Sentences with phrase «as the aggregate market»

For those regions, union into larger economic domains, thereby increasing the diversity of goods and services (and of the economic web itself) as well as the aggregate market, may help yield supracritical growth.

Not exact matches

In July, Eli Bartov, a professor at New York University Stern School of Business and two other researchers found that «aggregate opinion» from tweets before earnings announcements could predict earnings surprises as well as market reactions for individual stocks, leading to outperformance of 5 % to 10 % per year.
«The land is worth a hell of a lot more aggregated up as a 22 - acre parcel, and flipping it to some other developer, than it was as 20 separate parcels not on the market,» Redmond said.
Sonnet aims to bring small companies better rates by «aggregating all of our buyers» requests so that we can go to market as a bigger player than they can,» explains Dan Carmel, a Sonnet vice-president.
The fact that declines in the aggregate US stock markets were about 100 times as much as the gains for steel and aluminium companies illustrates that because the steel using sector dwarfs the steel producing sector, the net effect of the tariff policy is to reduce US competitiveness even before considering foreign retaliation.
The bond market, as represented by the Barclays Aggregate Bond Fund ETF, acts a little differently.
44 In September 2014, money market rates were soft for several days going into quarter - end, as market participants anticipated that the ON RRP would reach its aggregate capacity on that day.
These three items, when taken together, can serve as the basis for understanding a company's earnings power from both a single customer and aggregate market perspective.
The aggregate sector weights of energy and materials in the MSCI Emerging Markets Index have fallen from approximately 40 % around a decade ago to about 14 % as of October 2017, with the weights of information technology (IT) and consumer companies steadily increasing.
Marriott Vacations Worldwide Corporation (NYSE: VAC)(the «Company») announced today that it intends to offer, subject to market and other conditions, $ 200 million aggregate principal amount of convertible senior notes due 2022 (the «notes») in a private offering to qualified institutional buyers pursuant to Rule 144A under the Securities Act of 1933, as amended (the «Securities Act»).
MBS are a large part of the U.S. bond market, representing about 30 % of the Bloomberg Barclays US Aggregate Bond Index (source: Bloomberg, as of 11/30/2017).
No participant will have the right to purchase shares of our Class A common stock in an amount, when aggregated with purchase rights under all our employee stock purchase plans that are also in effect in the same calendar year, that have a fair market value of more than $ 25,000, determined as of the first day of the applicable purchase period, for each calendar year in which that right is outstanding.
In most cases, brands are not connecting their tools, business processes, analytics, content management or anything else between their social media marketing and their employee advocacy programs — except for campaign coordination, where employees are typically treated as a distinct channel, but analytics are not usually aggregated across channels.
Let's further assume that the Nikkei companies in the aggregate have a net cash balance equal to 30 % of market capitalization and decide to return all the net cash to shareholders as a special dividend, the implied P / E multiple for the Nikkei would drop from 8x to 5x.
Specifically, they calculate an aggregate internal rate of return (dollar - weighted return) that treats funds as time - ordered investor capital flows, with initial fund market value and fund inflows counted as negative flows and fund outflows and ending market value counted as positive flows.
«The possibility that stock value in aggregate can become irrationally high is contrary to the hard - form «efficient market» theory that many of you once learned as gospel from your mistaken professors of yore.
He aggregates monthly sentiment by summing individual articles coded as evoking positive (+1), neutral (0) or negative (− 1) sentiment and assesses the relationship between aggregate sentiment and stock market returns via regressions.
This presents an attractive way for retirees and other income - focused investors to participate in the equity markets as well as boost the aggregate yield of their portfolio.
September 19, 2017 - Marriott Vacations Worldwide Corporation (NYSE: VAC)(the «Company») announced today that it intends to offer, subject to market and other conditions, $ 200 million aggregate principal amount of convertible senior notes due 2022 (the «notes») in a private offering to qualified institutional buyers pursuant to Rule 144A under the Securities Act of 1933, as amended (the «Securities Act»).
The current valuation of the S&P 500 is lofty by almost any measure, both for the aggregate market as well as the median stock: (1) The P / E ratio; (2) the current P / E expansion cycle; (3) EV / Sales; (4) EV / EBITDA; (5) Free Cash Flow yield; (6) Price / Book as well as the ROE and P / B relationship; and compared with the levels of (6) inflation; (7) nominal 10 - year Treasury yields; and (8) real interest rates.
The Value Investing Congress has been posting updates of the first day of the event on Twitter (make sure to follow us as well) and we wanted to aggregate their brief updates into a comprehensive post here on Market Folly.
In their September 2017 paper entitled «Aggregate Implied Volatility Spread and Stock Market Returns», Bing Han and Gang Li test aggregate implied volatility spread as a U.S. stock market return pAggregate Implied Volatility Spread and Stock Market Returns», Bing Han and Gang Li test aggregate implied volatility spread as a U.S. stock market return predMarket Returns», Bing Han and Gang Li test aggregate implied volatility spread as a U.S. stock market return paggregate implied volatility spread as a U.S. stock market return predmarket return predictor.
Investors may want to think about taking a percentage of their U.S. core bond fund exposure and allocating it to a hedged international bond market index fund, such as the iShares Core International Aggregate Bond ETF (IAGG).
