Vista Investment Management employs
a Core Equity investment strategy.
Vista Investment Management employs
a Core Equity investment strategy for its portfolio, primarily using ETFs.
Not exact matches
Prior to MFS he worked for nine years at Putnam
Investments in various roles in Boston, London, and Tokyo, including
equity analyst and sector - sleeve portfolio manager for international
core equity strategies.
Today, Third Avenue manages assets across four
core equity strategies — Value, Small - Cap, Real Estate, and International — which are all rooted in the differentiated, high conviction
investment approach established by our Founder.
Equity (Stock) Risk, ETF and Mutual Fund Risks, Fixed Income Risks, Credit Risk, Duration Risk, Interest Rate Risk, Liquidity Risk, Reinvestment Risk, Index Investing Risks, Master Limited Partnerships (MLPs) Risks, QDI Ratio Risks, Real Estate
Investment Trusts (REITs) Risks, Failure to Implement, Financial Risk, Company Risk,
Core + Satellite
Strategies Risk, Inflation Risk, Market Risk, Political Risk, Technical Analysis Risk.
These activities complement Brookfield's
core competencies and include global listed real estate and infrastructure
equities, corporate high yield
investments, opportunistic credit
strategies and a dedicated insurance asset management division.
This direct
investment strategy will be a change from how XEF currently implements its
investment strategy by investing in shares of iShares
Core MSCI EAFE ETF, a U.S. iShares Fund that itself invests in a portfolio of international
equity securities included in the XEF Index.