Sentences with phrase «strategic asset management»

April 24, 2013 CoreNet Global partners with Tongji University CoreNet Global partners with Tongji University to upscale development of strategic asset management skill sets in China.
Daniel started his career with Green Property PLC in Manchester, before joining Teesland PLC (later part of Valad Group) in 1999 where he was responsible for providing strategic asset management services to the Bank of Scotland on its entire UK corporate real estate portfolio, as well as managing a 1.5 million sq.ft.
In 2008, he joined Warner PLC, a UK REIT, where he was responsible for the strategic asset management of two UK shopping centre funds.
Two years ago, I concluded an 18 - year career with Strategic Asset Management, Inc. (SAMI) as Sr..
Wilmington Trust's back office support will allow Franklin Templeton to focus on its strategic asset management and retirement priorities, while its affiliated trust company, Fiduciary Trust International of the South, a Florida chartered trust company, remains the trustee for the funds.
Depending on the portfolio size or the frequency of securities transactions, investors should evaluate whether the separately managed account services within Strategic Asset Management are suitable.
From 2010 through the approvals of Kyprolis ® and Stivarga ® and its acquisition by Amgen in October 2013, he was Vice President, Corporate Development and Strategy at Onyx Pharmaceuticals (NASDAQ: ONXX), where he served as Head of Strategy and Strategic Asset Management, and Head of Transactions.

Not exact matches

It's encouraging to hear BlackRock (blk) CEO Larry Fink — whose company's $ 4 trillion of assets under management make it the 800 - pound gorilla in public markets — decry the short - term focus of many investors and call on companies to lay out a «strategic framework for long - term value creation.»
«The reporting persons intend to have conversations with members of the issuer's management to discuss strategic alternatives which may enhance shareholder value, including, among other things, asset sales or potential corporate restructuring.
«Something we've called for a long time is they could pursue basically like a pipe deal, a strategic investment from another partner into Yahoo,» Eric Jackson, managing director of SpringOwl Asset Management, said Tuesday on CNBC's «Closing Bell.»
BuildingConnected, which provides software linking contractors and developers, has raised $ 15 million from a strategic investor — Brookfield Ventures, the new venture arm from real estate developer Brookfield Asset Management.
Strategic Advisers, Inc. (Strategic Advisers), applies tax - sensitive investment management techniques in FPP and PTS (including «tax - loss harvesting») on a limited basis, at its discretion, primarily with respect to determining when assets in a client's account should be bought or sold.
The Carlyle Group («Carlyle») is one of the world's largest global alternative asset management firms that originates, structures and acts as lead equity investor in management - led buyouts, strategic minority equity investments, equity private placements, consolidations and buildups, growth capital financings, real estate opportunities, bank loans, high - yield debt, distressed assets, mezzanine debt and other investment opportunities.
GLOBAL RISKS AND OPPORTUNITIES: The World View Hosted by Zurich Insurance Group Mary Callahan Erdoes, Chief Executive Officer, J.P. Morgan Asset Management Efrat Peled, Chairman and CEO, Arison Investments Susan Schwab, Former U.S. Trade Representative; Strategic Advisor, Mayer Brown; Professor, School of Public Policy, University of Maryland Isabelle Welton, Chief Human Resources Officer and Regional Chairman of Latin America, Zurich Insurance Group Moderator: Nina Easton, Washington Columnist; Senior Editor; Chair, MPW International and Co-chair, Global Forum, Fortune
Multi-asset portfolios can help investors address complex risk management and investment challenges by combining three critical disciplines of investment management into a single portfolio: strategic asset allocation, tactical asset allocation and manager & strategy research.
Other responsibilities include developing capital market assumptions and strategic asset allocations, providing tactical advice, conducting asset class research, assisting in portfolio management, writing commentary for investment publications, and providing investment guidance for financial advisors and clients.
Asset Management Equity Financing and Placement Debt Financing and Placement Mergers and Acquisitions Corporate Partnering and Strategic Alliances Restructuring and Workouts Startups and Management Alternative Finance Strategies Advice on Capital Markets Corporate Shareholder Communications Access to Retail, Institutional, and Accredited Investors Database Strategic Introductions to Global Network ConnectInvest - one - on - one Meetings with Global Investors Advice and Introductions on Capital Raises Media and Press Release Distribution Event Creation and Management Representation in Trade Shows and Conferences for Media Exposure
* Strategic Advisers, Inc. (SAI), applies tax - sensitive investment management techniques in the Fidelity ® Tax - Managed U.S. Equity Index Strategy, including «tax - loss harvesting,» at its discretion, solely with respect to determining when assets in a client's account should be bought or sold.
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.
