Most insurers invest entirely in fixed income, so investors almost always look
at returns based on net income excluding changes in comprehensive income (where the impact of the equity portfolio shows up) over equity ecxluding AOCI (unrealized gains / losses).
Not exact matches
At a minimum, we look for a 400 -
basis - point annual excess
return over the public equity markets.
Because when you actually look
at the relationship across sectors, and you look
at their valuations
based on
return on equity, or other measures, all sectors seem to be about fairly valued.
The flights reportedly cost more than usual due to the fact that she flew on jets located
at the Joint
Base Andrews, which sometimes required the crew to fly without passengers to pick up the First Lady or return to the b
Base Andrews, which sometimes required the crew to fly without passengers to pick up the First Lady or
return to the
basebase.
He
returned a year later, graduated, and got a great job
at biotech firm — Amgen —
based in Southern California.
Inflation was higher in 1979 and 1980, topping out
at 13.5 percent, by which time the S&P 500 had long
returned to positive performance, though on an inflation - adjusted
base.
Rad's about - face is
at least the third high - profile
return by an ousted founder this year: Zynga brought back Mark Pincus in April to take over from Canadian Don Mattrick and Twitter replaced Dick Costolo with Jack Dorsey, albeit on an interim
basis.
Both oilsands royalties and corporate income taxes are paid on a net revenue
basis (yes, oilsands royalties are initially paid on gross revenue, but
at a lower rate which applies until cumulative net revenue has provided a small
return on initial capital, so it's basically the same thing).
While in office, he took revenues
at the company from $ 1.2 billion to over $ 47 billion with a total shareholder
return of 1632 %, or 15 % on an annualized
basis.
Make your elevator speech ride with the times Claims of huge
returns and outrageous market grabs aren't credible anymore, say Suzanne Muchin and Rachel Bellow
at ROI Ventures, a social - impact market strategy firm
based in Chicago.
Bank of America Merrill Lynch's sentiment indicator shows that,
at current levels, total
returns could pop 19 percent
based on historical data.
The company reintroduced the drink
at the behest of The Surge Movement, a Millennial - led online fan
base that had spent years lobbying for its
return.
«People who do private - equity investments right are very shrewd and very driven to focus on key issues like investment
return and exit strategies,» says Gary Simon, a partner
at the New York City -
based law firm Jenkens & Gilchrist Parker Chapin.
If you look
at a 10 - year forward
basis, lower interest rates lead to lower equity
returns.
There's quite a bit of research,
based on historical
returns, that finds if you retire
at age 65, you can withdraw 4 % a year (plus inflation adjustments) from your nest egg with only a small risk of outliving your money.
My
returns are
based on full cash purchase of the properties, as it is hard to compare the attractiveness of properties
at different price ranges when only calculating down payment or properties that need very little rehab / updates.
Based on the above example then, if the liquidation preference is 2.0 X, Seed investors are guaranteed 2.0 X times their money back assuming the startup
returns at least $ 500,000 to its shareholders (i.e. 2.0 X the $ 250,000 Seed round size).
Today, some of the nation's biggest retailers use Optoro's cloud -
based system for handling
returns, either
at Optoro's center or
at the retailers» own distribution centers throughout the U.S..
One set of
returns is straightforward: It is
based on prices
at the start of trading in New York
at 9:30 a.m. to the market close
at 4 p.m..
If you're investing for college, age -
based options are designed to give you the best chance
at returns given your risk tolerance and time frame.
«We were no longer in a position to get the kinds of
returns that we wanted,» Steve Mills, senior vice president of software and systems
at Armonk, New York -
based IBM, said in an interview.
Retirees tend to prefer an income -
based strategy, even
at the expense of total
returns.
The project is detailed in the contract as a seven step process — with Kogan's company, GSR, generating an initial seed sample (though it does not specify how large this is here) using «online panels»; analyzing this seed training data using its own «psychometric inventories» to try to determine personality categories; the next step is Kogan's personality quiz app being deployed on Facebook to gather the full dataset from respondents and also to scrape a subset of data from their Facebook friends (here it notes: «upon consent of the respondent, the GS Technology scrapes and retains the respondent's Facebook profile and a quantity of data on that respondent's Facebook friends»); step 4 involves the psychometric data from the seed sample, plus the Facebook profile data and friend data all being run through proprietary modeling algorithms — which the contract specifies are
based on using Facebook likes to predict personality scores, with the stated aim of predicting the «psychological, dispositional and / or attitudinal facets of each Facebook record»; this then generates a series of scores per Facebook profile; step 6 is to match these psychometrically scored profiles with voter record data held by SCL — with the goal of matching (and thus scoring)
at least 2M voter records for targeting voters across the 11 states; the final step is for matched records to be
returned to SCL, which would then be in a position to craft messages to voters
based on their modeled psychometric scores.
