Search Results | Showing 961 - 970 of 3270 results for "yield" |
| | | Toto, we're still in Kansas! The Australian Bureau of Statistics' (ABS) National Accounts report showed the economy grew by 2.4% in the year to the December quarter - a tad slower than the 2.5% annual growth rate recorded in the same quarter of last ... |
| | | | ... listings across the world, placed high-returning stocks in a quantitative overlay, and finally selected stocks expected to yield high returns in the medium to long term. The fintech will charge 80 basis points in fees. Investors will be notified quarterly ... |
| | | | A global institution is placing $225 million with Aviva Investors to be the asset manager's cornerstone investor for its latest fund launch in Australia. Last month Aviva Investors chief executive Euan Munro revealed the firm, via its new mandate win ... |
| | | | ... Bloomberg's headline just about sums up last night's activity on Wall Street that saw the S&P 500 index drop by 1.3%; the yield on 10-year Treasuries climb by three basis points to 2.89%; and the Bloomberg dollar spot index appreciate by 0.6%. Blame ... |
| | | | ... 2012. Original court filings show CBA, from time to time, traded in the bank bill market with the purpose of affecting the yield and the BBSW to its advantage, and to the disadvantage of parties with an opposite exposure to the BBSW. Further, CBA knew ... |
| | | | Unlisted property funds outperformed most asset classes and delivered returns three times more than Australian equities in 2017. This is according to a joint report compiled by Zenith Investment Partners, MSCI and the Property Funds Association, which ... |
| | | | New research dispelling the positive correlation between interest rates and equity returns warns investors not to base investment strategies on this myth. The research analysed the relationship between the official cash rate, government bond yields ... |
| | | | ... solutions including Short Term Investments, Australia Fixed Income, Global Credit, Asia Fixed Income, Global Fixed Income, High Yield and Emerging Market Debt - Direct Infrastructure - Active investment and management of infrastructure with 49 assets ... |
| | | | Exchange-traded funds (ETFs) are not at fault for the recent global equities sell-off and should not be blamed for the next financial market meltdown. This is the view of 68% of respondents polled in Financial Standard's survey last week, who said ETFs ... |
| | | | ... 2018-to-date performance from negative 2% to a positive 2.2%. This is despite the continued climb in the US 10-year bond yield from 2.86% to 2.87% at the end of last week - a 46 basis point increase from 2.41% at the end of 2017 - pushed higher by the ... |
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