firms planning to significantly expand their ESG offerings over the next ... |
| | | | ... a mix of defensive assets like cash and bonds, with some exposure to equities for growth. It is targeting conservative returns over a minimum three-year timeframe. The holdings include a range of iShares, VanEck and Vanguard ETFs, and investors pay $2 ... |
| | | | ... of easing monetary policy in 2024. In second place, international equities (hedged) posted a 21.7% return. The hedged returns were slightly lower due to the Federal Reserve raising rates higher than the Reserve Bank of Australia in 2023. Global small ... |
| | | | ... globally. "Generally, Tier 2 floating rate subordinated bonds offer attractive income potential, typically delivering returns above that of senior bank floating rate notes, along with a high degree of capital stability. At the same time, the income paid ... |
| | | | ... for our shareholders compared to other options available, delivering certainty, an attractive valuation and nearer-term returns to shareholders. "KKR offered both compelling value for shareholders as well as the highest degree of certainty in relation ... |
| | | | ... underlying investments and the risk and return profile of the investment option." The Conservative option aims for net returns of CPI+0.5% per annum over three-year rolling periods. Its asset allocation is split across mainly in international bonds hedged ... |
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