Sentences with phrase «investments asset management company»

Wolf Theiss Bucharest and Warsaw, working alongside Radulescu & Musoi, have advised Poland's Credit Value Investments asset management company on its EUR 12 million investment in Impact Developer & Contractor.

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The bank holding company provides financial services and offers investment management with $ 1.8 trillion in assets under management.
Assets under management (in millions, USD): $ 870,000 (Wellington Management is a large private, independent investment management company that also runs a vemanagement (in millions, USD): $ 870,000 (Wellington Management is a large private, independent investment management company that also runs a veManagement is a large private, independent investment management company that also runs a vemanagement company that also runs a venture arm.
The Company provides deposit, credit, trust, investment, mortgage, asset management, securities brokerage, and capital market services.
In the opinion of the Company's management, adjusted book value per share is useful in an analysis of a property casualty company's book value per share as it removes the effect of changing prices on invested assets (i.e., net unrealized investment gains (losses), net of tax), which do not have an equivalent impact on unpaid claims and claim adjustment expense reCompany's management, adjusted book value per share is useful in an analysis of a property casualty company's book value per share as it removes the effect of changing prices on invested assets (i.e., net unrealized investment gains (losses), net of tax), which do not have an equivalent impact on unpaid claims and claim adjustment expense recompany's book value per share as it removes the effect of changing prices on invested assets (i.e., net unrealized investment gains (losses), net of tax), which do not have an equivalent impact on unpaid claims and claim adjustment expense reserves.
It's not unusual to see companies trading well above 20 times earnings these days, especially more bond - like businesses, such as dividend - paying consumer staples, utilities and other defensive equities, says Arthur Heinmaa, chief investment officer at Cidel Asset Management.
Now, the Canadian financial services company that offers unique ETFs and other investment solutions has grown into a competitive leader in the Canadian market, with approximately $ 6.5 billion in assets under management as of June 30.
Before Resco, Katie was a managing partner at Etho Capital; an asset management company focused on building sustainable ETFs and other investment products.
Cowen Inc. is a diversified financial services firm and, together with its consolidated subsidiaries, provides alternative asset management, investment banking, research, sales and trading, prime brokerage, global clearing and commission management services through its two business segments: Cowen Investment Management and its affiliates make up the Company's alternative investment segment, while Cowen and Company, a member of FINRA and SIPC, and its affiliates make up the Company's investment banmanagement, investment banking, research, sales and trading, prime brokerage, global clearing and commission management services through its two business segments: Cowen Investment Management and its affiliates make up the Company's alternative investment segment, while Cowen and Company, a member of FINRA and SIPC, and its affiliates make up the Company's investment baninvestment banking, research, sales and trading, prime brokerage, global clearing and commission management services through its two business segments: Cowen Investment Management and its affiliates make up the Company's alternative investment segment, while Cowen and Company, a member of FINRA and SIPC, and its affiliates make up the Company's investment banmanagement services through its two business segments: Cowen Investment Management and its affiliates make up the Company's alternative investment segment, while Cowen and Company, a member of FINRA and SIPC, and its affiliates make up the Company's investment banInvestment Management and its affiliates make up the Company's alternative investment segment, while Cowen and Company, a member of FINRA and SIPC, and its affiliates make up the Company's investment banManagement and its affiliates make up the Company's alternative investment segment, while Cowen and Company, a member of FINRA and SIPC, and its affiliates make up the Company's investment baninvestment segment, while Cowen and Company, a member of FINRA and SIPC, and its affiliates make up the Company's investment baninvestment bank segment.
JPMorgan's investment bank would be nearly as large, followed by its commercial bank and an asset management company.
«There is a revolution taking place in the practice of medicine, particularly cancer therapy, and most of that innovation is taking place in the biotech companies,» said Chris Sassouni, health care specialist and co-portfolio manager of the mid-cap growth investment team at Eagle Asset Management.
After that, the company levies an administrative fee of $ 8 per month per participant, each of whom pays on average 0.13 percent of assets per year for both investment - management and custodial services.
Prior to joining Bellwether, archerETF's parent company, he was Head of HSBC Global Asset Management (Canada) Private Client investment business and a member of the Board of HSBC Trust Company (Ccompany, he was Head of HSBC Global Asset Management (Canada) Private Client investment business and a member of the Board of HSBC Trust Company (CCompany (Canada).
(5) No more than 50 % of regulatory assets under management is attributable to pooled investment vehicles (other than investment companies).
In 2007 - 2012 Nir was a Founder and Partner at Shiraz Investments - a privately held PE company and the chairman of Altshuler Shaham, a prominent asset management firm with over 50 billion NIS in assets.
