Wolf Theiss Bucharest and Warsaw, working alongside Radulescu & Musoi, have advised Poland's Credit Value Investments
asset management company on its EUR 12 million investment in Impact Developer & Contractor.
Representing a National Pension Service - funded
asset management company on its acquisition of a retail logistics centre in Germany.
Demands being placed by
asset management companies on Realtors, if they want to continue to receive listings, also appear to be going beyond the scope of marketing the property.
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.»
«U.S. stocks are probably among the more overvalued
companies on a global scale,» says Luc de la Durantaye, managing director of
asset allocation and currency management at CIBC Asset Manage
asset allocation and currency
management at CIBC Asset M
management at CIBC
Asset Manage
Asset ManagementManagement.
«Our other outstanding CEOs, Mary Erdoes (50),
Asset and Wealth
Management, and Doug Petno (52), Commercial Bank, along with our Chief Financial Officer, Marianne Lake (48), took
on expanded roles last year and have played progressively more significant roles partnering across the firm in helping manage the
company,» Dimon said in a statement.
In the opinion of the
Company's management, adjusted book value per share is useful in an analysis of a property casualty company's book value per share as it removes the effect of changing prices on invested assets (i.e., net unrealized investment gains (losses), net of tax), which do not have an equivalent impact on unpaid claims and claim adjustment expense re
Company's
management, adjusted book value per share is useful in an analysis of a property casualty
company's book value per share as it removes the effect of changing prices on invested assets (i.e., net unrealized investment gains (losses), net of tax), which do not have an equivalent impact on unpaid claims and claim adjustment expense re
company's book value per share as it removes the effect of changing prices
on invested
assets (i.e., net unrealized investment gains (losses), net of tax), which do not have an equivalent impact
on unpaid claims and claim adjustment expense reserves.
• Jianpu Technology, an
asset management platform based in Beijing, China, has filed for an IPO of $ 200 million.The
company posted revenue of $ 52.6 million in 2016
on loss of $ 26.9 million.
Monitoring web traffic
on Alexa.com this spring, the quant team at Goldman Sachs
Asset Management noticed a spike in visits to HomeDepot.com (HD) and loaded up
on the home - improvement stock months before the
company increased its outlook and shares surged.
Before Resco, Katie was a managing partner at Etho Capital; an
asset management company focused
on building sustainable ETFs and other investment products.
Canada's seventh - largest — and largest foreign - owned — bank, with more than $ 90 billion in
assets and $ 2 billion in annual revenue, the
company under her watch has become an exemplar of gender diversity, with equal numbers of men and women
on the board and in senior
management.
After that, the
company levies an administrative fee of $ 8 per month per participant, each of whom pays
on average 0.13 percent of
assets per year for both investment -
management and custodial services.
Our other outstanding CEOs, Mary Erdoes (50),
Asset and Wealth
Management, and Doug Petno (52), Commercial Bank, along with our Chief Financial Officer, Marianne Lake (48), took
on expanded roles last year and have played progressively more significant roles partnering across the firm in helping manage the
company.»
Taking
on that kind of debt would be a risk the
company can ill afford amid headwinds in Canada as consumers carry record debt, said Stephen Groff, who helps run $ 6 billion as a portfolio manager at Cambridge Global
Asset Management, a unit of CI Investments Inc..
The following may be true of a potential takeover: • the
company has fewer than 50 million shares outstanding; •
management is dominated by persons near retirement age; •
management's record
on innovations and improving returns has been poor; • the
company owns
assets whose market values are potentially higher than those shown
on the balance sheet; • outside investors have been steadily buying the stock.
Methodology Discovery Data compiled the rankings based
on discretionary and nondiscretionary
assets under
management listed
on SEC Form ADV. To capture independent fee - only planning firms, every effort is made to exclude firms with broker - dealer and insurance
company affiliations and those with substantial outside ownership stakes held by private equity firms and some outside investors.