a. Promotion of aggressive self - interest, within the structures of market, is considered as normative because of its inherent potential to bring aggregated good.
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While in the developing world it expects tablet penetration rates to remain under a quarter (25 %) in aggregate by 2017, although it expects certain «wealthier Asian markets» — such as Singapore and South Korea — to feature tablets as established, «universal computing tools» by then.
The Android Market will handle all the APKs as a part of a single listing showing the aggregate of ratings, comments and details across the APKs.
On the other hand, the broad U.S. bond market, as measured by the S&P U.S. Aggregate Bond Index, while returning a respectable 3.3 %, failed to keep pace with the rise in cost of future income for any respective target years.
The BMO Discount Bond (ZDB), launched in February, is similar to traditional broad - market bond ETFs, such as the iShares Canadian Universe Bond (XBB), the Vanguard Canadian Aggregate Bond (VAB) and the BMO Aggregate Bond (ZAG).
While the last seven weeks wiped out most of the year's earlier gains in the equity markets, bond returns have been much higher than expected: as of October 17 the Vanguard Canadian Aggregate Bond (VAB) was up 6.81 % this year, according to Morningstar.
Spitznagel observes that the aggregate US stock market has suffered very few sizeable annual losses (which Spitznagel defines as «20 % or more»).
The problem is that although the U.S. bond market is materially different than it was in the 1980s, we still talk about it as if it were the same as the Aggregate Index.
Recent innovations include the S&P 500 ® Bond Index covering corporate bonds issued by the companies in the S&P 500, the S&P U.S. Aggregate Bond Index, as well as indices that track the global developed sovereign, China onshore, Pan Asia, ESG, Indian, and African bond markets.
Investors may want to think about taking a percentage of their U.S. core bond fund exposure and allocating it to a hedged international bond market index fund, such as the iShares Core International Aggregate Bond ETF (IAGG).
RBR Concentration add - on The aggregate issuer net market value as a percent of the account's gross market value (aggregate issuer net market value / gross market value)
Industry concentration add - on The aggregate industry net market value of position (s) as a percent of the account's gross market value (aggregate industry net market value / gross market value)
1 The maximum requirement is determined as the aggregate margin requirement against uncovered option positions on the same side of the market for an individual underlying security.
4) Many indexing portfolios (such as bond aggregates) do not fully reflect the markets they are designed to mimic and result in incomplete and inappropriate index funds.
At the end of November, the index is trading at a yield of 6.8 % compared to developed market debt, proxied by the Barclays Capital Global Aggregate Bond Index, which is offering a scant 1.6 %, also as of the end of November.
And the bond market's performance, as measured by the Bloomberg Barclay's U.S. Aggregate Bond Index, was positive for the quarter with a flatter yield curve and compressed spreads.
For reference, the volatility target is about a third of the historical volatility of the U.S. stock market and roughly the same as the historical volatility of the Barclays Aggregate Bond Index (though in recent years the bond index's volatility has dropped to about 3 %).
Over that year, Standard & Poor's 500 - stock index, a broad measure of the market, soared 32 %, and bond values (as represented by the Barclays Aggregate Bond index) fell 2 %.
Popular metrics of aggregate market valuation, such as Wilshire Total Market Index to U.S. GDP, price to forward earnings ratio, price to book value ratio, price to cash flow ratio, cyclically adjusted price to earnings ratio (CAPE), the ratio of annual forward dividend to price (dividend yield), indicate the U.S. stock market is overvalued by between 10 per cent and 60 permarket valuation, such as Wilshire Total Market Index to U.S. GDP, price to forward earnings ratio, price to book value ratio, price to cash flow ratio, cyclically adjusted price to earnings ratio (CAPE), the ratio of annual forward dividend to price (dividend yield), indicate the U.S. stock market is overvalued by between 10 per cent and 60 perMarket Index to U.S. GDP, price to forward earnings ratio, price to book value ratio, price to cash flow ratio, cyclically adjusted price to earnings ratio (CAPE), the ratio of annual forward dividend to price (dividend yield), indicate the U.S. stock market is overvalued by between 10 per cent and 60 permarket is overvalued by between 10 per cent and 60 per cent.
The major difference in that in aggregate and long - term the stock market goes up as the world economy grows.
They are saying that they see no systemic risk from the problem, which may be correct, so long as the aggregate reduction in housing prices does not cause a cascade of failure in the mortgage market, which I view as unlikely.
Counterparty risk may be lower with synthetic ETFs traded on the AQUA market, as Australian Securities Exchange (ASX) requirements restrict the aggregate money owing under derivatives contracts (counterparty exposure).
He observes that the aggregate US stock market has suffered very few sizeable annual losses (which Spitznagel defines as «20 % or more»).
The Barclays Aggregate Bond Index, as measured by the iShares Core U.S. Bond Market ETF (AGG) which aims to track the Barclays Aggregate Bond Index, has bounced around this year - to - date, with little reward for greater volatility: the index -LSB-...]
These track well - known benchmarks, such as the S&P 500, the Dow industrials, the MSCI EAFE index (stocks in developed foreign markets), the Russell 2000 index (small - company stocks) and Barclays Capital Aggregate Bond index (high - quality U.S. bonds).
(Malkiel appears to use recent history to estimate the dividend growth rate, but other methods also exist such as multiplying the market's aggregate return on equity by its retention ratio, the percentage of earnings that the market does not pay out in dividends.)
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