Sentences with phrase «currency investment management»

Prior to joining the ISG team, he was a portfolio manager / analyst in the Product Engineering group supporting the global asset allocation and currency investment management teams.

Not exact matches

Even net of any currency effects European markets have been a bit disappointing in the last year or so,» said Kevin Gardiner, global investment strategist at Rothschild Wealth Management.
«You're definitely seeing the impact of the currency headwinds in the first quarter results, and also the European economies have slowed relative to last year,» said Will Hamlyn, investment analyst at Manulife Asset Management.
Currency management strategies could result in losses to the portfolio if currencies do not perform as the investment manager or sub-advisor expects.
2016.05.16 RBC Global Asset Management Inc. expands product lineup with new currency neutral investment solutions RBC Global Asset Management Inc. expands product lineup with new currency neutral investment solutions...
RBC Global Asset Management Inc. expands product lineup with new currency neutral investment solutions...
You can check the previous posts about What are stocks and how to value them, How does Currency Trading Work, How are Currencies Traded, Investing in Commodities, What Fundamentals Affect Commodity Prices, What are ETF's, What are Options, How are Options» Prices Structured, Investing for Beginners Part 2 — Different Investment Strategies, When does Buy and Hold not Work, An Unconventional Approach to Buy and Hold, An Unconventional Approach to Buy and Hold Part 2, How the Investment Advisor Game is Played, An Introduction Into «Secular Investing», Don't Short When it Comes to Secular Investing, An Introduction into Trend Following, An Introduction into Technical Indicators, When does Trend Following Not Work, Risk Management for Trend Followers, An Introduction to Contrarian Investing, Using Oscillators for Contrarian Investing, Using Magnitude Extreme vs. Time Extreme, Contrarian Investing can be Used for Different Time Frames
If you, your business or family have more than USD5 million (or currency equivalent) of investable assets, we would welcome the opportunity to discuss your bespoke wealth management and investment needs.
He has previously worked for Overlay Asset Management, ABN Amro Asset Management and Fortis Investments as a senior currency manager for a broad range of absolute return, hedge fund and currency overlay mandates.
While the strategy is continually assesses by market and by currency, the rise in U.S. yields is an isolated phenomenon, said Yngve Slyngstad, the chief executive officer of Norges Bank Investment Management.
«Based on the recent developments in the virtual currency industry, we are studying various possibilities, including investments and partnerships with other companies, in order to further strengthen our system and management, but we have not made any decisions at present,» he wrote.
«At RBC Global Asset Management, we continually strive to meet the evolving needs of our clients by providing them with new and innovative investment opportunities,» said Doug Coulter, president of RBC GAM Inc. «Investors and advisors are increasingly looking for well - diversified investment options and we are pleased to leverage our depth of expertise in emerging market currencies with this new fund.»
Jan Dehn, head of research at Ashmore Investment Management, says: «The adoption of a currency basket should allow China to move more quickly to a flexible exchange rate and is entirely consistent with the stated objective of the renminbi's formal inclusion in the SDR.
Jacob Salvador — CFO at Bitspace and Blockchain Specialist Advisorjoins Zerocoin - Crypto Currency for Gambling Jacob is an experienced investment professional with a demonstrated history of working in the asset management, project finance and the private equity industry.
Identify the power and risk management strategies of investing in commodities, futures, foreign currency exchange and other investment alternatives.
He is responsible for advising superannuation and government funds on funds management investment processes, currency management, portfolio construction, investment strategy and manager selection.
Taylor founded FX Concepts, a New York — based investment - management company for foreign exchange assets, including currency overlays, in 1981.
