Renaissance Hotels is the signature lifestyle brand within the Marriott
International global portfolio of 17 hotel brands.
Not exact matches
We are currently using just GXC in our
International and
Global Multi Asset Class
portfolios but will monitor the development of other available ETFs, including the ones more recently launched and currently too small for us.
NEW YORK and LONDON, February 27, 2018 — Cerberus Capital Management, L.P., a
global leader in alternative investing, today announced that one of its affiliates has entered into an agreement with Bluestone Group, the
international financial services business based in the U.K., to acquire its Australasian mortgage lending and
portfolio servicing operations («Bluestone Holdings Australia»).
With vast experience and an
international investment strategy, our team possesses a combination of local market expertise and the ability to leverage relationships into investment opportunities, resulting in a $ 25.5 billion
global portfolio.
Its relatively high
global position reflects the special place the Australian dollar holds in
portfolios of
international funds managers because of its relation to commodity prices, offering a degree of diversification from other currencies.
Since joining the firm in 1998, Adel has also worked as a
Portfolio Manager in the
Global Structured Products Group focusing on a broad range of
international and domestic strategies.
Prior to this role Stuart was a
Portfolio Manager in the
Global Active Quantitative Equity Team where his responsibilities included management of the global and international small cap strategies, coordination with the European team across all group strategies as well as research within the
Global Active Quantitative Equity Team where his responsibilities included management of the
global and international small cap strategies, coordination with the European team across all group strategies as well as research within the
global and
international small cap strategies, coordination with the European team across all group strategies as well as research within the team.
Global Energy Capital's extensive
international experience and network ensures it as a superior partner for its
portfolio companies.
Leila Heckman, head of
international equities at Lebenthal Asset Management, joined us for our monthly Salon to discuss the increased acceptance of
global diversification among
portfolio managers and the reasons behind her approach to investing.
Rupal Bhansali is the
portfolio manager for Ariel's
international and
global all cap strategies, spanning developed and emerging markets, and overseeing the entire research effort for these offerings.
Prior to joining MFS in 2015, Chris was a vice president of Eaton Vance Management, director of product and
portfolio strategy for equity mandates and an institutional
portfolio manager for Eaton Vance's broad suite of equity investment strategies, including US Large Cap Value, Hexavest
Global and
International Equity, Parametric Emerging Markets and the Richard Bernstein Advisors strategies.
Prior to working at MFS, Ben served four years as a senior
international portfolio manager for State Street
Global Advisors of Boston.
He is part of the
portfolio management teams for the
International Value, European Value,
Global Value and
Global Total Return.
Prior roles at MFS include institutional equity
portfolio manager of the firm's
global and
international equity
portfolios and product manager.
Even so, a degree of
international exposure tends to be beneficial as a mechanism to participate in a
global opportunity set, diversify undesired risks, and improve overall
portfolio efficiency.
The possibility of higher tariffs could reduce
global growth, but it may have a larger effect on the U.S.. That's why we think it's important to continue to own both U.S. and
international equity investments in appropriate amounts, keeping your
portfolio well - diversified internationally.
Oakmark, Oakmark Equity & Income, Oakmark
Global, Oakmark
International Funds and Oakmark
International Small Cap: The Funds»
portfolios tend to be invested in a relatively small number of stocks.
International Private Bank seeks seasoned
Portfolio Manager with
Global Equities experience
The company plans to «slipstream» a further 20
international brands «behind the
global portfolio in existing and new markets and channels,» Clarke said.
US: Patron Spirits acquires Ultimat vodka The Patrón Spirits Company has acquired the
global distribution rights of the Ultimat vodka
portfolio from Adamba Imports
International.
Our
global footprint is reflected in the product itself, which is offered in 22 languages, giving partners a real opportunity to build an
international portfolio.
Denver Center for
International Studies is part of the Asia Society and prepares students for college by having students curate a
portfolio of their best work, guided by four domains of
global leadership, to earn a Certificate in
International Studies Diploma.
Angie's experience and passion include: Early Childhood Ed.; K - 12 Public and Charter Schools Initiatives;
International Baccalaureate Program (Coordinator, Administrator, English, TOK, C AS, EE); Project Based Learning; Proficiency / Competency Based Learning; Advisory programs; Love and Logic; 7 Habits;
Global Online Educational Training Design (IB);
Portfolio Based Assessment etc..
The fund had major equivalent positions in the Schwab
International Small - Cap Equity ETF (SCHC), WisdomTree
International SmallCap Dividend Fund (DLS), First Trust Dow Jones
Global Select Dividend Index Fund (FGD), iShares MSCI United Kingdom ETF (EWU), PowerShares DWA Industrials Momentum
Portfolio (PRN), and Vanguard FTSE Europe ETF (VGK).
Fidelity vs. Vanguard How
international small - caps spice up a retirement
portfolio Foreign big - cap value stocks outshine U.S. counterparts What
global large - cap stocks do for your retirement
portfolio Six reasons you should invest internationally How to double your target - date retirement fund's return in a single move Why REITs belong in your retirement
portfolio When it pays to go all - in on small - cap value This 4 - fund combo wallops the S&P 500 index Buy the best performing stock sector for 87 years How to make money with small - cap stocks Looking for action?
Prior experience includes roles as managing director,
global at Van Eck Glob al, where he ran the Hong Kong office and was lead
portfolio manager for
international equities, chief investment officer at Peregrine Asset Management in Hong Kong and principal of Wanger Asset Management in Chicago.
The emerging research on the investment effects of
international diversification and on value as a loophole to EMT led him to launch his first
global portfolios.
