Not exact matches
In most cases, these answers — which Google selects from the billions of pages it scans and
indexes every day,
based on how many people have
shared them — are uncontroversial, like the answer to «When is Mother's Day?»
The Deloitte Biotech
Index is based upon 47 shares listed on the ASX includes eight WA companies which have a combined index weighting of 2.32 per
Index is
based upon 47
shares listed on the ASX includes eight WA companies which have a combined
index weighting of 2.32 per
index weighting of 2.32 per cent.
Shares of the Cupertino, California -
based company have slumped 23 percent this year, compared with a 13 percent gain for the Standard & Poor's 500
Index.
An indexation allowance may be available to such a holder to give an additional deduction
based on the indexation of its
base cost in the
shares by reference to U.K. retail price inflation over its holding period (but note that, in respect of disposals on or after 1 January 2018, the U.K. Government announced plans in the Autumn Budget 2017 to freeze indexation allowance at the amount that would be due
based on the retail price
index for December 2017).
OptionFair have binary options
based on
shares,
indices, currency pairs, and commodities.
Ten million randomly picked portfolios performed better over four decades, once the risk taken was considered, than an
index based on the size of the companies included on it, which is how tracker funds select
shares.»
Its
base case for US stocks — also tempered — calls for 1 % average annualized earnings - per -
share growth in the Standard & Poor's 500
Index, the broad benchmark of the US market.
A favorite strategy that has been deployed successfully by many investors to trade
indices utilizing binary options entails hedging an option
based on the
shares of a chosen firm against another whose underlying asset is the
index that includes that company.
The Russell 2000 Growth
Index is a subset
based of stocks selected
based on a «probability» of growth as measured by their Institutional Brokers» Estimate System (I / B / E / S) forecast of medium - term growth (2 year), and sales per
share historical growth (5 year).
Recently, Global X filed with the SEC (source) to launch a Social Media ETF which will be
based on the The Solactive Social Media
Index which is representative of business ventures involved social networking, file
sharing, and other online media applications.
Starboard Value believes that
shares at its current price are «deeply undervalued» given
shares have under - performed the Russell 2000
index by three percent, 12 percent and 28 percent on a one - year, three - year and five - year
basis, respectively.
• Standard & Poor's «Composite
Index,» introduced in 1923, is
based on market capitalization (stock price times the number of
shares outstanding) of 500 of the world's largest companies.
The Economic
Index, which determines each county's
share of the total Local Fund Assignment, is
based on a complex formula conceived in 1949 when the Foundation Program was instituted.
The S&P China A
Share Dividend Opportunities
Index seeks to offer a transparent, rules -
based, diversified, and tradable strategy for investors looking for exposure to China's growth via dividends.
The move effectively makes Fidelity's
index funds less expensive than Vanguard's funds,
based on my analysis of expense ratios detailed on each asset manager's website, though pricing differs by
share class.
S&P
indexes are
based on float - adjusted market capitalization, which includes only
shares traded on the exchange.
So although panic selling can disrupt the order book, especially during periods of illiquidity, with the current structure «the stock market» being
based off of three composite
indexes, can never crash, because there will always exist a company that is not exposed to broad market fluctuations and will be performing better by fundamentals and
share price.
Since the Fund's launch in 1989, investors have doubled their money every 10 years, no matter when they bought the fund... The fund has outperformed global equities with 1/3 less risk [
based on annualized standard deviation of monthly returns for Institutional
shares from 2/28/89 to 12/31/13, compared to the FTSE World
Index].
I held 150
shares of iShares MSCI EAFE
Index Fund (EFA) in my RRSP account and wanted to switch to the Vanguard Europe Pacific Fund (VEA), which is 20
basis points cheaper.
The investment performance of the iShares ® Dow Jones U.S. Real Estate
Index Segment is
based only on the closing
share price of the
Index Fund.
