Sentences with phrase «bond portfolio management strategies»

Bond portfolio management strategies are based on managing fixed income investments in pursuit of a particular objective — usually maximizing return on investment by minimizing risk and managing interest rates.
Bond portfolio management strategies based on sector rotation involve varying the weight of different types of bonds held within a portfolio.

Not exact matches

Back in 2003, after several years of correspondence, James Cramer invited me to write for the site, and I wrote for RealMoney on equity and bond portfolio management, macroeconomics, derivatives, quantitative strategies, insurance issues, corporate governance, etc..
Kathleen Gaffney is a vice president of Eaton Vance Management, director of diversified fixed income and lead portfolio manager for Eaton Vance's multisector bond and core plus bond strategies.
Similar to mutual funds, ETFs allow access to a number of types of stocks and bonds (or asset classes), provide an efficient means to construct a fully diversified portfolio, include index - and more active - management strategies and are comprised of individual stocks or bonds.
He writes on equity and bond portfolio management, macroeconomics, derivatives, quantitative strategies, insurance issues, corporate governance, and more.
Eugene Fama's Bio at Dimensional «Trading Strategies Work Better than Buy - and - Hold» This paper applies portfolio management to trading strategies instead of stocks Strategies Work Better than Buy - and - Hold» This paper applies portfolio management to trading strategies instead of stocks strategies instead of stocks and bonds.
Christopher Harshman is a vice president of Eaton Vance Management and municipal portfolio manager on Eaton Vance's tax - advantaged bond strategies team.
Brian Barney is a vice president of Eaton Vance Management, director of institutional portfolio strategies and municipal portfolio manager on Eaton Vance's tax - advantaged bond strategies team.
He is responsible for buy and sell decisions, portfolio construction and risk management for th e firm's tax - advantaged bond strategies.
He is responsible for buy and sell decisions, portfolio construction and risk management for the firm's tax - advantaged bond strategies.
Back in 2003, after several years of correspondence, James Cramer invited David to write for the site, and write he does — on equity and bond portfolio management, macroeconomics, derivatives, quantitative strategies, insurance issues, corporate governance, and more.
Devin Cooch is a vice president of Eaton Vance Management and municipal portfolio manager and trader on Eaton Vance's tax - advantaged bond strategies team.
He is responsible for buy and sell decisions, portfolio construction and risk management for the fi rm's tax - advantaged bond strategies.
Offering a diversified portfolio of income opportunities Diverse income opportunities: The fund provides exposure to bonds in all sectors of the expanding global fixed - income market and across the complete credit spectrum.Multiple strategies: Putnam's bond specialists employ 70 - 80 active investment strategies to pursue a diverse range of opportunities for performance.Active risk management: In today's complex bond market, the fund's experienced managers actively manage risk with the goal of superior risk - adjusted performance over time.
Instead, SGS bonds and Treasury bills (T - bills) are issued to meet banks» needs for a risk - free asset in their liquid - asset portfolios and as part of a broader strategy to grow Singapore into an international centre for debt capital management.
Back in 2003, after several years of correspondence, James Cramer invited me to write for the site, and now I write for RealMoney on equity and bond portfolio management, macroeconomics, derivatives, quantitative strategies, insurance issues, corporate governance, etc..
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