Sentences with phrase «among major asset»

There is an appealing simplicity in the concept of target date funds that has a strong attraction for investors: Just pick a year, and lean back — your portfolio management is now on autopilot, with coordinated diversification among the major asset classes that is rebalanced periodically toward your estimated time of arrival, your target date.
The S&P Municipal Bond Index recorded a positive 3.32 % total return in 2015 securing a second place finish among major asset classes.
In the Robo Report, published quarterly, it recounts the performance of each account, as well as how investments are divided among major asset classes (U.S. stocks, foreign stocks, bonds and cash).
Among major asset managers, Eaton Vance is distinguished by the continuity of its investment teams, senior management, and other staff.
The fund's investments generally will be allocated among the major asset classes as follow: 45 % of its assets in equity securities (stock funds); 45 % of its assets in fixed - income securities (bond funds); and 10 % of its assets in cash equivalents (money market funds).
Over the long term, stocks provide the highest average performance among major asset classes.
Last week's biggest loser among the major asset classes: foreign inflation - indexed government bonds.
The iShares TIPS Bond (TIP) dipped a fractional 0.2 %, the smallest loss among the major asset classes for the five trading days through April 6.

Not exact matches

Important factors that could cause actual results to differ materially from those reflected in such forward - looking statements and that should be considered in evaluating our outlook include, but are not limited to, the following: 1) our ability to continue to grow our business and execute our growth strategy, including the timing, execution, and profitability of new and maturing programs; 2) our ability to perform our obligations under our new and maturing commercial, business aircraft, and military development programs, and the related recurring production; 3) our ability to accurately estimate and manage performance, cost, and revenue under our contracts, including our ability to achieve certain cost reductions with respect to the B787 program; 4) margin pressures and the potential for additional forward losses on new and maturing programs; 5) our ability to accommodate, and the cost of accommodating, announced increases in the build rates of certain aircraft; 6) the effect on aircraft demand and build rates of changing customer preferences for business aircraft, including the effect of global economic conditions on the business aircraft market and expanding conflicts or political unrest in the Middle East or Asia; 7) customer cancellations or deferrals as a result of global economic uncertainty or otherwise; 8) the effect of economic conditions in the industries and markets in which we operate in the U.S. and globally and any changes therein, including fluctuations in foreign currency exchange rates; 9) the success and timely execution of key milestones such as the receipt of necessary regulatory approvals, including our ability to obtain in a timely fashion any required regulatory or other third party approvals for the consummation of our announced acquisition of Asco, and customer adherence to their announced schedules; 10) our ability to successfully negotiate, or re-negotiate, future pricing under our supply agreements with Boeing and our other customers; 11) our ability to enter into profitable supply arrangements with additional customers; 12) the ability of all parties to satisfy their performance requirements under existing supply contracts with our two major customers, Boeing and Airbus, and other customers, and the risk of nonpayment by such customers; 13) any adverse impact on Boeing's and Airbus» production of aircraft resulting from cancellations, deferrals, or reduced orders by their customers or from labor disputes, domestic or international hostilities, or acts of terrorism; 14) any adverse impact on the demand for air travel or our operations from the outbreak of diseases or epidemic or pandemic outbreaks; 15) our ability to avoid or recover from cyber-based or other security attacks, information technology failures, or other disruptions; 16) returns on pension plan assets and the impact of future discount rate changes on pension obligations; 17) our ability to borrow additional funds or refinance debt, including our ability to obtain the debt to finance the purchase price for our announced acquisition of Asco on favorable terms or at all; 18) competition from commercial aerospace original equipment manufacturers and other aerostructures suppliers; 19) the effect of governmental laws, such as U.S. export control laws and U.S. and foreign anti-bribery laws such as the Foreign Corrupt Practices Act and the United Kingdom Bribery Act, and environmental laws and agency regulations, both in the U.S. and abroad; 20) the effect of changes in tax law, such as the effect of The Tax Cuts and Jobs Act (the «TCJA») that was enacted on December 22, 2017, and changes to the interpretations of or guidance related thereto, and the Company's ability to accurately calculate and estimate the effect of such changes; 21) any reduction in our credit ratings; 22) our dependence on our suppliers, as well as the cost and availability of raw materials and purchased components; 23) our ability to recruit and retain a critical mass of highly - skilled employees and our relationships with the unions representing many of our employees; 24) spending by the U.S. and other governments on defense; 25) the possibility that our cash flows and our credit facility may not be adequate for our additional capital needs or for payment of interest on, and principal of, our indebtedness; 26) our exposure under our revolving credit facility to higher interest payments should interest rates increase substantially; 27) the effectiveness of any interest rate hedging programs; 28) the effectiveness