The Fund's performance may not match or correlate to that of its
Index, either on a daily or aggregate
basis due to factors such as Fund expenses, imperfect correlation, rounding of
share prices, changes to the composition of the
Index, regulatory policies, high portfolio turnover and the use of leverage (if any).
The performance of CIBC's Market Linked GICs is directly related to the performance of a group of
shares, funds or a broad -
based index.
One of the most traded Binary Options are those which are
based on
Indices, there are many Stock Exchanges around the world, and when you place a trade on this type of Binary Option you will be predicting whether you think the value of their top traded stocks and
shares that make up any particular Stock Exchange is going to be higher or lower than it was when you placed your trade over a set period of time.
The chart above shows the annualised inflation - adjusted
index returns for Australian
shares, fixed interest, and cash on a pre-tax
basis, together with how those returns changed with the impact of taxes for two different types of taxpayers; superannuation funds (in accumulation mode) and an individual on the highest marginal tax rate (MTR).
You can calculate this
based on historical data, though it would be quite time consuming as you have to cover not only the FTSE - 100
shares, but all the additional
shares in the all -
share index.
The Emerging Markets Stock
Index Fund will be the first broad - based market - cap - weighted index fund to include both all - cap exposure and China A - shares.2 The changes will move the fund closer to market - cap weightings and provide investors with more complete and diversified exposure to a key emerging economy and the second - largest stock market in the world by market
Index Fund will be the first broad -
based market - cap - weighted
index fund to include both all - cap exposure and China A - shares.2 The changes will move the fund closer to market - cap weightings and provide investors with more complete and diversified exposure to a key emerging economy and the second - largest stock market in the world by market
index fund to include both all - cap exposure and China A -
shares.2 The changes will move the fund closer to market - cap weightings and provide investors with more complete and diversified exposure to a key emerging economy and the second - largest stock market in the world by market cap.3
The S&P China 500
Index is one of the only broad -
based indexes offering exposure to all Chinese equity
share classes, listed both in Mainland China and internationally.
The Gen - 1 Value simulation is
based on the Russell 1000 Value
Index methodology to select stocks from the parent universe according to a composite value score calculated using B / P, five - year sales per
share growth, and two - year earnings per
share growth.
Furthermore,
index funds that use heuristics (using a subset of stocks to mimic an
index) create more imbalance as
share price movements are magnified or demagnified
based on the relationship between the subset and the true
index.
A structured product is a promise by a company to pay you a return that is usually
based on the movement in the value of reference assets such as a
share index, security or other asset.
To be eligible for inclusion in the
index, a company must currently be included in the Dow Jones U.S. Index and also generate at least 50 % of its annual sales / revenues from the Internet.Stocks are selected to the index based on their rankings by float - adjusted market capitalization and then by share vo
index, a company must currently be included in the Dow Jones U.S.
Index and also generate at least 50 % of its annual sales / revenues from the Internet.Stocks are selected to the index based on their rankings by float - adjusted market capitalization and then by share vo
Index and also generate at least 50 % of its annual sales / revenues from the Internet.Stocks are selected to the
index based on their rankings by float - adjusted market capitalization and then by share vo
index based on their rankings by float - adjusted market capitalization and then by
share volume.
The Dow Jones
index is composed of stocks that have «consistently paid dividends» and the weights in the
index is
based on their proportionate dividend - per -
share.
From there it is sent automatically to Vanguard where it buys fund
shares based on my asset allocation — how much I wanted to set aside in each type of
index fund.
To investigate, we relate the return series of three exchange - traded funds: (1) the futures -
based PowerShares DB US Dollar
Index Bullish (UUP); (2) the spot -
based SPDR Gold
Shares (GLD); and, (3) the spot -
based United States Oil (USO).
I was going to sell my few
shares in Roper Ind and put it towards a TSX
based index fund with ScotiaCapital.
