Not exact matches
Investors need to be more «forensic» about their
portfolios given
current levels of volatility, Bill Street, head of investments EMEA at State Street
Global Advisors, said.
Prior to his
current role, Mike was a
Portfolio Specialist within the
Global Product and Marketing Group.
During our webcast last month, Brian Hicks,
portfolio manager of our
Global Resources Fund (PSPFX), emphasized the point that the
current price of oil just isn't sustainable:
As central banks move away from ultra-loose monetary policy, and the
global economic expansion matures, bond fund managers will need to ensure their
portfolios draw on a truly diverse range of sources of return and carefully consider
portfolio risk if they are to generate yield in the
current market environment.
The Total Return Bond Fund and the
Global High Income Fund will continue to be managed by their
current portfolio managers, Donald Quigley and Greg Hopper, respectively, along with their teams.
This
portfolio is comparable to the Sleepy Portfolio with one minor difference — the allocation to US / International / Emerging Markets is slightly different, reflecting current global weightings — and one major difference — the Claymore portfolio is tilted towards valu
portfolio is comparable to the Sleepy
Portfolio with one minor difference — the allocation to US / International / Emerging Markets is slightly different, reflecting current global weightings — and one major difference — the Claymore portfolio is tilted towards valu
Portfolio with one minor difference — the allocation to US / International / Emerging Markets is slightly different, reflecting
current global weightings — and one major difference — the Claymore
portfolio is tilted towards valu
portfolio is tilted towards value stocks.
In allocating HMA's
portfolio, Landry selects the top ranked
global asset classes, out of a
current universe of 16; which include in part, Canadian and U.S. equities, emerging market equities, U.S. and Canadian bonds, real estate investment trusts, and gold.
Prior to assuming his
current role in March 2012, Mr. Finocchi was a Senior Manager in
Portfolio Administration responsible for the operations of funds managed by
Global Equity Beta Solutions.
In his
current role as part of the Fixed Income Beta Solutions group, he is responsible for managing several fixed income strategies, funds and ETF's including US Aggregate,
Global Rates / Inflation and Government / Credit
portfolios.
Before assuming her
current role, McGraw was the general patent counsel for Elanco for over five years, managing the
global Intellectual Property
portfolio for Elanco Animal Health, where she gained experience in product life - cycle planning, transactional work, and antitrust issues.
Today, she is responsible for the creative management of the London studio, working across Design Bridge's
portfolio of clients, with a
current focus on some of Unilever's key
global brands.
On this episode of the World Financial Podcast,
Portfolio Manager, Alessio de Longis, of the OppenheimerFunds
Global Allocation and US Dynamic Multifactor strategies rejoins us to help cut through the noise and highlight
current tactical positioning.