of our internal control over financial reporting; 29) the outcome or impact of ongoing or future litigation, claims, and regulatory actions; 30) exposure to potential product liability and warranty claims; 31) our ability to effectively assess, manage and integrate acquisitions that we pursue, including our ability to successfully integrate the Asco business and generate synergies and other cost savings; 32) our ability to consummate our announced acquisition of Asco in a timely matter while avoiding any unexpected costs, charges, expenses, adverse changes to business relationships and other business disruptions for ourselves and Asco as a result of the acquisition; 33) our ability to continue selling certain receivables through our supplier financing program; 34) the risks of doing business internationally, including fluctuations in foreign current exchange rates, impositions of tariffs or embargoes, compliance with foreign laws, and domestic and foreign government policies; and 35) our ability to complete the proposed accelerated stock repurchase plan, among other things.
According to the Financial Times, four major creditors filed a petition this month asking the court to pull Mt. Gox out of bankruptcy in order to distribute its bitcoin assets among claimants.
She's the founder and co-chair of the Charles and Lynn Schusterman Family Foundation, which has over $ 2 billion in assets and a major footprint in national education grantmaking, among other things.
In fact asset swaps have been among the major mechanisms by which RMB reserves have accumulated in foreign central banks.
I have always listed reserve accumulation and foreign demand for safe assets among the major factors acting to depress real interest rates.
Keep in mind the goals of diversifying among market segments, which is to reduce the major risks of the major asset classes (stock market risk for stocks and interest rate risk for bonds).
In their September 2010 paper entitled «Hedges and Safe Havens — An Examination of Stocks, Bonds, Oil, Gold and the Dollar», Cetin Ciner, Constantin Gurdgiev and Brian Lucey investigate pairwise hedging and safe haven relationships among these five major assets / asset classes.
The decision follows two years of testing and is among the first attempts to use blockchain to clear a major asset class.
Johnson has committed himself to remaining London mayor until 2016, when his current term ends, but he is very popular among the grass roots of the party and is seen by many as a major electoral asset.
The findings contrast with former Conservative prime minister John Major who is now judged to be a significant electoral asset among Conservative voters.
The overall greatest asset is considered to be John Major, who scores net zero among the general public, although he is +21 among Conservatives supporters.
To determine the optimal asset allocation in retirement, it is also useful to see the spending distribution among major expense categories:
Asset allocation and re-balancing, methods of positioning assets among major investment categories, does not guarantee a profit or protection against a loss.
You can potentially reduce your investment risk and increase your chances of meeting your investment goals by strategically allocating your investments among each of the major asset classes based on your unique financial goals, risk tolerance, and time horizon.
Designed to offer diversification by spreading assets among major categories such as stocks, bonds and cash.
The fund allocates its assets among four major asset classes (commodities, currencies, fixed income and equities).
The percentage distribution of assets in a portfolio among the three major asset classes: cash and equivalents, fixed income and equities.
Canadians can follow US recommendations on how to split the portfolio among the four major asset classes.
Major assets traded in binary options are available along with commodities like coffee sugar and corn among other commodities that you can not find in other brokers.
1 Asset allocation is a method of diversification that positions assets among major investment categories.
The percentage distribution of assets in a portfolio among the three major asset classes: cash and cash equivalents, fixed income and equities.
• Then you'll input what they currently own, and distribute the contents of (mixed) investments (like mutual funds) among the eight major asset classes.
Among Mr. Born's recent significant litigation matters are representation of various European entities in the Holocaust Assets and Forced Labor litigations, representation of a major US petroleum company in defending against efforts to enforce purported foreign judgments in the United States and testimony as an expert witness in a number of proceedings in Swedish, English, US, Japanese and other courts.
A solid life insurance policy accounts for your income, assets, major debts, and future obligations (like sending your kid to college), among other things.
As of now, LAToken is # 1 in terms of capital raised among asset tokenization platforms and is currently finalizing negotiations with 4 major crypto exchanges to list LAT.
The increase of over $ 3000 also come before major changes expected in the system including upcoming CME futures trading expected to launch on December 11th in addition to the upcoming Europe's first Bitcoin mutual fund by Tobam, CBOE bitcoin futures contract, and Galaxy Digital Assets Fund among others.
Major Kmart landlord Malan Realty Investors today announced that its board wants to liquidate all the REIT's assets, including 58 properties with a total GLA of about 5.4 million sq. ft.. The board cited Kmart's bankruptcy filing as among the...
Major Kmart landlord Malan Realty Investors today announced that its board wants to liquidate all the REIT's assets, including 58 properties with a total GLA of about 5.4 million sq. ft.. The board cited Kmart's bankruptcy filing as among the reasons for the move.
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