Not exact matches
He said the fund will
invest to a lesser extent in the
equity of crypto -
related startups.
Under normal market conditions, the fund
invests primarily in a diversified portfolio of
equity and
equity -
related securities of companies of all sizes.
The performance goals upon which the payment or vesting of any Incentive Award (other than Options and stock appreciation rights) that is intended to qualify as Performance - Based Compensation depends shall
relate to one or more of the following Performance Measures: market price of Capital Stock, earnings per share of Capital Stock, income, net income or profit (before or after taxes), economic profit, operating income, operating margin, profit margin, gross margins, return on
equity or stockholder
equity, total shareholder return, market capitalization, enterprise value, cash flow (including but not limited to operating cash flow and free cash flow), cash position, return on assets or net assets, return on capital, return on
invested
RCG Longview
invests in private real estate -
related debt and
equity opportunities.
Our team consists of investment professionals with expertise across a broad range of disciplines — distressed securities and assets, control and non-control private
equity investing, commercial mid-market lending and real estate -
related investments.
Why face the economic, political, and currency -
related risks of
investing internationally when information on domestically based
equities seems far more transparent, U.S. markets more liquid, and the U.S. bull market still energetic?
The Fund
invests mainly in
equity and
equity -
related securities of companies around the world, including emerging markets.
Once you make an
equity investment, EquityMultiple charges a small annual fee — typically 0.5 % of the total amount
invested — that is paid periodically to cover ongoing investor reporting, tax preparation and communications
relating to the investment.
Taking a look at
equity as it
relates to home ownership, it's the value an individual has
invested in his or her home.
Carlyle Group LP primarily engages in private
equity investment management and financing services and
invests directly and indirectly in private
equity related instruments on behalf of its clients.
To provide superior long - term investment returns by
investing in a diversified portfolio of Canadian common shares, convertible debentures and other
equity related securities.
The QFOP program includes training in many diverse areas
related to
investing capital for the ultra-affluent, including financial modeling & analysis, hedge funds, private
equity, and investment banking.
Mr. Moysiuk built and led the senior team responsible for a portfolio that grew to approximately $ 2 billion, $ 1 billion of which was executed in direct investments, with the remainder
invested in specialty partnerships and joint ventures with differentiated private
equity and
related strategies.
Mr. Moysiuk built and led the senior team responsible for investments of approximately $ 4 billion, $ 1 billion of which was executed in direct investments, with the remainder
invested in specialty partnerships and joint ventures with differentiated private
equity and
related strategies.
The key facets of Asset Allocation,
Equity Investing, Key Driver (s) of Stock Market, Risks involved, and Value
Investing Dynamics were impeccably explained to make one and all
relate with it.
To provide investors with a source of monthly income, with the potential for long - term growth through capital appreciation and growth in dividends by
investing primarily in common shares, convertible debentures and other
equity related securities of U.S. issuers.
Although at present the overwhelming majority of holdings are currently
invested in Islamic bonds,
equities and real estate investment trusts (REITs), the new standard is now expected to open up a massive new source of demand for gold -
related products.
CHINA MONEY NETWORK - Feb 28 - China's biggest online dating platform Baihe.com plans to establish an investment fund with private
equity firm JD Capital to
invest in wedding service and wedding
related companies to push for industry consolidation via mergers and acquisitions.
(In this option the scheme can
invest in 65 % to 100 % of its funds in
Equity related securities).
Related investing themes: Canada
Equity Funds, Canada Funds, North America Funds, Muni National Bond Funds.
70 to 95 % of the scheme's funds are
invested in debt and money market securities while the residual 5 — 30 % in
equity /
equity related instruments.
Equity — The price of equity or equity - related securities will fluctuate and can decline and reduce the value of a portfolio investing in these secur
Equity — The price of
equity or equity - related securities will fluctuate and can decline and reduce the value of a portfolio investing in these secur
equity or
equity - related securities will fluctuate and can decline and reduce the value of a portfolio investing in these secur
equity -
related securities will fluctuate and can decline and reduce the value of a portfolio
investing in these securities.
ELSS is diversified
equity mutual fund scheme which
invests in
equity and
equity -
related products.
If the fund collects INR 100, it
invests INR 80 in fixed - income securities and INR 20 in
equities or
equity related instruments.
ELSS is diversified
equity funds that
invest a majority of the corpus in
equities and
related securities.
Related investing themes:
Equity Funds, Growth
Equity Funds, Small - Cap
Equity Funds, Health & Biotech
Equity Funds, International
Equity Funds.
Arbitrage funds — These schemes as the name suggests follows arbitrage strategy and
invests atleast 65 % of total assets in
equity related instruments.
The secondary objective of the Scheme is to generate long - term capital appreciation by
investing a portion of the Scheme «s assets in
equity and
equity related instruments.