Examples of these risks, uncertainties and other factors include, but are not limited to the impact of: adverse general economic and related factors, such as fluctuating or increasing levels of unemployment, underemployment and the volatility of fuel prices, declines in the securities and real estate markets, and perceptions of these conditions that decrease the level of disposable income of consumers or consumer confidence; adverse events impacting the security of travel, such as terrorist acts, armed conflict and threats thereof, acts of piracy, and other international events; the risks and increased costs associated with operating internationally; our expansion into and investments in new markets; breaches in data security or other disturbances to our information technology and other networks; the spread of epidemics and viral outbreaks; adverse incidents involving cruise ships; changes in fuel prices and / or other cruise operating costs; any impairment of our tradenames or goodwill; our hedging strategies; our inability to obtain adequate insurance coverage; our substantial indebtedness, including the ability to raise additional capital to fund our operations, and to generate the necessary amount of cash to service our existing debt; restrictions in the agreements governing our indebtedness that limit our flexibility in operating our business; the significant portion of our assets pledged as collateral under our existing debt agreements and the ability of our creditors to accelerate the repayment of our indebtedness; volatility and disruptions in the global credit and financial markets, which may adversely affect our ability to borrow and could increase our counterparty credit risks, including those under our credit facilities, derivatives, contingent obligations, insurance contracts and new ship progress payment guarantees; fluctuations in foreign currency exchange rates; overcapacity in key markets or globally; our inability to recruit or retain qualified personnel or the loss of key personnel; future changes relating to how external distribution channels sell and market our cruises; our reliance on third parties to provide hotel management services to certain ships and certain other services; delays in our shipbuilding program and ship repairs, maintenance and refurbishments; future increases in the price of, or major changes or reduction in, commercial airline services; seasonal variations in passenger fare rates and occupancy levels at different times of the year; our ability to keep pace with developments in technology; amendments to our collective bargaining agreements for crew members and other employee relation issues; the continued availability of attractive port destinations; pending or threatened litigation, investigations and enforcement actions; changes involving the tax and environmental regulatory regimes in which we operate; and other factors set forth under «Risk Factors» in our most recently filed Annual Report on Form 10 - K and subsequent filings by the Company with the Securities and Exchange Commission.
International Finance deals in aspects, such as Foreign Direct Investment (FDI), exchange rates of currencies, monetary systems of the world, and other important aspects associated with international financial management.
During the 1990s Luc began to focus on tactical asset allocation and currency management in his position with the investment management division of a large Canadian financial institution.
For investors looking to invest in single country funds, particularly those outside of the DXY, they would be well served to have their own views on currency management and determine if a hedged or unhedged exposure is more appropriate depending on their investment timeframe.
Our investment process leverages the in - depth knowledge of our experienced fixed income teams globally and our approach with dynamic sector rotation, active currency management, security selection and relative value positioning, while aiming to manage risks such as duration.»
The Global Asset Management segment offers investment capabilities and styles across all major traditional and alternative asset classes such as equities, fixed income, currencies, hedge funds, real estate, infrastructure, and private equity that can also be combined into multi-asset strategies.
We offer investment solutions spanning a range of currencies, risk levels and durations to meet our clients» specific operating, reserve and strategic cash management needs.
The investment management services operations have entered into derivative transactions primarily consisting of interest rate, cross currency, credit default and total return swaps and principal protection guarantees.
The investment management services operations and corporate operations enter into OTC derivatives, such as interest rate swaps, currency swaps, credit default swaps and total return swaps, which predominately trade in liquid markets.
Investments in equity - linked notes (ELNs) often have risks similar to their underlying securities, which could include management, market, and, as applicable, foreign securities and currency risks.
«We take an unconstrained investment approach with dynamic sector rotation, active currency management, security selection and relative value positioning, while aiming to manage risks such as duration.»
Derivatives, including currency management strategies, involve costs and can create economic leverage in the portfolio which may result in significant volatility and cause the fund to participate in losses (as well as enable gains) in an amount that exceeds the fund's initial investment.
Derivatives, including currency management strategies, involve costs and can create economic leverage in the portfolio which may result in significant volatility and cause the fund to participate in losses on an amount that exceeds the fund's initial investment.
