Sentences with phrase «credit quality assets»

By maintaining maniacal focus on our category, and delivering the best possible experience for our members, we've been able to consistently provide investors with superior credit quality assets.
Currently, our debt portfolio is invested in the highest credit quality assets encompassing securities issued by AAA rated companies and Government of India securities.

Not exact matches

QE could potentially destabilize the financial system as it reduces the aggregate credit quality of the outstanding financial assets and also reduces the income that services those financial assets.
The NAV (net asset value) of a bond fund will move up or down based on a number of factors such as changes in interest rates, credit quality, and currency values (for international bonds) for the different bond holdings in the fund.
In its October review, the agency said the NPLs — comprising corporate, interbank and private loans — and the banking sector's «exceptionally weak asset quality [are] a key weakness for Cyprus's credit profile and [represent a] material downside risk to the recovery.»
Rising U.S. debt supply and the pace of the U.S. Federal Reserve's tightening, the possibility the European Central Bank's quantitative easing program is heading towards the finish line, and concerns about the credit quality of riskier asset classes restrained investors.
Credit qualities are shown as a percentage of the fund's net assets.
The new trends of worsening credit quality and central bank asset sales are important for investors because they speak to the most appropriate asset allocation for where we are in this market cycle and the world's rising political risks.
Most of the assets purchased have been UK government securities (gilts), but the Bank has also purchased small quantities of high - quality private sector assets in order to support the flow of corporate credit.
Investors and fund managers search for yield, extend maturities, reach for lower credit quality and shift assets from short term floating rate money market funds to bonds, bond funds and similar investments.
Credit qualities are shown as a percentage of net assets.
As always, this depends on the type of loan, the quality and value of the asset and the borrower's credit score and history.
Start with the asset mix of stocks, bonds, and cash and differentiate among company size, style, credit quality or several other criteria within these classes.
Now, Aggbank shares are a high quality asset, given that it is a «full faith and credit» institution of the US Government.
I would add in other asset classes as well: credit default, emerging markets, junk bonds, low - quality stocks, the toxic waste of Asset - and Mortgage - backed securities, and private eqasset classes as well: credit default, emerging markets, junk bonds, low - quality stocks, the toxic waste of Asset - and Mortgage - backed securities, and private eqAsset - and Mortgage - backed securities, and private equity.
The former is access to credit, while the latter is excess high quality assets that are readily salable.
Unlike wild risk takers investing in subprime mortgages — low - quality loans to borrowers with iffy credit — Thornburg stuck to high - quality assets.
In the credit markets, U.S. municipal bonds tracked in the S&P Municipal Bond Index have returned over 1.5 % in June as the diversity, yield, historical stability and quality of the municipal bond market has made it a «risk off» destination asset class.
These assets comprise high quality securities with an average credit quality rating of double - A.
The Federal Reserve Board announces the creation of the Asset - Backed Commercial Paper Money Market Mutual Fund Liquidity Facility (AMLF) to extend non-recourse loans at the primary credit rate to U.S. depository institutions and bank holding companies to finance their purchase of high - quality asset - backed commercial paper from money market mutual fAsset - Backed Commercial Paper Money Market Mutual Fund Liquidity Facility (AMLF) to extend non-recourse loans at the primary credit rate to U.S. depository institutions and bank holding companies to finance their purchase of high - quality asset - backed commercial paper from money market mutual fasset - backed commercial paper from money market mutual funds.
The basis point change presented in the preceding table, however, represents a fixed basis point change in reference obligation credit spreads across all credit quality rating categories and asset classes and, therefore, the actual impact of spread changes would vary from this presentation depending on the credit rating and distribution across asset classes, both of which will adjust over time depending on new business written and runoff of the existing portfolio.
Credit qualities are shown as a percentage of the fund's net assets.
Vanguard's VSG has a similar duration, but higher credit quality and exposure to federal government issued debt than to its two closest rivals, First Asset's FGB and iShares» CLF, Kletz says.
The fund seeks to provide total return through a combination of current income and capital appreciation by investing at least 80 % of its net assets in bonds and investments that provide exposure to bonds, including global debt obligations of any credit quality, maturity or duration, and derivatives.