The investment objective of the scheme is to generate capital appreciation and income by predominantly
investing in arbitrage opportunities in the cash and derivatives segment of the
equity market, and enhance returns with a moderate exposure in
equity &
equity related instruments.There is no assurance or guarantee that the investment objective of the scheme will be achieved.
The investment objective of the Scheme is to achieve long term capital appreciation by primarily
investing in a maximum of 35
equity &
equity related instruments across sectors and marketcapitalization levels.
Typically an
equity oriented balanced fund
invests around 20 to 30 % of fund corpus in Debt
related securities.
Three years is a very short period to
invest in
equity related instruments.
The Scheme seeks to provide long term capital appreciation by
investing in a portfolio that is predominantly constituted of
equity and
equity related instruments of infrastructure companies.
More over, I can earn 1 lac per month and I'm
investing 40 % (Rs. 40000) of my monthly income into
Equity related Mutual Funds since January, 2016 and I am not sure what to do with the remaining 40 % amount (after deducting my household expenditure).
It is highly advisable not to
invest in
equity /
equity related funds to achieve your target amount.
Industrial funds seek capital appreciation by
investing in
equity securities of U.S. or non-U.S. companies that are engaged in services
related to cyclical industries.
NexPoint Real Estate Strategies Fund seeks long - term total return, with an emphasis on current income, by primarily
investing in a broad range of real estate -
related debt,
equity and preferred
equity investments across multiple real estate sectors.
Equity risk is the risk that the value of the equity securities, of U.S. or non-U.S. issuers, held by the Fund will fall due to general market and economic conditions, perceptions regarding the industries in which the issuers of securities held by the Fund participate, or factors relating to specific companies in which the Fund in
Equity risk is the risk that the value of the
equity securities, of U.S. or non-U.S. issuers, held by the Fund will fall due to general market and economic conditions, perceptions regarding the industries in which the issuers of securities held by the Fund participate, or factors relating to specific companies in which the Fund in
equity securities, of U.S. or non-U.S. issuers, held by the Fund will fall due to general market and economic conditions, perceptions regarding the industries in which the issuers of securities held by the Fund participate, or factors
relating to specific companies in which the Fund
invests.
Mirae Asset Emerging Bluechip Fund is an
equity mid-cap fund geared to generate income and capital appreciation from a diversified portfolio that mainly
invests in Indian
equity related securities of companies that do not belong to the top 100 stocks by market capitalization, and have market capitalization of a minimum Rs. 100 crores at the time of investment.
The scheme aims to provide long term capital growth by
investing in a well - diversified portfolio of
equity and
equity related securities across market capitalisation and sectors.
The UTI
Equity Fund is a large cap fund with a stated objective of investing at least 80 percent of its corpus in equity and equity related instruments which contain medium to high risk, and up to 20 percent in debt and money - market instruments with low to medium risk pr
Equity Fund is a large cap fund with a stated objective of
investing at least 80 percent of its corpus in
equity and equity related instruments which contain medium to high risk, and up to 20 percent in debt and money - market instruments with low to medium risk pr
equity and
equity related instruments which contain medium to high risk, and up to 20 percent in debt and money - market instruments with low to medium risk pr
equity related instruments which contain medium to high risk, and up to 20 percent in debt and money - market instruments with low to medium risk profile.
It gains exposure to asset classes by
investing in more than 100 futures contracts, futures -
related instruments, forwards and swaps, including, but not limited to,
equity index futures and
equity swaps; bond futures and swaps; interest rate futures and swaps; commodity futures, forwards and swaps; currencies and currency futures and forwards, either by
investing directly in those Instruments, or indirectly by
investing in the Subsidiary that
invests in those Instruments.
But if you have not made any
equity related investments towards your kid's education goal then you may
invest a higher portion of your investible surplus in mutual funds instead of PPF / SSA.
Investment Objective: To achieve growth by
investing in
equity &
equity related instruments, balanced with income generation by
investing in debt & money market instruments.
Finally, investors should exercise caution when
investing in ETFs which hold currency or commodity futures contracts directly rather than through a proxy instrument, such as
equity in currency or commodity
related companies.
Investment Objective: To generate income and minimize interest rate volatility by
investing in Debt & Money Market securities that mature on or before the maturity of the scheme, and also to generate capital appreciation by
investing in
equity /
equity related instruments.
The primary investment objective of the Schemes is to generate long - term capital appreciation to unit holders from a portfolio that is
invested predominantly in
equity and
equity related securities of companies engaged in Manufacturing activity.
Investment Objective: To generate capital appreciation and income by predominantly
investing in arbitrage opportunities in the cash and derivatives segment of the
equity market, and enhance returns with a moderate exposure in
equity &
equity related instruments.
The primary investment objective of the scheme is to provide long term capital appreciation by
investing in units of a fund that
invests predominantly in
equity and
equity related securities of companies having assets, products or operations in the United States.
The investment objective of the scheme is to generate long term capital appreciation by capitalizing on potential investment opportunities through predominantly
investing in
equities,
equity related securities.