To sum up, you could easily lose several
basis points of returns p.a. due to inefficient allocation of capital between the taxable and tax - deferred accounts.
Their time would be better spent on their careers or family rather than in the pursuit of a few more
basis points of returns.
The upside market capture ratio of the S&P 600 to U.S. GDP growth is near 515 versus just 400 for the S&P 500, giving an extra 115
basis points of return on average for every one percent of U.S. GDP growth.
Not exact matches
Trister
points out that the European Union allows workers with five years
of service to stay on a permanent
basis, without having to leave and
return.
The
point of interest here for
returning customers is to have tracking pixels, similar to the Nosto code so that the remarketing networks can target customers
based on the categories and products that they're interested in and, importantly, stop selling to once they've ordered.
From its inception to 31 December 2017, AGG has
returned within 1
basis point of its index, net
of fees *.
These «failures» he added, which were
based off
of an overreliance
of media agencies to reach each platform, will result in reaching a
point of diminishing
returns for marketing effectiveness, all
of which has added pressure on budgets due to the increase
of platforms and
of media costs.
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.
The Barron's article
pointed this out as well, citing London -
based «G+E conomics» head Lena Komileva: «A surplus
of investment funds looking for
returns in low - yield global markets results in a cap on longer - term yields and a flat yield curve.»
There could be more pain in other sectors
of the bond market
based on credit quality and maturity, but the
point is that bonds were never meant to be long - term
return enhancers for your portfolio.
After all, if overall
returns average 3 % to 4 % annually, how can you possibly afford to give 100
basis points of it back?
The earlier
points show the relationship
of the monetary
base and preceding stock market
returns, which have a consistently negative slope estimate.
Notice that the
point where a security seems most enticing on the
basis of realized past
returns is also the
point where the security is least promising on the
basis of expected future
returns.
The study also found that long - term annual
returns of the MSCI KLD 400 Social Index, which comprises firms scoring highly on environmental, social and governance (ESG) criteria, outperformed the S&P 500, a benchmark
of the broader US stock market, by 45
basis points, since its inception in 1990.
Based on recent corporate leverage, this decline in the cost
of debt would increase the typical company's
return on equity by more than four percentage
points.
The Strategic Total
Return Fund continues to hold a portfolio duration
of about 6 years, meaning that a 1 % (100
basis point) change in interest rates would induce a roughly 6 % change in the value
of the Fund.
Strategic Total
Return continues to carry a duration
of about 3.5 years in Treasury securities (meaning that a 100
basis point move in interest rates would be expected to impact the Fund by about 3.5 % on the
basis of bond price fluctuations), and holds about 10 %
of assets in precious metals shares, and about 5 %
of assets in utility shares.
The annual
return drops by average
of 240
basis points for the CAD, AUD, GBP and JPY versions.
The
return of the structured products available on Fidelity.com is measured
based on two
points:
point A (initial or starting index level, which is typically the closing value
of the index on the pricing date) and
point B (final index level, which is typically the closing value
of the index on a date specified in the offering document).
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 %).
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 %.
The long / short strategy
based on the joint quality and value signal generated excess
returns of 61
basis points per month, twice that generated by the quality or value signals alone and a third higher than the market, despite running at a volatility
of only 9.7 %.
Pulling all
of this together, we can look at the range
of 10 - year
returns that could have been projected at any
point in time,
based on various assumptions about the ending P / E ratio.
For now, the Strategic Total
Return Fund continues to carry a limited duration
of about 2 years (meaning that a 100
basis point move in interest rates would be expected to impact the Fund by about 2 % on the
basis of bond price fluctuations), mostly in Treasury Inflation Protected Securities.
CFTC Chairman Timothy Massad defined flash events as occasions on which prices moved by at least 200
basis points within an hour but
returned to within 75
basis points of the starting -LSB-...]
Strategic Total
Return continues to carry a duration
of about 3 years in Treasury securities (meaning a 100
basis point move in interest rates would be expected to impact Fund value by about 3 % on the
basis of bond price fluctuations), with about 10 %
of assets in precious metals shares, and about 5 %
of assets in utility shares.
You make a valid
point there Mr Jonestown but the
point I was trying to make is this, RA ttnds the game on a weekly
basis he invests in the club Ive no doubt that he is get healthy
return in some form or another and perhaps it is way
of writing off certain monies et al..
based on what Iv seen
of the team so far and our co-contenders ability and potential i.e ManCity playing very well, yet to drop a
point even with Kompany and Aguero
returning an added advantage..
