More than half of student loan borrowers say they didn't receive enough information or advice
about the financial risks of taking on education loans.
Managers find they learn more about their business, and more
about the financial risks of their business from the rating process with Moody's.
Not exact matches
Pretty much from his first statements as governor in 2013 — that's
about $ 100,000 ago in real estate appreciation terms — through to last week when the bank released its latest
financial system review, Poloz has walked a tightrope between admitting that elevated house prices and debt levels pose a
risk to the economy, and assuring Canadians that the likelihood
of a crash is actually pretty low.
Constituent companies are chosen based on their score on two sets
of measures: a quantitative assessment consisting
of their return on equity, balance sheet accruals ratio and
financial leverage ratio; and a qualitative score derived from management's responses to a survey
about such topics as corporate governance,
risk and crisis management, customer relationships and tax strategies.
The U.S. Consumer
Financial Protection Bureau cautions consumers
about the
risks of investing in Bitcoin and other cryptocurrencies.
The latter is the «keep some skin in the game» principle, the idea that if you can't dump all the
risk on someone else, you'll be more careful
about the quality
of the
financial products you're selling.
«For people who have the
risk tolerance, investing that money rather than paying off the mortgage is fine, but think
about what would happen if the investments don't pan out and you still have to pay your mortgage,» says Craig Brimhall, vice president
of Wealth Strategies at Ameriprise
Financial.
«Every time the audit chair committee reports to the board
about audited
financial statements, transactions and
financial risks, the CFO is sitting there as part
of the board.
For months, the world's
financial markets have been sanguine — complacent, even —
about the
risk of the U.K. voting to leave the European Union.
«On the one hand, achieving the medium - term inflation objective
of 1.0 - 3.0 % remains a priority for the RBNZ, but on the other hand, the RBNZ is still concerned
about financial instability
risks stemming from still - elevated house prices.»
In 2007, Cramer went on a fiery rant, blasting then - Fed Chair Ben Bernanke and central bankers for their lack
of knowledge
about the
risk that the subprime mortgage market posed to the
financial system.
Indonesia's central bank has issued a fresh warning
about trading in cryptocurrencies like bitcoin because
of the
risk of losses to the public and even a potential threat to the stability
of the
financial system.
Our Master
of Financial Risk Management admission events are a fun way to learn more
about the program.
On Tuesday, the
Financial Conduct Authority published a warning
about the
risks of token offerings, which it called «very high -
risk, speculative investments.»
To me, this is a situation where the reduction in
risk to the
financial system from the better management
of foreign exchange settlement
risk greatly outweighs any concerns
about the impact on the efficiency
of a payments system.
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.
OIC was formed in 1992 to educate investors and their
financial advisors
about the benefits and
risks of exchange - traded equity options.
So, I would like to start by talking
about the Asian and global
financial crises and the policy / regulatory responses intended to reduce the
risk and damage
of future crises.
For more information on any
of the Section 529 college savings plans we distribute («529 Plan (s)»), contact your registered representative (
financial advisor) or download a disclosure document, which contains important information
about the plan's investment options, sales charges, expenses and
risks.
On October 27, 2017, Japan's
Financial Services Agency (FSA) issued a warning to business operators and users
about the
risks of token offerings.
Consider these
risks before investing: The value
of securities in the fund's portfolio may fall or fail to rise over extended periods
of time for a variety
of reasons, including general
financial market conditions, changing market perceptions, changes in government intervention in the
financial markets, and factors related to a specific issuer, industry, or sector and, in the case
of bonds, perceptions
about the
risk of default and expectations
about changes in monetary policy or interest rates.
You can usually find out
about future
risks by reading the management's discussion and analysis (MD&A) section
of the annual reportAnnual report A
financial report that a company prepares for its shareholders each year.
We live with considerable uncertainty
about the sustainability
of the pattern
of relatively low
risk premia and reduction in the cost
of insurance against future macroeconomic and
financial volatility.
Current account imbalances (1) provide a misleading picture
of the global pattern
of financing flows and intermediation and (2) do little to inform
about potential
risks to
financial stability.
The central bank also warned the Iranian citizens
about the high
risks of making investment in the volatile market
of the digital currencies saying they «may lose their
financial assets.»
Axel Threlfall, Reuters Editor - at - Large, chats with David Craig, President
of Financial & Risk at Thomson Reuters, and Peter Smith, CEO of Blockchain, about the impact blockchain is having and will have on the financial services
Financial &
Risk at Thomson Reuters, and Peter Smith, CEO
of Blockchain,
about the impact blockchain is having and will have on the
financial services
financial services industry.
Risk managers in the financial services industry are skittish about what they perceive as a heightened chance for high - impact event hitting the global financial system hard and they're naming potential cyber attacks as one of the biggest drivers for that increased r
Risk managers in the
financial services industry are skittish
about what they perceive as a heightened chance for high - impact event hitting the global
financial system hard and they're naming potential cyber attacks as one
of the biggest drivers for that increased
riskrisk.