Taking on that kind of debt would be a risk the company can ill afford amid headwinds in Canada as consumers carry record debt, said Stephen Groff, who helps run $ 6 billion as a portfolio manager at Cambridge Global Asset Management, a unit of CI Investments Inc..
DALLAS, August 20, 2014 — Highland Capital Management, L.P., («Highland»), a Dallas - based investment management firm, which together with its affiliates has approximately $ 19 billion in assets under management, today announced the launch of its non-traded product line with a publicly - registered Business Development Company (BDC) NexPoint CapiManagement, L.P., («Highland»), a Dallas - based investment management firm, which together with its affiliates has approximately $ 19 billion in assets under management, today announced the launch of its non-traded product line with a publicly - registered Business Development Company (BDC) NexPoint Capimanagement firm, which together with its affiliates has approximately $ 19 billion in assets under management, today announced the launch of its non-traded product line with a publicly - registered Business Development Company (BDC) NexPoint Capimanagement, today announced the launch of its non-traded product line with a publicly - registered Business Development Company (BDC) NexPoint Capital, Inc..
Highland Capital Brasil Gestora de Recursos («HCB») is an asset management company which pursues investment opportunities in Emerging Market credit strategies with a primary focus on Brazilian corporate debt.
New Energy Capital Partners, LLC («NEC»), a leading alternative asset management firm focused on debt and equity investments in small - and mid-sized clean energy infrastructure projects and companies, today announced its appointment as sub-advisor to North Sky Capital's Alliance Fund... Continue reading →
New Energy Capital Partners, LLC («NEC»), a leading alternative asset management firm focused on debt and equity investments in small - and mid-sized clean energy infrastructure projects and companies, today announced that it held a final closing for the New Energy... Continue reading →
Glaucus claims that Blue Sky inflates the value of its investments, and that its published fee - earning assets under management figure is not the $ 4 billion the company presents, but less than $ 1.5 billion.
As a wealth management client, investment assets are held in an account at Pershing Advisor Solutions, a Bank of New York Mellon Company.
The solid financial global track record of Fiduciary Trust and that of our parent company, Franklin Templeton Investments, includes conservative balance sheet management practices and over $ 742.8 billion in combined assets under management.
Ms. Jones brings significant experience to the firm with over 40 years in the Canadian investment industry, holding presidential and executive roles at numerous high - profile companies including GBC Asset Management, AGF Private Wealth Management, TAL Private Management, CIBC Trust Company, and First Interstate Bancorp — where she was Canada's first female to lead a Schedule II bank.
Our members, representing more than $ 3 trillion in assets under management or advisement include investment management and advisory firms, mutual fund companies, research firms, financial planners and advisors, broker - dealers, banks, credit unions, community development organizations, non-profit associations, and asset owners.
Finally, Fortress Investment Group LLC (FIG), an asset management company yields 4.20 % with a moderate payout ratio of about 60 %.
This initiative is coordinated and supported by AFSCME and Walden Asset Management, of Boston Trust & Investment Management Company.
New Energy Capital Partners, LLC («NEC»), a leading alternative asset management firm focused on debt and equity investments in small - and mid-sized clean energy infrastructure projects and companies, today announced that it held a final closing for the New Energy Capital Infrastructure Credit Fund (the «Fund») with total capital commitments of $ 325 million.
SOUTH SAN FRANCISCO, CA — July 25, 2017 — Kezar Life Sciences, a private, clinical - stage biopharmaceutical company developing novel small molecule therapeutics targeting the immunoproteasome and the protein secretion pathway, announced today that it has closed an oversubscribed Series B investment round of $ 50 million led by Cormorant Asset Management and Morningside Venture.
Whitnell is an indirect, wholly - owned subsidiary of Associated Banc - Corp (AB - C) and is affiliated with Associated Bank, N.A., Associated Trust Company, N.A., Associated Investment Services, Inc., Associated Financial Group, LLC and Kellogg Asset Management, LLC ®.
Star Mountain is a specialized asset management firm focused exclusively on the U.S. lower middle - market by investing debt and equity directly into established operating companies, making strategic investments into fund managers and purchasing secondary fund positions.
Founded in 1996 by former Nomura executive John C. Howe, Darien, CT - based Old Hill Partners is an SEC - registered investment adviser specializing in alternative investment management and customized asset - backed lending transactions with primarily middle - market companies.
We are a family of two companies — Financial Sense ® Advisors, Inc. (Registered Investment Advisor), Financial Sense ® Securities, Inc. (broker / dealer, member FINRA / SIPC) both sharing the same goal: to provide exceptional asset management and educational resources that help investors seek to build, maintain and preserve their wealth.
