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|Search Results||Showing 1 - 10 of 100+ results for "fixed interest"|
|... infrastructure but under Sanlam, it will shift its focus to global REITs, global listed and unlisted infrastructure, and fixed interest securities. The new management team will be based out of United Kingdom. The management costs will halve from 1.5% ...|
|... customisation. From July 1, as it closes the balanced option, it will introduce two new options: moderate (45% fixed interest, 5% cash, 5% in property and the rest in local and global equities) and conservative (60% fixed interest, 10% cash, 2% in property ...|
|... external portfolios in equities." Lingaretnam has worked at Macquarie Bank, Aviva, IOOF, Lonsec, across equities, fixed interest and derivatives. VFMC was advised by Kaizen Recruitment on the external hire.|
|... managed option had a 4.8% allocation to real estate with the majority of the portfolio in equities (62.8%) and fixed interest (24.9%). QSuper indicated a higher range of allocation to real estate at between 0% and 30% (AMP Capital's range was 0% to 10%). ...|
|... further behind their savings objective than first thought. "Portfolio managers [are] finding it hard to sell their fixed interest assets to any buyer other than the RBA," Bardsley said. He said the RBA's quantitative easing is not "creating the volumes ...|
|... modelling). His hire comes as HESTA set a goal of internalising Aussie equities by 2021 and to be underway in cash and fixed interest in 2022, announced by the fund in March. Cameron reports to HESTA chief risk and compliance officer Andrew Major. "We ...|
|... investment management business saw outflows of $81 million, with Mota saying despite its MultiSeries, MultiMix fixed interest and cash management trusts seeing net inflows, it was not enough to offset losses in its other investment products. The addition ...|
|... many ETF sectors and asset classes' spreads widened, as price discovery became increasingly more difficult. In fixed interest sectors, such as corporate bonds and high-yield bonds, the market leaders had to take on risk to maintain buy-sell spreads as ...|
|... general manager of risk. He joined TCorp from Schroders, where he was a senior credit analyst and deputy manager of fixed interest. Earlier, he served AMP Capital for around four years as a manager in its capital markets operation, and as deputy manager ...|
|Despite the havoc wrung on emerging markets (EM) by both COVID-19 and now the oil crash, a global fixed interest investment manager still sees value in the higher quality part of the market. Western Asset Management said the double-barreled shocks of ...|
BT head of financial literacy and advocacy Bryan Ashenden has observed a significant increase in calls for technical support from financial advisers during the COVID-19 pandemic.
Hedge funds in April posted their highest one-month returns since May 2009, but still have a long way to go before they can pare back March quarter losses.
At a hearing of the House of Representatives Standing Committee on Economics that was supposed to focus on ME Bank's recent troubles, the super funds performing poorly in terms of early release copped surprise criticism.
Hamish Douglass' Magellan Financial Group has launched a listed active ETF fund in partnership with Airlie Funds Management, with promises of reducing friction and costs for investors.
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