Kestra Financial announced that they are now supporting Questmont Strategic Wealth Advisors, a Pennsylvania - based wealth management group with $ 420 million in assets.
BlackBerry's ability to manage inventory and asset risk; BlackBerry's reliance on suppliers of functional components for its products and risks relating to its supply chain; BlackBerry's ability to obtain rights to use software or components supplied by third parties; BlackBerry's ability to successfully maintain and enhance its brand; risks related to government regulations, including regulations relating to encryption technology; BlackBerry's ability to continue to adapt to recent board and management changes and headcount reductions; reliance on strategic alliances with third - party network infrastructure developers, software platform vendors and service platform vendors; BlackBerry's reliance on third - party manufacturers; potential defects and vulnerabilities in BlackBerry's products; risks related to litigation, including litigation claims arising from BlackBerry's practice of providing forward - looking guidance; potential charges relating to the impairment of intangible assets recorded on BlackBerry's balance sheet; risks as a result of actions of activist shareholders; government regulation of wireless spectrum and radio frequencies; risks related to economic and geopolitical conditions; risks associated with acquisitions; foreign exchange risks; and difficulties in forecasting BlackBerry's financial results given the rapid technological changes, evolving industry standards, intense competition and short product life cycles that characterize the wireless communications industry, and the company's previously disclosed review of strategic alternatives.
RBC Global Asset Management Inc. today announced that effective January 25, 2016, the name of RBC Monthly Income High Yield Bond Fund will change to RBC Strategic Income Bond Fund...
Many factors could cause BlackBerry's actual results, performance or achievements to differ materially from those expressed or implied by the forward - looking statements, including, without limitation: BlackBerry's ability to enhance its current products and services, or develop new products and services in a timely manner or at competitive prices, including risks related to new product introductions; risks related to BlackBerry's ability to mitigate the impact of the anticipated decline in BlackBerry's infrastructure access fees on its consolidated revenue by developing an integrated services and software offering; intense competition, rapid change and significant strategic alliances within BlackBerry's industry; BlackBerry's reliance on carrier partners and distributors; risks associated with BlackBerry's foreign operations, including risks related to recent political and economic developments in Venezuela and the impact of foreign currency restrictions; risks relating to network disruptions and other business interruptions, including costs, potential liabilities, lost revenues and reputational damage associated with service interruptions; risks related to BlackBerry's ability to implement and to realize the anticipated benefits of its CORE program; BlackBerry's ability to maintain or increase its cash balance; security risks; BlackBerry's ability to attract and retain key personnel; risks related to intellectual property rights; BlackBerry's ability to expand and manage BlackBerry ® World ™; risks related to the collection, storage, transmission, use and disclosure of confidential and personal information; BlackBerry's ability to manage inventory and asset risk; BlackBerry's reliance on suppliers of functional components for its products and risks relating to its supply chain; BlackBerry's ability to obtain rights to use software or components supplied by third parties; BlackBerry's ability to successfully maintain and enhance its brand; risks related to government regulations, including regulations relating to encryption technology; BlackBerry's ability to continue to adapt to recent board and management changes and headcount reductions; reliance on strategic alliances with third - party network infrastructure developers, software platform vendors and service platform vendors; BlackBerry's reliance on third - party manufacturers; potential defects and vulnerabilities in BlackBerry's products; risks related to litigation, including litigation claims arising from BlackBerry's practice of providing forward - looking guidance; potential charges relating to the impairment of intangible assets recorded on BlackBerry's balance sheet; risks as a result of actions of activist shareholders; government regulation of wireless spectrum and radio frequencies; risks related to economic and geopolitical conditions; risks associated with acquisitions; foreign exchange risks; and difficulties in forecasting BlackBerry's financial results given the rapid technological changes, evolving industry standards, intense competition and short product life cycles that characterize the wireless communications industry.
It was determined that after the strategic review process and corresponding significant decrease in the share price on the announcement that Fairfax and other institutional investors were investing in the company through a $ 1 billion private placement of convertible debentures, in lieu of purchasing the company, that the carrying value of the company's assets exceeded their fair value based on the impairment testing performed by management.
2015.12.10 RBC Global Asset Management Inc. announces fund name change RBC Global Asset Management Inc. today announced that effective January 25, 2016, the name of RBC Monthly Income High Yield Bond Fund will change to RBC Strategic Income Bond Fund...
Our training program, by my estimation, was 90 % focused on closing sales techniques to capture AUM (Assets Under Management) and block and bridge techniques to overcome client objections during the closing process versus the development of any real strategic investing acumen.