Sarona Asset Management is an institutional - quality, independent investment firm, with the objective to deliver capital to entrepreneurs in under - served markets and help them develop their companies and their communities profitably and sustainably.
We expect that the New Credit Facility will contain a number of covenants that, among other things, restrict SSE Holdings» ability to, subject to specified exceptions, incur additional debt; incur additional liens and contingent liabilities; sell or dispose of assets; merge with or acquire other companies; liquidate or dissolve itself, engage in businesses that are not in a related line of business; make loans, advances or guarantees; pay dividends or make other distributions (with certain exceptions, including tax distributions and repurchases of management equity); engage in transactions with affiliates; and make investments.
2014.11.05 RBC Global Asset Management Inc. announces new offering of Passive Foreign Investment Company Reporting Statements for U.S. taxpayers RBC Global Asset Management Inc. (RBC GAM Inc.) today announced that Passive Foreign Investment Company (PFIC) Annual Information Statements will be made available to U.S. taxpayer clients...
McKinsey and Company (2012): «Searching for profitable growth in asset management: it's about more than investment alpha», September.
RBC Global Asset Management Inc. (RBC GAM Inc.) today announced that Passive Foreign Investment Company (PFIC) Annual Information Statements will be made available to U.S. taxpayer clients...
«In this global economy, cross-border investments, in spite of temporary glitches, will continue to grow in importance,» says Hiren Ved, co-founder and CIO of Alchemy Capital, a Mumbai asset management company.
FS Investments and KKR entered into an agreement to create a business development company (BDC) platform with $ 18 billion in combined assets under management.
Goldman Sachs Asset Management is reportedly gearing up to buy direct minority stakes in private equity companies, initially through its Petershill II LP pooled investment vehicle but eventually via a new $ 1.5 billion dedicated fund that may be raised for the purpose.
a) investing their own money alongside you, so your interests are aligned b) a stake in the company they work at i.e. it is a partnership or employee - owned c) a proven ability to outperform an index over the long - term (at least 10 years) d) reasonable charges — preferably no more than a 1 % management fee and no performance fee e) a concentrated, high conviction portfolio i.e. they do not just hug their benchmark f) a low - asset - turnover ratio i.e. they have a long - term investment horizon and rarely sell investments g) a proven ability to preserve capital during the bad times h) a stable team who have worked together for a number of years.
In January 2015, he founded W4i, an active asset management company which aligns the interests of investment clients and fund managers.
He worked with Bankers Trust Company as an associate (1993 - 1995), Korfez Securities (Garanti Bank) as Co-Head of Research (1995 - 1997), UB Ulusal Securities (formerly SAMBA Saudi American Bank) as Managing Director for research and asset management (1997 - 2000), Kent Securities as Deputy General Manager responsible for the asset management department (2000 — 2001), and ABN AMRO Asset Management as Chief Investment Officer in Istanbul (2001 - 2asset management (1997 - 2000), Kent Securities as Deputy General Manager responsible for the asset management department (2000 — 2001), and ABN AMRO Asset Management as Chief Investment Officer in Istanbul (200management (1997 - 2000), Kent Securities as Deputy General Manager responsible for the asset management department (2000 — 2001), and ABN AMRO Asset Management as Chief Investment Officer in Istanbul (2001 - 2asset management department (2000 — 2001), and ABN AMRO Asset Management as Chief Investment Officer in Istanbul (200management department (2000 — 2001), and ABN AMRO Asset Management as Chief Investment Officer in Istanbul (2001 - 2Asset Management as Chief Investment Officer in Istanbul (200Management as Chief Investment Officer in Istanbul (2001 - 2004).
Unlike most of our typical investment reports which focus on free cash flow utilization, net asset value investing, mean reversion of margins or special situations, this report will look at the investment merits of a company that generates little free cash flow at the moment and is somewhat of a growth investment if company management is successful in achieving its objectives.
Companies involved in activities such as banking, consumer finance, investment banking and brokerage, asset management, insurance and investment, and real estate, including REITs.
The increased uncertainty and risk will make it harder for Russian companies to borrow abroad and reduce the amount of inward investment, said Tim Ash at BlueBay Asset Management.
Ithaca Capital Partners, a real estate investment management company, is pleased to announce the execution of a binding agreement between a holding company (the «Buyer») and Caribbean Property Group (the «Seller»), for the acquisition (the «Transaction») of a portfolio of Hotel assets (the «Portfolio»).
With offices in over 30 countries, the California - based company has 70 years of investment experience and over US$ 750 billion (C$ 968 billion) in assets under management as of October 31, 2017.
Primus Asset Management is an investment manager to affiliated companies and third - party entities.
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