Mr. John Mahama is convinced the NDC will «bounce back in 2020, and has said members
of the party must help to strengthen the party's
base to ensure that it
returns to power, a
point Alhaji A.B.A Fuseini agrees with.
The plea was
based on a
point of order raised by the Majority Leader, Senator Ahmad Lawan, on the «recovery,
return or release»
of the abducted Dapchi girls.
The Nottingham experiment was
based on the theory that an area immediately outside the event horizon
of a rotating black hole — a black hole's gravitational
point of no
return — will be dragged round by the rotation and any wave that enters this region, but does not stray past the event horizon, should be deflected and come out with more energy than it carried on the way in — an effect known as superradiance.
Long a sore
point for Peru, which has threatened legal action to recover the bones, jewelry, pottery and other artifacts, the
returned items will become part
of a joint Yale — Peru traveling exhibition
based in the former Inca capital
of Cuzco.
It will be one
of those pieces
of clothing I have, and that I do like, but paid way too much for, and after time, question why I had not
returned it upon receiving, simply
based on price
point.»
Based on the novel The Hunter by Richard Stark (a pen name for Donald Westlake),
Point Blank shuffles the lean, straight - forward story
of a gunman named Walker (Lee Marvin), who is double crossed by his partner in crime and
returns (seemingly from the dead) for revenge, into a surreal, abstracted crime drama.
According to the details shared by users on Reddit, at some
point you will see the description
of the mission change to» [REUNION] CLOAKED IN SILENCE, and Quiet will
return to Mother
Base after completing this mission».
• Connected Search — Use your Nissan Navigation System to search for nearby places and Connected Search will
return Points of Interest results
based on your search term and vehicle's current GPS location.
«Missing or bad records provide an unreliable
basis for trading,» he said,
pointing out they led to slow or incomplete proliferation
of information across the supply chain, poor buying decisions and consequently more
returns and refunds.
If the FTSE index
returns 3 % over a given period, and the value - added target
of the firm is 25
basis points, then the firm is aiming to
return 3.25 % over the same period.
A
basis point (abbreviated as «bps» and sometimes pronounced «bips») is a unit that is equal to 1 / 100th
of 1 %, and is often used instead
of percentages when discussing interest rates, rates
of return, and other percentage -
based performance metrics that can occur as fractions
of a percent.
In a lower
return environment, the true tax deferral benefit
of extending the average holding period
of an investment from 2 years to 5 years — chopping the portfolio turnover rate from 50 % down to 20 % — is actually less than 5
basis points, which can be made up in the blink
of an eye through a lower cost investment change or a mere day's worth
of relative
returns (not to mention weeks, months, or years)!»
The Index's
return was driven mainly by Technology which gained over 10 % and drove 220
basis points (bps)
of the benchmark's 230 bps total
return.
Strategic Dividend Value is hedged at about half the value
of its stock holdings, and Strategic Total
Return continues to hold a duration
of just over 3.5 years (meaning that a 100
basis point move in interest rates would be expected to impact Fund value by about 3.5 % on the
basis of bond price fluctuations), with less than 10 %
of assets in precious metals shares, and about 5 %
of assets in utility shares.
If the investor kept the proceeds in a money market fund with a typical annual yield
of a few
basis points, then the
return through September 30 would be only slightly higher than the +0.502 % calculated above.
This time the four - year annualized
return fell to 0.81 %, resulting in a lag
of just 41
basis points for the Streetwise Balanced Fund.
It is not as if they are to the
point where they have no assets in the plans and must make benefit payments out
of cash flow, but the plans are distinctly underfunded on any
basis that assumes fair investment
returns over the next 30 years, which would be 5 % per year, and not 7 - 9 % per year.
Since the fund's inception, it has recorded an annualized
return of 10.63 % through the end
of last year, beating the benchmark portfolio
of 60 % global stocks and 40 % global bonds by more than 250
basis points a year.
Strategic Total
Return carries a duration
of about 3.5 years, meaning that a 100
basis point move in interest rates would be expected to affect Fund value by about 3.5 % on the
basis of bond price fluctuations, about 10 %
of assets in precious metals shares, and about 5 %
of assets in utility shares.
Mauboussin
points out that most
of the research on historical
returns is
based on «days when the stock market had twice as many companies as it does today,» suggesting that the conclusions drawn could be misguided.
I don't think I'm prepared to double the duration
of my bond holdings to get 20 or 30
basis points more in
return.
Yields
of bonds in the S&P 500 BB High Yield Bond Index have risen 165
basis points since July 1st driving the total
return down by over 5.3 % during that time.