The long - term success of RIT has been drawn from a distinctive blend of individual stocks, private investments, equity funds and currency positioning, all overlaid with macro exposure management.
Forex market is the largest market that consists of banks, central banks, hedge funds, commercial companies, retail forex brokers, investment management firms and investors where the participants have the power of buying, selling, exchanging and speculating on currencies of different countries.
Chris has three decades of investment management experience in equities, fixed income, currency, and asset allocation.
Hybrids can be used as an efficient means of pursuing a variety of investment goals, including currency hedging, duration management, and increased total return.
However, in the whitepaper «Bitcoin: A Disruptive Currency,» Chris Burniske of ARK Investment Management, which was the first public fund manager to invest in bitcoin, said:
She also performed extensive primary research on bitcoin and emerging digital currency markets while at ARK Investment Management.
Grayscale Investments, the investment management subsidiary of the Barry Silbert - led Digital Currency Group, established the Bitcoin Investment Trust (BIT) in 2013, hoping to provide investors with the opportunity to invest in the digital currency bitcoin without having to purchase and securely store the digital currency tinvestment management subsidiary of the Barry Silbert - led Digital Currency Group, established the Bitcoin Investment Trust (BIT) in 2013, hoping to provide investors with the opportunity to invest in the digital currency bitcoin without having to purchase and securely store the digital currency theCurrency Group, established the Bitcoin Investment Trust (BIT) in 2013, hoping to provide investors with the opportunity to invest in the digital currency bitcoin without having to purchase and securely store the digital currency tInvestment Trust (BIT) in 2013, hoping to provide investors with the opportunity to invest in the digital currency bitcoin without having to purchase and securely store the digital currency thecurrency bitcoin without having to purchase and securely store the digital currency thecurrency themselves.
As the realisation of the systemic weakness of fiat currencies becomes apparent contrasted with the groundswell of cryptocurrency, the executive committee of central banks, including governors, presidents and chairpersons - will call emergency meetings to exercise their prerogative to deviate from the current investment policy for reserves management.
In March 2017, CNBC Fast Money commentator and portfolio manager Brian Kelly launched his own digital currency investment fund called Brian Kelly Capital Management.
While across the pond in the U.S., wealth management giant Fidelity Investments is planning on enabling its clients to view the prices of digital currencies such as bitcoin, ether and litecoin on its platform.
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«My interest in the cryptocurrency space has spanned several years, and in that time I've found Dash to be one of the most promising projects in the space... Dash's (from Dash Core Group) unique decentralized governance and treasury model has positioned it to be a dominant force in the cryptocurrency space, and I fully believe within the next decade it will become the primary digital currency for payments at retailers globally «said Glenn Austin, a former vice president of Morgan Stanley Investment Management (MSIM),
Non-resident Indians have usually attracted to invest in real estate sector as the easy laws for investments and currency exchange rate by non-resident Indians under Foreign Exchange Management Act.
Currency is quite often the first consideration of suitability of any Investment and Property Management system.
Wells Fargo provides consumer, investment and corporate banking, credit cards, financial services, foreign currency exchange, private banking and equity, wealth management and mortgages.
Such factors include, but are not limited to: the Company's ability to meet debt service requirements, the availability and terms of financing, changes in the Company's credit rating, changes in market rates of interest and foreign exchange rates for foreign currencies, changes in value of investments in foreign entities, the ability to hedge interest rate risk, risks associated with the acquisition, development, expansion, leasing and management of properties, general risks related to retail real estate, the liquidity of real estate investments, environmental liabilities, international, national, regional and local economic climates, changes in market rental rates, trends in the retail industry, relationships with anchor tenants, the inability to collect rent due to the bankruptcy or insolvency of tenants or otherwise, risks relating to joint venture properties, costs of common area maintenance, competitive market forces, risks related to international activities, insurance costs and coverage, terrorist activities, changes in economic and market conditions and maintenance of our status as a real estate investment trust.
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