It includes now many sector and subsector funds, such as PowerShares
Global Water
Portfolio (PIO), WisdomTree
International Real Estate Sector Fund (DRW) and First Trust Industrials / Producer Durables AlphaDEX Fund (FXR).
An investor building a small
Global Couch Potato
portfolio could use VXC in place of separate US and
international holdings: that would reduce trading costs and complexity, as well as adding a bit more diversification with a slice of emerging markets.
If you're an index investor using ETFs, I recommend going for true
global diversification in the equity portion of your portfolio with 1/3 Canadian, 1/3 U.S. and 1/3 international stocks, the allocation for our Global Couch Potato port
global diversification in the equity portion of your
portfolio with 1/3 Canadian, 1/3 U.S. and 1/3
international stocks, the allocation for our
Global Couch Potato port
Global Couch Potato
portfolio.
The original
Global Couch Potato
portfolio used currency hedging in its US and
international equity funds.
For example, if you have a
global portfolio and rebalance at the end of every year, then in 2013 you would have been selling U.S. and
international stocks (which enjoyed lofty returns of 30 % to 40 %) and buying bonds, which had their worst year since 1999.
The
global portfolio includes
international and U.S. stocks (MSCI World Index).
Grandeur Peak
Global Opportunities (GPGOX) and Grandeur Peak
International Opportunities (GPIOX) have now changed their designation from «non-diversified» to «diversified»
portfolios.
Even so, a degree of
international exposure tends to be beneficial as a mechanism to participate in a
global opportunity set, diversify undesired risks, and improve overall
portfolio efficiency.
San Mateo, CA, February 3, 2010 — For the second consecutive year, Franklin Templeton Investments ranked # 1 out of 48 fund families for its funds» 10 - year performance in Barron's annual review of U.S. - registered mutual fund families.1 Barron's rankings are based on asset - weighted returns in five categories — U.S. equity funds; world equity funds (including
international and
global portfolios); mixed equity funds (which invest in stocks, bonds and other securities); taxable bond funds and tax - exempt funds — as calculated by Lipper.
Before joining Eaton Vance, he served as chief investment officer (
international and emerging - market equity) as well as managing director /
portfolio manager (Europe, EAFE and
Global) at Go ldman Sachs Asset Management (GSAM) in London.
Pragna Shere, CFA is Senior Vice President,
Portfolio Manager for the Alger
International Growth and
Global Growth strategy.
If we add
global diversification to our
portfolio and include 20 % U.S. equity and 20 %
international equity, the four asset class
portfolio return rises to 10.34 % per year while
portfolio risk declines to 9.67 %.5
The
Global and International Equities team is made up of a centralized team of portfolio managers and global sector specialists in London, dedicated to global growth equities, who draw upon work of more than 70 locally based research analysts in 11 coun
Global and
International Equities team is made up of a centralized team of
portfolio managers and
global sector specialists in London, dedicated to global growth equities, who draw upon work of more than 70 locally based research analysts in 11 coun
global sector specialists in London, dedicated to
global growth equities, who draw upon work of more than 70 locally based research analysts in 11 coun
global growth equities, who draw upon work of more than 70 locally based research analysts in 11 countries.
He is responsible for building and leading a
global equity investment team, and managing
global and
international equity
portfolios.
If you are looking for
international dividend exposure, look at
global dividend growth funds to diversify your
portfolio.
Simon Webber is a Lead
Portfolio Manager on the
Global and
International Equity Team, with primary responsibility for international equit
International Equity Team, with primary responsibility for
international equit
international equity strategies.
But last month BlackRock announced a significant change to its iShares Core MSCI EAFE IMI Index ETF, ticker symbol XEF, which makes up the
international equity component of my
Global Couch Potato
portfolio.
A division of Baird, Chautauqua Capital Management specializes in managing
international and
global equity
portfolios with an average of 20 years» experience on the investment team.
Personally, I like to diversify my
portfolio between
global income, dividend growth,
international growth, and aggressive growth.
Within the core, long - term portion of our
portfolios, we are underweight European and other
International Developed Market stocks versus the
global stock market.
We are a boutique, long - only investment management firm offering high - quality, growth - oriented
international and
global equity
portfolios.
Nicolas M. Choumenkovitch, Senior Managing Director and Equity
Portfolio Manager, is the portfolio manager for the Hartford International Opportunities Fund and is involved in portfolio management and securities analysis for the Hartford Global Capital Appreciation Fund and the Hartford Capital Appreciation
Portfolio Manager, is the
portfolio manager for the Hartford International Opportunities Fund and is involved in portfolio management and securities analysis for the Hartford Global Capital Appreciation Fund and the Hartford Capital Appreciation
portfolio manager for the Hartford
International Opportunities Fund and is involved in
portfolio management and securities analysis for the Hartford Global Capital Appreciation Fund and the Hartford Capital Appreciation
portfolio management and securities analysis for the Hartford
Global Capital Appreciation Fund and the Hartford Capital Appreciation HLS Fund.
As the lead equity
portfolio manager for the
International /
Global Opportunities Team, Nicolas is focused on managing global equity portfolios, including the firm's Global Opportunities, International Opportunities, and Global Horizons pro
Global Opportunities Team, Nicolas is focused on managing
global equity portfolios, including the firm's Global Opportunities, International Opportunities, and Global Horizons pro
global equity
portfolios, including the firm's
Global Opportunities, International Opportunities, and Global Horizons pro
Global Opportunities,
International Opportunities, and
Global Horizons pro
Global Horizons products.