Highland Capital Brasil Gestora de Recursos («HCB») is an
asset management company which pursues investment opportunities in Emerging Market credit strategies with a primary focus
on Brazilian corporate debt.
I happened to be up working late
on launching the new
asset management company my family is establishing this year and, despite it being 3:46 in the morning, am not quite ready to go to sleep.
Centered
on innovation, the tangible LOFT spaces provide a platform for employees across the
company to collaborate and devise new technological solutions for Manulife's various wealth and
asset management, and insurance business lines.
If you talk to any of the private wealth
management companies, they generally have a minimum threshold of $ 1 million in
assets before they are willing to take you
on.
New Energy Capital Partners, LLC («NEC»), a leading alternative
asset management firm focused
on debt and equity investments in small - and mid-sized clean energy infrastructure projects and
companies, today announced its appointment as sub-advisor to North Sky Capital's Alliance Fund... Continue reading →
New Energy Capital Partners, LLC («NEC»), a leading alternative
asset management firm focused
on debt and equity investments in small - and mid-sized clean energy infrastructure projects and
companies, today announced that it held a final closing for the New Energy... Continue reading →
Brookfield
Asset Management declared that its board has authorized a stock buyback plan
on Sunday, June 4th 2017, which allows the
company to repurchase 82,960,000 shares, according to EventVestor.
The
Company's experienced
management team has assembled an outstanding portfolio of gold, silver and copper exploration
assets, and is focused
on advancing its flagship Diablillos silver - gold property, with an Indicated Mineral Resource containing 80.9 M oz Ag and 732k oz Au, through the various stages of feasibility.
«Tesla's results and Elon's demeanor
on the call definitely rattled investors,» said George Schultze, founder of Schultze
Asset Management, which oversees about $ 100 million and is shorting the
company's stock.
GPB Capital is a New York - based alternative
asset management firm focusing
on acquiring income - producing private
companies.
«Those five
companies are the reason the market had been going up through the end of July — it makes sense that they would also lead the shift
on the downside,» said Bill Mann, who helps oversee $ 1.5 billion at Motley Fool
Asset Management LLC in Alexandria, Virginia.
The
Company's experienced
management team has assembled an outstanding portfolio of gold, silver and copper exploration
assets, and is focused
on advancing its flagship Diablillos, with an indicated resource of 81.3 m oz Ag and 755k oz Au, through the various stages of feasibility..
The
Company's experienced
management team has assembled an outstanding portfolio of gold, silver and copper exploration
assets, and is focused
on expanding and advancing its flagship Diablillos property, with an Indicated Resource of 81.3 m oz Ag and 755k oz Au, through the various stages of feasibility.
The
Company's experienced
management team has assembled an outstanding portfolio of gold, silver and copper exploration
assets, and is focused
on advancing its flagship Diablillos property, with an indicated resource of 81.3 m oz Ag and 755k oz Au, through the various stages of feasibility.
Skilled
Assets is a career
management company that focuses
on career advising and proactive transitioning.
The
Company's experienced
management team has assembled an outstanding portfolio of gold, silver and copper exploration
assets, and is focused
on expanding and advancing its flagship Diablillos property, with an Indicated Resource of 81.3 m oz Ag and 755k oz Au.
The
Company's experienced
management team has assembled an outstanding portfolio of gold, silver and copper exploration
assets, and is focused
on advancing its flagship Diablillos property, with an Indicated resource of 81.3 m oz Ag and 755k oz Au, through the various stages of feasibility.
Investors in the parent
company Brookfield
Asset Management (myself included) were informed
on May 16, 2016 that they would be receiving 1 unit of BBP for every 50 shares of BAM.A — for investors with odd lots, cash dividends would be received in lieu of fractional ownership.
The
Company's experienced
management team has assembled an outstanding portfolio of gold, silver and copper exploration
assets, and is focused
on advancing its flagship Diablillos property through the various stages of feasibility.