Investors are exiting as the U.S. government intensifies its probe of insider trading
at the Stamford, Connecticut -
based firm, once one of the most successful in the hedge - fund industry, with
returns averaging 25 percent since 1992.
Here's a look
at how investors adjust their expectations
based on market conditions that puts some perspective on what realistic investment
returns might be after the type of run equities have had.
Conventional currency has technically been
based on gold or silver, and upon handing over some dollars
at the bank you should have received some gold in
return.
Shares that are properly voted by the Internet or telephone or for which proxy cards are properly executed and
returned will be voted
at the Annual Meeting in accordance with the directions given or, in the absence of directions, will be voted in accordance with the Board's recommendations as follows: «FOR» the election of each of the nominees to the Board named herein; «FOR» the ratification of the appointment of our independent auditors; «FOR» approval, on an advisory
basis, of our executive compensation as described in this Proxy Statement; and «AGAINST» the shareholder proposal.
Having
returned with his family to live in Perth, Tim was employed
at the well established and highly regarded Perth
based funds management firm, Packer & Co, in a business development and client services role.
In these types of ventures, the gross loan portfolio appears large — but consider that the actual net revenue or
return from these businesses is anywhere from a tenth of a
basis point, topping out
at 1 - 2 percent.
Based on the data, it looks like the average taxpayer is backstopping a ton of risk
at this FDIC insured bank and getting very little in
return.
For each fund with
at least a three - year history, Morningstar calculates a Morningstar Ratingä
based on a Morningstar Risk - Adjusted
Return measure that accounts for variation in a fund's monthly performance (including the effects of sales charges, loads, and redemption fees), placing more emphasis on downward variations and rewarding consistent performance.
Index Portfolio 50 is shown
at the fulcrum of the teeter - totter, and the period - specific expected
return can be estimated
based on 50 or 86 years of simulated historical
returns, the Fama / French Five - Factor Model, or any reasonable method an investor chooses.
Aside from acceptable «
basis» risk between the stocks we hold long and the indices we use to hedge, and perhaps 1 % of assets in option time - premium
at any given time as a result of staggering our strikes to provide a stronger defense, we don't consider various speculative bubbles as threats to our own
returns.
Shares that are properly voted via the Internet, mobile device, or by telephone or for which proxy cards are properly executed and
returned will be voted
at the Annual Meeting in accordance with the directions given or, in the absence of directions, will be voted in accordance with the Board's recommendations as follows: «FOR» the election of each of the nominees to the Board named herein; «FOR» the ratification of the appointment of our independent auditors; «FOR» approval, on an advisory
basis, of our executive compensation as described in this Proxy Statement; and «AGAINST» each of the shareholder proposals.
But we tax on a cash
basis for personal
returns so we need to have a corporate income tax to get
at the profits that a corporation has.
