Sentences with phrase «asset portfolio source»

ZenCash Update: Digital Currency Group Added ZenCash To Its Digital Asset Portfolio Source: ZenCash

Not exact matches

MetaStable's portfolio more than doubled in value in May alone, according to a source close to the fund; on June 23, after a Bitcoin and Ethereum price crash, the hedge fund reported total assets of $ 69 million in a regulatory filing.
Singapore is firming as a significant source of capital for Perth - based property players, as developers and private equity fund managers from the South - East Asian country increasingly look for Western Australian assets to add to their investment portfolios.
Description: Global Energy Metals (TSX - V: GEMC, OTCQB: GBLEF, FSE: 5GE1) is focused on offering security of supply of cobalt, a critical material to the growing rechargeable battery market, by building a diversified global portfolio of cobalt assets including project stakes, projects, and other supply sources.
While the proper allocation to inflation - resistant assets is highly dependent on each investor's unique circumstances and investment strategy, the table above illustrates a 10 % strategic allocation, sourced equally (5 %) from both the stock and bond portions of the existing portfolios.
The Arbor Asset Allocation Model Portfolio Blog provides traders with an extensive source of educational materials related to portfolio maPortfolio Blog provides traders with an extensive source of educational materials related to portfolio maportfolio management.
Given that many U.S. investors are underweight EMs in their equity portfolios, a renewed interest in this part of the world could be a potential tailwind for the EM asset class (source: Bloomberg, as of 1/22/15).
Core requirements for prospective investors include solid experience leading a profitable business, presentation of a qualifying asset portfolio, mandatory passive investment in a guaranteed government program for a set time period, and proof of a legal source of capital.
Correlation risk: «The concept of diversification is the foundation of modern portfolio theory... The financial engineer... reduces the risk of a portfolio by combining anti-correlated assets... All modern portfolio theory does is transfer price risk into hidden short correlation risk... Many popular institutional investment strategies derive excess returns via implicit leveraged short correlation trades with hidden fragility... Correlation risk can be isolated and actively traded via options as source of excess returns.
As a leading integrated producer and marketer of commodities with a well - balanced portfolio of diverse industrial assets, Glencore Xstrata are strongly positioned to capture value at every stage of the supply chain, from sourcing materials deep underground to delivering products to an international customer base.
Given that many U.S. investors are underweight EMs in their equity portfolios, a renewed interest in this part of the world could be a potential tailwind for the EM asset class (source: Bloomberg, as of 1/22/15).
Beyond a quarter of portfolio assets, the currency exposure constitutes a source of unwanted risk.»
Here are a few names you can expect to hear from if you are consistently late in paying your bills: Rocket Receivables, Encore Capital Group, Altus GTS Inc., Client Services, afni, First Source Advantage, Expert Global Solutions, Progressive Financial Services, Nationwide Credit & Collection, Regional Finance, IC System, National Asset Recovery Service, Enhanced Recovery Company, Alliance One, Portfolio Recovery Service, and ABC Financial Services.
Karen is a multi-sector portfolio manager who works on the day - to - day management for over $ 180 billion of assets (Source: BlackRock, as of 1/31/2018).
IB Asset Management's management of this portfolio and some of the information on this page relies on data from third - party sources, including FTSE and Russell.
IB Asset Management's management of these portfolios and some of the information on this page relies on data from third - party sources, including FTSE and Russell.
Traditionally, the key assets in a retirement portfolio have been stocks and fixed - income sources (bonds and GICs).
A candid conversation between owners and agents should also help: Agents may need to justify to asset owners why value is de-emphasized in their portfolios, and owners have a responsibility to extend agents» measurement horizon to be consistent with what's required to harvest multiple sources of return premiums.
Using the CRSP Survivorship - Bias - Free U.S. Mutual Fund Database as the source for monthly return and quarterly fund characteristic data, the authors create equity mutual fund portfolios weighted by total net assets.
Talk to your financial advisor to ensure you have the right portfolio drawdown strategy, asset allocation and other sources of income to withstand a sudden drop in stock market prices.