The
Financial Industry Regulatory Authority (FINRA) also recently issued an Investor Alert cautioning investors
about the
risks of buying and using digital currency such as Bitcoin.
The BGRI gauges the degree
of financial market concern
about geopolitical
risk.
Rajan shows how the individual choices that collectively brought
about the economic meltdown — made by bankers, government officials, and ordinary homeowners — were rational responses to a flawed global
financial order in which the incentives to take on
risk are incredibly out
of step with the dangers those
risks pose.
Investing strategies should start with a broadly diversified mix
of stocks, bonds, and cash, based on your goals, feelings
about risk,
financial situation, and investment timeline.
The
Financial Stability Board, an international body that monitors and makes recommendations about the global financial system, recently announced the appointment of experts in responsible investment, sustainable finance, risk management and climate change to head its new task force on climate - change - related dis
Financial Stability Board, an international body that monitors and makes recommendations
about the global
financial system, recently announced the appointment of experts in responsible investment, sustainable finance, risk management and climate change to head its new task force on climate - change - related dis
financial system, recently announced the appointment
of experts in responsible investment, sustainable finance,
risk management and climate change to head its new task force on climate - change - related disclosures.
It hasn't fundamentally changed the way think
about financial system stability, though we now have a deeper understanding
of the nature
of the
risks and the potential channels
of contagion.
Bloomberg Businessweek wrote in February
about the
risk: «Fear
of not being able to get your money back is what causes bank runs and
financial mayhem in general.»
We are somewhat more explicit
about recognising the potential human cost
of financial instability in terms
of financial distress and unemployment and are more attuned to the behavioural
risks associated with
risk cultures and
financial innovations.
But given the complexity
of the business processes involved, and corporate concerns
about cybercrime and
risk, the digital transformation
of corporate treasury and cash management has not moved at the same pace as in the consumer banking space, where the advent
of peer - to - peer lending and instant payments via mobile and other «smart» devices is rapidly transforming how consumers interact with
financial services.
As we covered this spring (WILTW May 25, 2017), the International Monetary Fund's annual Global
Financial Stability report included a stark warning
about the health
of the U.S. economy: 22 %
of U.S. corporations are at
risk of default if interest rates rise.
For a number
of years, concerns had been expressed
about the underpricing
of risk in a range
of financial instruments and the associated search for yield as investors sought higher returns in non-standard
financial products as the yield on more standard products such as government bonds was deemed to be inadequate.
While some
of the yuan's weakness can be attributed to investors» concerns
about China's slowing economy and latent
risks in its
financial system, there is also a growing perception that the Chinese central bank has been proactively undermining expectations for the yuan to relentlessly appreciate.
Add snippets
of content that recall conversations with your client, where attitudes
about risk or specific
financial goals were stated.
Second, policymakers must carefully monitor evolving
risks to the
financial system and be realistic
about the ability
of macroprudential tools to influence these developments.
He's right though
about the need for tighter
financial regulation, and it looks as if Obama has set an example with his plan to curb the size and
risk - taking
of banks which George Osborne will follow (assuming a Tory government from May).
FINRA, the
Financial Industry Regulatory Authority, has posted an Investor Alert
about the complexities and
risks of equity - indexed annuities, which any potential buyer ought to read.
April 24 (Bloomberg)-- Howard Marks, chairman
of Oaktree Capital Group LLC, talks
about investment strategy,
risks, and
financial markets.
APRA chairman Wayne Byres said the report should provide important insights for all
financial institutions «
about the need to maintain a broad focus on all aspects
of risk and stakeholder interest and not allow
financial success to mask or detract from other important measures
of an institution's performance and
risk profile».
«There are concerns
about the effects
of persistently low interest rates and the quantitative easing that other countries have done, in terms
of increasing
risk - taking by
financial market players and individuals.
For more information on any
of our funds, contact your
financial advisor or download a prospectus, which contains important information
about a fund's investment goals, sales charges, expenses and
risks.
«Ongoing speculation and fear - mongering
about a banking inquiry or royal commission is disruptive and
risks undermining the reputation
of Australia's world - class
financial system,» Turnbull said in a statement.
A small but growing number
of countries now have legal requirements for institutional investors to report on how their investment policies and performance are affected by environmental factors, including South Africa and, prospectively, the EU.36 Concern
about the
risks of a «carbon bubble» — that highly valued fossil fuel assets and investments could be devalued or «stranded» under future, more stringent climate policies — prompted G20 Finance Ministers and Central Bank Governors in April 2015 to ask the
Financial Stability Board in Basel to convene an inquiry into how the financial sector can take account of climate - related
Financial Stability Board in Basel to convene an inquiry into how the
financial sector can take account of climate - related
financial sector can take account
of climate - related issues.37
This information includes general information
about the company, its officers and directors, a description
of the business, the planned use for the money raised from the offering, often called the use
of proceeds, the target offering amount, the deadline for the offering, related - party transactions,
risks specific to the company or its business, and
financial information
about the company.