Kevin works closely with our Emerging
Markets Debt Investment team to develop investment strategy in the sector.
Not exact matches
«Most central banks across emerging
markets have completed rate cutting cycles,» said Jim Barrineau, co-head of emerging
markets debt at Schroders
Investment Management.
Russ Koesterich, BlackRock's chief
investment strategist, recommended emerging
market sovereign bonds because of the relatively low
debt of the countries issuing them.
The two - day AIM Summit titled The Shifting Paradigm of Alternative
Investments, will see expert speakers discussing risk and return across the private
debt space, look into the regulatory aspects, host interactive sessions on the impact of US and European leveraged lending guidelines, among other current
market trends.
Take that funding away and the
market settles back into something more closely aligned with the underlying reality — the one of high unemployment / underemployment, high oil prices, stagnant middle - and lower - class incomes, unprecedented wealth concentration in the upper class, demolished savers, under -
investment in capital, and an ongoing transition to a low - wage service economy hard - pressed to service
debt.
Lion's
investment came with what KeyBanc Capital
Markets analyst Edward Yruma, in a recent note, called «unusually tight»
debt covenants.
With other big acquisition funding still in the pipeline, it was crucial for banks to set a positive tone for
investment - grade
debt and lure buyers back into a struggling
market.
Amazon has been an infrequent issuer in the
investment - grade bond
market, with only $ 7.8 billion of
debt outstanding as of June 30.
And to Sonders, financing conditions for buybacks through
investment - grade
debt will likely last long enough for
markets to find other sources of demand.
She began her career in
investment banking, with a focus on mergers and acquisitions and
debt capital
markets.
The office would also police
debt markets and oversee institutional traders, high - frequency traders, new bond and equity issues and disclosure relationships between
investment advisers and their clients.
The Penn Wharton Budget Model predicts the added
debt eventually would reduce economic growth, as money that might have been spent on productive
investment instead ends up in the
market for government bonds.
«The sale of some state - owned enterprises should help lower Vietnam's rising national
debt [and] also attract significant foreign direct
investment,» Chetan Sehgal, director of global emerging
markets and small cap strategies at Templeton Emerging Markets Group, said in an
markets and small cap strategies at Templeton Emerging
Markets Group, said in an
Markets Group, said in an email.
OFFSHORE investors are targeting the assets of distressed property
investment funds, while listed developers have restructured their
debt and are ready to chase bargains in Perth's residential development land
market, new research shows.
Our team of credit professionals deliver sales and trading capabilities across a wide range of fixed income asset classes including high yield, distressed and
investment grade bonds, convertible bonds, public and private corporate securities, leveraged loans and emerging
market debt.
The Company uses the proceeds raised from the issuance of units to invest in SMEs through local
market sub-advisors in a diversified portfolio of financial assets, including direct loans, convertible
debt instruments, trade finance, structured credit and preferred and common equity
investments.
While these countries are major contributors to global GDP, the best
investment opportunities may be in local
market debt in Mexico, Poland and Indonesia, and in sovereign credit in Ukraine and Argentina.
Investment Industry Regulatory Organization of Canada (IIROC) IIROC was created in 2008 through the consolidation of the Investment Dealers Association of Canada and Market Regulation Services Inc. and is the national self - regulatory organization which oversees all investment dealers and trading activity on debt and equity marketplaces
Investment Industry Regulatory Organization of Canada (IIROC) IIROC was created in 2008 through the consolidation of the
Investment Dealers Association of Canada and Market Regulation Services Inc. and is the national self - regulatory organization which oversees all investment dealers and trading activity on debt and equity marketplaces
Investment Dealers Association of Canada and
Market Regulation Services Inc. and is the national self - regulatory organization which oversees all
investment dealers and trading activity on debt and equity marketplaces
investment dealers and trading activity on
debt and equity marketplaces in Canada.
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.
Prior to Stanford Management Company, Chris worked at Merrill Lynch in the Technology
Investment Banking group in Palo Alto and in the
Debt Capital
Markets group in New York.
That said, a broad
market trend towards convertible
debt has implications that I think are bad for the overall early stage
investment ecosystem.
Investments for which market prices are not observable include private investments in the equity of operating companies, real estate properties and certain debt
Investments for which
market prices are not observable include private
investments in the equity of operating companies, real estate properties and certain debt
investments in the equity of operating companies, real estate properties and certain
debt positions.
The Barclays U.S. Aggregate Bond Index is a
market value — weighted index of
investment - grade fixed - rate
debt issues, including government, corporate, asset - backed, and mortgage - backed securities, with maturities of one year or more.
At ACAS, Mr. Ranson made private equity and
debt investments in middle
market companies while helping establish the company's portfolio management group.
The iShares Intermediate Credit Bond ETF tracks a
market - weighted index of USD - denominated
investment grade corporate, sovereign, supranational, local authority and non-US agency
debt with maturities between 1 - 10 years.
Although the bond
market is also volatile, lower - quality
debt securities, including leveraged loans, generally offer higher yields compared with
investment - grade securities, but also involve greater risk of default or price changes.
Before founding K2, he was with American Capital Ltd., a publicly - traded buyout and mezzanine fund (NASDAQ: ACAS), where he created the American Capital Energy Group, building a peak portfolio of nearly a billion dollars of
market value of energy - related equity and
debt investments across oil and gas production, oilfield services, utility services and alternative energy.
Represents the corporate and government - related sectors of Bloomberg Barclays Global Aggregate Bond Index (which provides a broad - based measure of the global
investment - grade, fixed - rate
debt markets) and is considered representative of global
investment - grade
debt.