The Underlying
Index, created by Dhandho, utilizes a proprietary, rules -
based methodology to select approximately 100 U.S. equity securities, master limited partnerships («MLPs») and American depositary receipts listed on the NYSE, NYSE Arca and the NASDAQ Stock Market from three categories of issuers:
Share Buybacks, Select Value Manager Holdings, and Spin - Offs.
Security futures contract — a legally binding agreement between two parties to purchase or sell in the future a specific quantify of
shares of a security (such as common stock, an exchange - traded fund, or ADR) or a narrow -
based security
index, at a specified price.
However, the rising popularity of ETFs have boosted the
share of assets in passive or
index -
based investments.
Financial Spreads,
based in London, offers spread betting and trading in CFDs on forex, stock
indices, commodities, and
shares of companies listed in the UK, the US, and Europe.
While Dimensional funds are easily parsed into
index categories
based on geography, market - cap size and value / growth dimensions, there are other rules that drive the decision to invest in one company at a given time — none of which are
based on short term forecasts or speculation, and all of which are
based on those pre-determined rules of construction, including the firm's willingness to assess how badly a seller needs to part with their
shares, and the seller's desire to sell the lot quickly, and at a discount.
The Omaha, Nebraska -
based company had long been excluded from the
index because its
shares were not liquid enough.
In practice,
index funds are
based on market capitalizations and
share pricing, so dilution or repurchase effects are largely irrelevant within that valuation scheme (however, it would be interesting to see a mutual fund invest in all companies of an
index at a fixed, flat ownership position over all companies over time).
The investment performance of the iShares ® MSCI EAFE ETF Segment is
based only on the closing
share price of the
Index Fund and the Segment does not include dividends declared by the
Index Fund.
I agree that market forces can affect the price of
shares vs. the underlying asset value; it's interesting however that all except one of the ETFs is LOWER than the expect NAV
based on the
index performance.
If «equity» is defined as the human right to sustainable development, then only two approaches to a global fair -
shares reference framework — cumulative per - capita budget
sharing and «responsibility and capacity
index»
based effort
sharing — are at all promising, and the BASIC paper clearly moves these two approaches forward.
As with every country, the EU's mitigation obligations under the GDRs framework are calculated as a
share of the global mitigation requirement,
based on a combined indicator of its responsibility and capacity — a Responsibility and Capacity
Index.
It's basic approach, which is to calculate a Responsibility and Capacity
Index for all countries and to apply that index within an effort - sharing framework, is the basis of the Climate Equity Reference Calculator and the Climate Equity Pledge Score
Index for all countries and to apply that
index within an effort - sharing framework, is the basis of the Climate Equity Reference Calculator and the Climate Equity Pledge Score
index within an effort -
sharing framework, is the
basis of the Climate Equity Reference Calculator and the Climate Equity Pledge Scorecard.
Nationwide Bailard Cognitive Value Fund, Nationwide Bailard International Equities Fund, Nationwide Bailard Technology & Science Fund, Nationwide Geneva Mid Cap Growth Fund, Nationwide Loomis Core Bond Fund, Nationwide California Intermediate Tax Free Bond Fund, Nationwide Large Cap Equity Fund, Nationwide National Intermediate Tax Free Bond Fund, Nationwide WCM Focused Small Cap Fund, Nationwide Ziegler Equity Income Fund, Nationwide Ziegler NYSE Arca Tech 100
Index Fund and Nationwide Ziegler Wisconsin Tax Exempt Fund Class A performance prior to each Fund's inception (9/16/13) is
based on performance of Class A
shares of each Fund's predecessor fund.
Several pioneering funds like MOSt
Shares M50, the first primarily weighted ETF (Exchange Traded Fund)
basis S&P CNX Nifty
Index, are being offered by Motilal Oswal.
Stocks reclaimed ~ 40 % of last week's losses in a broad -
based rally led by technology and financial
shares; the Dow's 670 - point rally was the third - best all - time point increase for the popular benchmark
index.