The use of credit default swaps («CDS») may not always be successful and payments made by the Fund pursuant to a CDS will tend to lower returns if the reference asset's credit quality remains steady or improves.
Credit Default Swap Risk: The use of credit default swaps («CDS») may not always be successful and payments made by the Fund pursuant to a CDS will tend to lower returns if the reference asset's credit quality remains steady or impCredit Default Swap Risk: The use of credit default swaps («CDS») may not always be successful and payments made by the Fund pursuant to a CDS will tend to lower returns if the reference asset's credit quality remains steady or impcredit default swaps («CDS») may not always be successful and payments made by the Fund pursuant to a CDS will tend to lower returns if the reference asset's credit quality remains steady or impcredit quality remains steady or improves.
5) Managers that ignored credit quality have gotten killed, or at least, their asset under management are much reduced.
This led the Committee to direct the management of the Central Bank of Nigeria (the «CBN») to work with Nigerian Banks to promptly address rising non-performing loans, declining asset quality, credit concentration and high foreign exchange exposures.
It continues: «In publicly - available data reviewed by the panel, the 19 tress - tested [bank holding companies] have reported: $ 657.5 billion in Level 3 [poorest quality] assets... [and] $ 8.9 trillion in credit default sub-investment grade exposure.»
Chief Executive and Managing Director of ICICI Bank, Chanda Kocchar, gave credit to the asset quality review by Central Bank following instructions, which resulted in 60 % growth in company's gross NPA.
It lets clients buy, manage, optimize, and view analytics about campaigns pay via US credit card rather than credit line, spend as little as they want with no minimum, buy via auction with prices set by the market, utilize all of Snapchat's ad formats and targeting capabilities, manage ad creative assets within the tool, and have ads reviewed by Snap for quality before they appear.
Prince said, «We believe that the digital and global nature of crypto assets is one of their most valuable qualities, and [we] see an opportunity to offer access to low - cost credit in markets where it historically hasn't been available.
Tags for this Online Resume: Asset Liability Management, Audit, Business Requirements, Credit Card, Documentation, Quality, Quality Assurance, Quality Center, Test, Test Coordination
Loan sizes ranged from $ 50M to $ 2.5 B. • Recommended strategies to maintain credit quality and compliance and strengthened asset quality via loan structuring, asset sales, acquisitions and workouts.
Prepared succinct written analyses on asset quality, loan and credit administration deficiencies and emerging trends to be included in the Report of Examination.
Handled credit quality by supervising loan portfolio monitoring to ensure timely recognition and management of changes in asset quality and collateral.
Our portfolio is mainly comprised of multi-tenant, Class A office properties located in dense, urban areas or central business districts, mixed - use retail or grocery - anchored centers in high barrier - to - entry locations featuring credit - quality anchors, as well as Class A multifamily properties, including student housing assets, strategically positioned in our target markets and in high - demand locations.
Already successfully used in Europe and Canada, covered bonds allow banks to raise funds by issuing pools of high quality assets as eligible collateral to investors, enabling these financial institutions to extend vital credit to businesses.
Investor demand for newly constructed properties is particularly high, as these assets typically feature long - term leases, strong credit tenants and high - quality construction.
We focus on credit underwriting and trying to get the best - quality assets
The credit crisis cemented the theory that higher quality assets tend to withstand difficult economic conditions better than lower quality assets.
«High - quality assets are generally less susceptible to the various stages of the office real estate cycle, require less capital commitments to maintain higher occupancy levels and attract higher credit quality tenants.»
At his previous firms, he performed credit analysis assisting loan officers with underwriting property and borrower information for loan submissions, serviced commercial loans providing assumptions and modifications for the commercial portfolio, worked out problem assets and provided asset reviews to classify loans in order to assess portfolio quality.
Florian Geistmann, GLL acquisition team: «We are convinced that the assets represent a sustainable investment due to their quality, the strategically important logistics locations and their long - term rental to a user with the highest credit ratings.
Capitalization rates have risen between 50 and 200 basis points over the past year and range from 7 % to 9 % - plus, depending on the tenant's credit quality, the asset and location.
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