Important factors that may affect the
Company's business and operations and that may cause actual results to differ materially from those in the forward - looking statements include, but are not limited to, increased competition; the
Company's ability to maintain, extend and expand its reputation and brand image; the
Company's ability to differentiate its products from other brands; the consolidation of retail customers; the
Company's ability to predict, identify and interpret changes in consumer preferences and demand; the
Company's ability to drive revenue growth in its key product categories, increase its market share, or add products; an impairment of the carrying value of goodwill or other indefinite - lived intangible
assets; volatility in commodity, energy and other input costs; changes in the
Company's
management team or other key personnel; the
Company's inability to realize the anticipated benefits from the
Company's cost savings initiatives; changes in relationships with significant customers and suppliers; execution of the
Company's international expansion strategy; changes in laws and regulations; legal claims or other regulatory enforcement actions; product recalls or product liability claims; unanticipated business disruptions; failure to successfully integrate the
Company; the
Company's ability to complete or realize the benefits from potential and completed acquisitions, alliances, divestitures or joint ventures; economic and political conditions in the nations in which the
Company operates; the volatility of capital markets; increased pension, labor and people - related expenses; volatility in the market value of all or a portion of the derivatives that the
Company uses; exchange rate fluctuations; disruptions in information technology networks and systems; the
Company's inability to protect intellectual property rights; impacts of natural events in the locations in which the
Company or its customers, suppliers or regulators operate; the
Company's indebtedness and ability to pay such indebtedness; the
Company's dividend payments
on its Series A Preferred Stock; tax law changes or interpretations; pricing actions; and other factors.
The Board has concluded that Mr. Nickerson is qualified to serve as a Director because, among other things, he has over 30 years of experience in oil and gas operations, with a focus
on midstream
asset development and
management, a critical element of the
Company's current strategy.
New Energy Capital Partners, LLC («NEC»), a leading alternative
asset management firm focused
on debt and equity investments in small - and mid-sized clean energy infrastructure projects and
companies, today announced that it held a final closing for the New Energy Capital Infrastructure Credit Fund (the «Fund») with total capital commitments of $ 325 million.
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.
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.
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.
A shareholder proposal by John Harrington and Northstar
Asset Management Inc. entitled «Board Committee
on Human Rights» to amend the
Company's bylaws (Proposal No. 8);
Southeastern
Asset Management, which owns 8.5 percent of U.S. computer maker Dell, filed a statement with regulators
on Feb. 8 opposing the $ 24.4 billion buyout proposed by Michael Dell, the
company's founder and chief executive, and private equity firm Silver Lake Partners.
Finally, Royal Bank of Canada lifted their target price
on Brookfield
Asset Management from $ 45.00 to $ 46.00 and gave the
company an «outperform» rating in a report
on Friday, February 16th.
«Western
Asset is actively seeking to bring blockchain projects from the lab environment into production and will continue to work
on applications designed to benefit our clients,» said Penny Morgan, Manager — Global Securities Operations, Western
Asset Management Company.
Revenues rose across the board in retail, wholesale and
asset management and are
on track to meet the
company's full - year estimates.
Unlike most of our typical investment reports which focus
on free cash flow utilization, net
asset value investing, mean reversion of margins or special situations, this report will look at the investment merits of a
company that generates little free cash flow at the moment and is somewhat of a growth investment if
company management is successful in achieving its objectives.
The
company focusses
on asset management and wealth
management and is one hundred percent owned by its partners.
And as the number one fund
company in Canada, our
asset management business continues to build
on its momentum, with Q1 sales accounting for a third of the industry.
The accounting functions include: maintaining balances in the accounts, making sure the
company is compliance with the Securities and Exchange Commission (SEC), provides detailed annual and monthly reports
on profit / loss and fund values, calculate the Net
Asset Value (NAV)
on each fund the
company has, determine the current cash value
on each fund the
company has, and acts as a liaison between investors and internal
management.