He says one should hedge foreign currency once it exceeds 25 % of the portfolio's assets: «Beyond a quarter of portfolio assets, the currency exposure constitutes a source of unwanted risk.»
Henry Markowitz and his portfolio theory are one of the best - known sources of knowledge when it comes to asset allocation.
Indeed, we should factor these three assets into our portfolio's stock - bond split — and knowing their worth can be a source of solace when stocks plunge and home prices take a hit.
These strategies driving the core allocation are in turn paired with FTMAS» systematic, fundamentally driven tactical asset allocation process that seeks to provide an additional, uncorrelated return source while at the same time providing a mechanism to potentially hedge the portfolio during market downturns and lower overall portfolio volatility.
Fortunately, I continue to identify other companies / sub-sectors to explore & potentially increase my exposure to this asset class — investment theme may be the better description — I suspect it may ultimately evolve into a significant portfolio allocation, and a fruitful source for some interesting future write - ups.
A major portion of listed German portfolios were sourced via wholesale purchases from municipal / housing authorities, so their average asset values are far lower than the value charted above.
With a particular concentration on IT procurement, Robert's sourcing experience ranges from solving large - scale tactical procurement and outsourcing issues and to managing the business process service procurement arrangements and mission - critical data, IP, and other high - value portfolios of intangible assets.
They discarded a source of large recurring costs, they shifted business models to focus on an existing portfolio of assets, and some exited as new investors came in.
Melonport, a private company building the open - source Melon Protocol, a blockchain protocol for digital asset management has just announced a portfolio manager competition which aims to enable users to test the platform in a safe environment with play money on the Kovan Ethereum testnet.
MetaStable's portfolio more than doubled in value in May alone, according to a source close to the fund; on June 23, after a Bitcoin and Ethereum price crash, the hedge fund reported total assets of $ 69 million in a regulatory filing.
Create analytics and attribution reports that evaluate portfolio positioning relative to benchmarks, as well as explain the source of excess returns of the asset portfolios that back the company's annuity products
Ensure all financial assets placed in Loan Facility and Securitization portfolio meet eligibility criteria for funding and report consistently as required by funding sources.
Tags for this Online Resume: negotiations, contract terms and conditions, distribution management, inventory planning and control, cross functional team leader, sourcing, brand management, competitive analysis, Credit and Collections, customer loyalty and retention, sales training, financial and trend analysis, MS office proficient, problem solver, program managment, consultative sales, incentive planning, public speaking, new product launches, product positioning, solutions selling, multifunction experience, event planning, strategic planning, profit and loss analysis, budgeting, high impact presentations, marketing strategy, asset managment, accounts receivables, portfolio managment, supplier management, Cost / benefit analysis, financial planning, product development
DALLAS, TX — HFF announced today that it has sourced a $ 105 million secured credit facility for N3 Real Estate backed by a portfolio of more than 50 net - leased retail assets.
Stratafolio's technology enables investors to view portfolio data from various sources in one dashboard or to look at data in a single asset class, delivering insights into past, present and future performance of real estate holdings.
The Loan Portfolio Monitoring Service helps lenders and servicers proactively monitor and protect one of their bank's largest assets and sources of revenue: the loan pPortfolio Monitoring Service helps lenders and servicers proactively monitor and protect one of their bank's largest assets and sources of revenue: the loan portfolioportfolio.
Whether you want to acquire assets, find qualified buyers or capital sources, r ecapitalize or determine the future of your portfolio, JLL's Capital Markets teams have the connections and credibility to deliver value throughout the investment cycle and have specialists across property types:
Whether you want to acquire assets, find qualified buyers or capital sources, determine the future of your portfolio, we can deliver.
«We have sourced a portfolio of established, well - located class - A assets that already benefit from a great reputation.
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