Top institutional shareholders include Wells Fargo & Company MN (0.55 %), Rhumbline Advisers (0.24 %), Monarch Partners Asset Management LLC (0.19 %), Hussman Strategic Advisors Inc. (0.13 %), DekaBank Deutsche Girozentrale (0.02 %) and FDx Advisors Inc. (0.02 %).
DSW stock was acquired by a variety of institutional investors in the last quarter, including Hussman Strategic Advisors Inc., Monarch Partners Asset Management LLC, Wells Fargo & Company MN, Rhumbline Advisers, DekaBank Deutsche Girozentrale, CIBC Asset Management Inc, Advisors Preferred LLC and SG Americas Securities LLC.
He brings several complementary disciplines: lawyer, strategic management consultant, corporate director, asset allocator and venture capitalist.
Zilliqa, a high - speed blockchain platform from researchers at the National University of Singapore, has announced a strategic partnership with FBG Capital, one of the world's foremost digital asset management firms.
Franklin Templeton Investments, a global leader in asset management, becomes the first strategic investor in Bambu.
Unlocking the value of our portfolio through strategic management, NOI growth, asset repositioning and disciplined capital allocation.
We also connected the client with independent strategic and tactical investment advice on asset allocation and risk management.
The First Church Estates Commissioner is the Chair of the Church Commissioners» Assets Committee, a statutory committee, responsible for the strategic management of the Church Commissioners» # 7.9 billion investment portfolio.
Founded to help small businesses within the retail, restaurant, hospitality, and real estate industries successfully grow and expand their ideas and concepts, Streetsense Capital provides intellectual and financial capital, strategic consulting, and asset management, as well as access to the unparalleled expertise of Streetsense's multidisciplinary design and strategy team.
With its combined operational expertise, development acumen and asset management capabilities, Ensemble has fostered strategic and fruitful partnerships with boutique hotel operators as well as with global brands including Hilton, Marriott and Hyatt.
Team will provide intellectual and financial capital, strategic consulting, and asset management for growing concepts.
Upstate New York Power, whose largest stockholders are the California Public Employees» Retirement System (CalPERS), Carlyle Strategic Partners, J.P. Morgan Investment Management and Marathon Asset Management, asked for FERC approval of the deal by Nov. 24 (EC15 - 214).
Williams is a former partner in the Intellectual Property Practice Group of Pepper Hamilton LLP, with a focus on intellectual property acquisition and management, including IP asset strategy, contracts, licensing portfolio development and management, patent, trademark, technology transfer and strategic alliance negotiation / restructuring.
The Federal Transit Administration has selected six transit agencies from around the country to participate in its Transit Asset Management pilot program and share $ 4 million to help them take a more strategic and systematic approach to determining and anticipating when equipment needs maintenance or repairs, or when it needs to be replaced.
The letter to stockholders also reminded stockholders of the significant value of Avigen's remaining assets, and of the Board's and management's commitment to pursue possible strategic transactions that would be in the best interests of all of Avigen's stockholders.
He leads a team of over twenty portfolio managers, analysts and traders who are responsible for strategic and tactical asset allocation, currency management and absolute return strategies.
He joined the firm in November 1997 and his responsibilities include the management of real asset, tactical, and strategic multi-asset allocation strategies as well as conducting research, product development, and advising institutional clients on investment policy.
Being a micro cap stock the management acknowledged in a press release in Sept 2008 that it would begin exploring strategic alternatives for Aspen «including the possibility of selling Aspen's assets or considering another appropriate merger or acquisition transaction (from press release dated 9/4/08).»
* Strategic Advisers, Inc. (SAI), applies tax - sensitive investment management techniques in the Fidelity ® Tax - Managed U.S. Equity Index Strategy, including «tax - loss harvesting,» at its discretion, solely with respect to determining when assets in a client's account should be bought or sold.
As one of the biggest insurance and financial services companies in the world, Nationwide and its affiliates provide property and casualty insurance, life insurance and retirement savings, asset management and strategic investments.
The Foolish Bottom Line I have to say, I do like Charles Schwab's evolution as an asset management business and its strategic move away from the discount brokerage model.
Data sources: Assets under management from Charles Schwab Investment Management, Inc.; ETF ranking from Strategic Insight based on assets under management Assets under management from Charles Schwab Investment Management, Inc.; ETF ranking from Strategic Insight based on assets under managemmanagement from Charles Schwab Investment Management, Inc.; ETF ranking from Strategic Insight based on assets under managemManagement, Inc.; ETF ranking from Strategic Insight based on assets under management assets under managementmanagement as of.
The Liquid Real Assets group's investment approach focuses on active stock selection with a top - down global overlay of strategic allocation and risk management.
Board responsibilities have included work on the Asset / Liability Management, Compensation / Nominating, Enterprise Risk Management, and Strategic Planning Committees.
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