Sentences with phrase «about investor risk»

Addressing regulatory concerns in regard to Bitcoin is proving to be quite a task, with nations eager to not repress innovation while also preventing financial malpractice and warning about investor risk.
In order for trend - sensitive measures to have teeth, they have to be broad enough to convey information about uniformity and dispersion across numerous securities and asset classes, and thereby provide a signal about investor risk - preferences.

Not exact matches

Also avoid dealing with those at the other extreme, people who always talk about risks and lead an investor to believe that the venture has no chance of success.
For some months, ExxonMobil Inc. (xom) has been under investigation about allegations that it lied to investors about the risks of Climate Change.
nnuities can be a good fit for older investors too nervous about risk to sink much into the markets.
It's the latest attempt by the world's biggest banks to respond both to the phenomenon itself and to investors» concerns about the associated risks.
NEW YORK, Jan 18 - U.S. fund investors pulled $ 3.1 billion from high - yield «junk» bonds during the latest week, Lipper data showed on Thursday, offering new warning signs about risk appetite despite global markets» continuing triumph.
In the section about risks to investors, King said «a small number of games currently generate a substantial majority of our revenue.»
As the New York Times points out, investors typically prefer to obsess about interest rates and financial risks.
The sharp jump in debt yields in tandem was mirrored by a rally in commodity prices, which suggests that investors are becoming less worried about the risks of deflation.
Last week, SEC Chairman Jay Clayton repeated a warning he made in December to investors about the risks of cryptocurrencies and related activities, such as initial coin offerings.
«Global investors are also concerned about potential trade wars... which is stirring up some risk - aversion trade, so that, in turn, is supporting gold,» said Richard Xu, a fund manager at China's biggest gold exchange - traded fund, HuaAn Gold.
Later - stage investors are unlikely to view risk through such rose - colored lenses, however, so a growth plan must be clear about how the company will minimize risk.
Investors are suing Caine and Anish Parvataneni, a portfolio manager at LJM who previously worked for well - known fund investor Ken Griffin's Citadel, over what they said was inadequate disclosure about the risks of LJM's investment approach.
Here is a 2015 memo from the SEC to investors warning about the many risks of investing in these products.
«What they have done is created a tremendous increase in hidden risk, risk that investors don't exactly know or have faced about their holdings,» he said at the conference presented by CNBC and Institutional Investor.
Responsible investors have for years talked about the risks of regulatory intervention where companies fail to address serious social or environmental problems that arise in their operations.
«Without talking about the reward component, all that is left is risk aversion, and you end up scaring people at a time when investors need to be looking at building income,» he said.
One study looked at the behavior of about 60,000 investors from 1991 to 2002 and found that people took greater market risks when their party controlled Washington.
He said the Japanese currency was providing a flight to safety for investors concerned about political risk in the U.S., as well as Japan, where Prime Minister Shinzo Abe is embroiled in scandal.
Although the bull market could very well continue throughout 2018, some analysts and investors alike are understandably cautious about just how much risk exposure to continue taking on.
I just think there are a few things bond investors need to understand about longer maturity bonds, so I was pointing out the possible risks.
The fact that rates have been so low for so long, but are rising at the moment, has investors really nervous about interest rate risk.
There is little doubt that his recent comments about the pending risk of a bubble resonate with most experienced venture investors.
For investors, the most immediate risk is less likely to be the regulators, and more likely to be the many projects that are proceeding without a credible plan for putting out successful software — something that many sophisticated investors have warned about.
Since bond prices fall as interest rates rise, this possibility has many investors worried about their exposure to interest rate risk.
HNA and other big Chinese players like Anbang Insurance Group and Dalian Wanda Group are under pressure at home and abroad, as the authorities and investors worry about the risk these highly indebted companies pose to the broader economy.
Many investors have been surprised at the complacency in the markets given geopolitical risks (North Korea, for example), domestic political risks (tax reform, trade war, etc.) and central banks in the U.S., Europe and China either removing, or talking about removing, monetary - policy accommodation.
This makes sense given how bonds are structured, but I think many investors miss this point when they worry about the potential risks from rising interest rates.
«We believe this has been a direct consequence of investors» concerns about FX downgrades causing further downside risks to earnings,» they said.
I've admitted my own stumbles, addressed our own challenges, and have created an open book of data and analysis to support very deep concerns about the risks that investors face over the completion of the current market cycle.
In our view, the divergence and uniformity of observable market internals and credit spreads provides essential information about the risk - preferences of investors.
She literally discussed and answered questions about all of the investing topics I have recently been thinking about — including weighing the pros and cons of placing all of your bond investments into tax - deferred accounts, why Vanguard decided to recently increase their recommended stock allocation to include 40 % international stocks, and how more investors using REITs (real estate investment trust funds) to balanced their portfolios and mitigate risk.
April 22, 2016: MSCI has earned top honors among providers of market risk technology for its ability to help banks and other institutional investors make better - informed decisions about their trades.
Senator Mike Crapo, the Republican chairman of the panel, and Democratic Senator Sherrod Brown were among the lawmakers to express worries about volatility, investor protections and the risks posed by cyber criminals in the virtual currency market.
Investor Environmental Health Network is a collaborative partnership of investment managers and nongovernmental organizations concerned about the financial and public health risks associated with corporate toxic chemicals policies.
Investors like to see that teams are realistic about their company's critical risks and valuation.
The message is to encourage investors to think carefully about their risk tolerance, their true investment horizon, the extent to which they experience distress if an overvalued market advances without them, the extent to which they believe that historical evidence should inform investment decisions, and the extent to which they would be able to adhere to their investment discipline in the face of what could very well be a 50 % market loss over the completion of this cycle.
OIC was formed in 1992 to educate investors and their financial advisors about the benefits and risks of exchange - traded equity options.
About a year and half ago, South Korea emerged as a very large market for speculative trading activities thanks to investors» high risk appetite and fears of missing out.
In 2011, federal and state securities regulators warned investors of the potential risks associated with self - directed IRAs, saying they had noted an increase in complaints about fraudulent investment schemes that used these types of IRAs as a «key feature.»
The S&P 500 rebounded 0.5 percent from a two - day selloff yesterday as optimism over corporate earnings and jobs growth outweighed Federal Reserve concern that investors may be growing complacent about risk.
Investors are suing Caine and Anish Parvataneni, a portfolio manager at LJM who previously worked for fund investor Ken Griffin's Citadel, over what they said was inadequate disclosure about the risks of LJM's investment approach.
While investors are often concerned about catastrophic risks, failing to allocate enough to risky assets can lead investors to «fail slowly» by not maintaining pace with inflation or supporting withdrawal rates.
August is a month when more investors are out (or about to be out), lowering risk appetite and thinning markets.
A recent survey of institutional investors in Australia found that exposure to credit risk had increased in the first half of 1999 and that about half of the respondents intended to take on additional credit risk in their bond portfolios over the remainder of 1999.
Key information about the specific mortgages was lost in the process of securitizing mortgages in the first place, and then later repackaging these mortgage securities into collateralized debt obligations (CDOs) and CDOs - squared.5 In addition, the complexity of the securities meant that it would be difficult to understand the risks even if an investor had access to all of the relevant mortgage - level information.
With Betterment, new investors fill out a short questionnaire about investment goals and risk tolerance.
The best measure of those preferences is the behavior of market internals across a wide variety of securities, industries, sectors, and security types, because when investors are risk - seeking, they tend to be indiscriminate about it.
One, Kinder Morgan Canada's President is lying in order to puff his IPO, counter the escalating political risk facing his proposal, and mislead investors about the timing of when construction will begin; or
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