Our Global
Market Strategies segment, established in 1999 with our first high yield fund, advises a group of 46 active funds that pursue
investment opportunities across various types of credit, equities and alternative instruments, including bank loans, high yield
debt, structured credit products, distressed
debt, corporate mezzanine, energy mezzanine opportunities and long / short high - grade and high - yield credit instruments, emerging
markets equities, and (with regards to certain macroeconomic strategies) currencies, commodities and interest rate products and their derivatives.
Prior to joining Cerberus, Mr. McLeod managed the leveraged finance origination and execution activities at CIBC World
Markets from 1998 to 2006, where he originated, structured and executed transactions involving high yield
debt securities, leveraged loans, privately placed mezzanine securities and merchant banking
investments.
Rising
debt will keep slowing the country's growth, according to Ruchir Sharma, head of emerging
markets at Morgan Stanley
Investment Management.
We remain overweight U.S credit for its income potential, but prefer
investment grade
debt given elevated credit
market valuations.
Investment grade and emerging
market debt spreads are right in line with the historical trend line since 2006.
Emerging
markets corporate
debt is a maturing asset class of which around 60 % is rated
investment grade.
Prior to his roles at
investment management firms, Ryan was a fixed income
market maker with Merrill Lynch in Toronto where he also spent time in
debt syndication.
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.
It is wishful thinking to imagine that the most extreme economic,
debt and
investment bubble in history was corrected by a mild economic downturn, a
market decline that leaves stocks at 21 times peak earnings (higher than at the 1929 and 1987 peaks), and just a few large - scale defaults from a corporate
debt position which continues to claim a record share of operating earnings to finance.
When
market conditions favor wider diversification in the view of Hussman Strategic Advisors, Inc., the Fund's
investment manager, the Fund may invest up to 30 % of its net assets in securities outside of the U.S. fixed - income
market, such as utility and other energy - related stocks, precious metals and mining stocks, shares of real estate
investment trusts («REITs»), shares of exchange - traded funds («ETFs») and other similar instruments, and foreign government
debt securities, including
debt issued by governments of emerging
market countries.
Alantra is a global
investment banking and asset management firm focusing on the mid-market with offices across Europe, the US, Asia and Latin America Its Investment Banking division employs over 260 professionals, providing independent advice on M&A, debt advisory, financial restructuring, credit portfolio and capital markets transactions The Asset Management division comprises a team of 78 professionals with $ 3.7 bn in Private Equity, Active Funds, Debt and R
investment banking and asset management firm focusing on the mid-market with offices across Europe, the US, Asia and Latin America Its
Investment Banking division employs over 260 professionals, providing independent advice on M&A, debt advisory, financial restructuring, credit portfolio and capital markets transactions The Asset Management division comprises a team of 78 professionals with $ 3.7 bn in Private Equity, Active Funds, Debt and R
Investment Banking division employs over 260 professionals, providing independent advice on M&A,
debt advisory, financial restructuring, credit portfolio and capital markets transactions The Asset Management division comprises a team of 78 professionals with $ 3.7 bn in Private Equity, Active Funds, Debt and Real Es
debt advisory, financial restructuring, credit portfolio and capital
markets transactions The Asset Management division comprises a team of 78 professionals with $ 3.7 bn in Private Equity, Active Funds,
Debt and Real Es
Debt and Real Estate
To manage the risk exposure, the Company invests cash, cash equivalents and short - term
investments in a variety of fixed income securities, including short - term interest - bearing obligations, including government and
investment - grade
debt securities and money
market funds.
The continent has struggled to develop high - yield
debt markets for growth companies below
investment grade, and what it did achieve is collapsing in 2016.
Market Focus Middle East
Investment Banking Although investment bankers remain cautious about Middle Eastern prospects in the wake of falling oil prices, M&A activity and debt issuance remain bri
Investment Banking Although
investment bankers remain cautious about Middle Eastern prospects in the wake of falling oil prices, M&A activity and debt issuance remain bri
investment bankers remain cautious about Middle Eastern prospects in the wake of falling oil prices, M&A activity and
debt issuance remain bright spots.
Although the largesse is restricted to blue - chip eurozone companies such as food producer Danone or telecoms giant Telefónica, ECB - injected liquidity has spilled into the rest of the
market, paring average interest rates on
investment - grade corporate
debt by some 30 basis points to an even 1 %, Deloitte estimates.
During periods of decline it can be helpful to find long ideas among stocks which a) have low levels of
debt, in case the
market decline deepens, b) have a history of high returns on equity and
investments c) have shown price momentum despite waning momentum in the overall
markets.
Government of Canada marketable
debt, which includes treasury bills and marketable bonds, is distributed through competitive auctions to Government Securities Distributors, a group of banks and
investment dealers in the Canadian
market.
Liam is our Head of Emerging
Markets Debt, overseeing a global team of EMD portfolio managers and holding ultimate responsibility for the commercial growth of the EMD business and delivering strong
investment performance across our wide range of products.
With interest rates on low - risk
investments falling to low levels in many countries, investors have sought to maintain yields by moving into higher - risk assets such as corporate
debt and emerging
market debt.
Tokens, if indeed they are
investment contracts, are not typical
investment contracts like stock or
debt in that they do not represent a claim against the company, but rather they represent an ability to write to some data structure that the company has built (in common
market practice).
Investments with specific goals in mind will find their way into the
debt market of prime importance, as a risk reduction.
M360 favors an
investment strategy focused on senior secured
debt, which maximizes current income while providing significant collateral protection in the event of an economic slowdown and softening
market.