Actual results may vary materially from those expressed or implied by forward - looking statements
based on a number of factors, including, without limitation: (1) risks related to the consummation of the Merger, including the risks that (a) the Merger may not be consummated within the anticipated time period, or
at all, (b) the parties may fail to obtain shareholder approval of the Merger Agreement, (c) the parties may fail to secure the termination or expiration of any waiting period applicable under the HSR Act, (d) other conditions to the consummation of the Merger under the Merger Agreement may not be satisfied, (e) all or part of Arby's financing may not become available, and (f) the significant limitations on remedies contained in the Merger Agreement may limit or entirely prevent BWW from specifically enforcing Arby's obligations under the Merger Agreement or recovering damages for any breach by Arby's; (2) the effects that any termination of the Merger Agreement may have on BWW or its business, including the risks that (a) BWW's stock price may decline significantly if the Merger is not completed, (b) the Merger Agreement may be terminated in circumstances requiring BWW to pay Arby's a termination fee of $ 74 million, or (c) the circumstances of the termination, including the possible imposition of a 12 - month tail period during which the termination fee could be payable upon certain subsequent transactions, may have a chilling effect on alternatives to the Merger; (3) the effects that the announcement or pendency of the Merger may have on BWW and its business, including the risks that as a result (a) BWW's business, operating results or stock price may suffer, (b) BWW's current plans and operations may be disrupted, (c) BWW's ability to retain or recruit key employees may be adversely affected, (d) BWW's business relationships (including, customers, franchisees and suppliers) may be adversely affected, or (e) BWW's management's or employees» attention may be diverted from other important matters; (4) the effect of limitations that the Merger Agreement places on BWW's ability to operate its business,
return capital to shareholders or engage in alternative transactions; (5) the nature, cost and outcome of pending and future litigation and other legal proceedings, including any such proceedings related to the Merger and instituted against BWW and others; (6) the risk that the Merger and related transactions may involve unexpected costs, liabilities or delays; (7) other economic, business, competitive, legal, regulatory, and / or tax factors; and (8) other factors described under the heading «Risk Factors» in Part I, Item 1A of BWW's Annual Report on Form 10 - K for the fiscal year ended December 25, 2016, as updated or supplemented by subsequent reports that BWW has filed or files with the SEC.
Bannon left his job as a senior White House adviser in August and
returned to a leadership role
at Breitbart, the right - wing news site
based out of Washington.
«The vast majority of your
return comes from being in the right sector,» says Diana Avigdor, vice-president head of trading and portfolio manager
at Barometer Capital, a Toronto -
based wealth management firm.
Since 2006, the strongest relationship between monetary
base growth and stock market
returns has has been
at the point where weakness in stocks leads growth in the monetary
base by about 8 weeks.
«The stock portfolio is now priced
at 13.7 times normalised earnings [versus 23.4 X for the S&P 500], giving us a 7.3 % earnings yield, which becomes our new
base case
return expectation for a ten to fifteen year horizon.»
The following chart, taken from the paper, relates actual (realized) past
returns to the
returns estimated by survey participants
based on responses to: «Please try to estimate the past performance of your stock portfolio
at your online broker.
Unlike its successful European counterparts, demand for higher risk - adjusted
returns, the existence of retrocession fees and stronger desire to retain control, continue to act as headwinds to grow fee -
based assets,
at a rate that outpaces private banks» robust AUM growth and regional wealth creation.
They compare performances of these groups
based on raw and risk - adjusted trading
returns at the close on the trade date and
at horizons of 1, 10, 25, 140 and 254 trading days.
Market price
returns are
based on the midpoint of the bid / ask spread
at 4:00 pm Eastern Time (when NAV is normally determined), and do not represent the
return you would receive if you traded
at other times.
Finally, if the S&P 500 finishes with a positive gain during December, it will complete the first full calendar year since
at least 1926 without a single down month on a total
return basis — which includes dividends.
Suncor says a «weather - related outage»
at the company's
base camp north of Fort McMurray, Alta., resulted in lower production and upgrader utilization in the first quarter, although operations
returned to normal by the end of February.
The long / short strategy generated excess
returns of 45
basis points per month, 50 % higher than the 31
basis points per month generated by the unconditional quality strategy, despite running
at lower volatility (10.4 % as opposed to 12.2 %).
Last year I wrote on Suven Life Sciences, also I did some secondary level maths to get a sense of
returns an investor could get buying the business
at then market cap (~ 2000 INR Crores or 400 Million USD) and exiting in 2024 See Snap shot below The
base case CAGR didn't excite but reading management commentary compelled me to take a tracking position in model portfolio Over to this year One thing in AR gave me a Jeff Bezos moment For the first time management was sounding optimistic (this is coming from a management which is very conservative on record) Emphasis mine Management views on past Despite having grown the business every single year across the last five years, our business sustainability has been consistently questioned.
The rise in Canada has been a bit more muted —
at about 60 - 70
basis points — says Gulati, because Canadian bonds were offering better
returns to begin with and «the U.S. has more upward room to go.»
U.S. high - yield bond spreads are 34
basis points, or hundredths of a percentage point, tighter; cover spreads are 21
basis points tighter, and emerging - market credit excess
returns are
at 3.6 %.