«In a world awash with negative yields, many advisers asked us to develop a global
equity strategy designed to deliver solid, current income that also has a high probability of retaining purchasing power over time,» says CEO Vikas Oswal.
Our Smart Beta Portfolios are managed by a team of professionals with significant experience in back - testing and managing quantitatively oriented «active»
equity strategies designed to compete with actively - traded funds.
Not exact matches
This conference is
designed for anyone interested or involved in
equity sharing as an effective business
strategy, including company presidents, employee - owners, CEOs, executives, directors, managers, investors, and professional service providers.
Our suite of over 900
equity and fixed income ESG Indexes
designed to represent the performance of some of the most prevalent ESG
strategies can be used to help institutional investors more effectively benchmark ESG investment performance, issue index - based investment products, as well as manage, measure and report on ESG mandates.
The Report highlights the significant shift since 2010 in DFID's international development
strategy to increasingly promote private sector involvement in the
design and delivery of education services, despite the fact that DFID's own research evidence questions the impact of such interventions in relation to education quality and
equity for learners.
Designed for all independent school leaders, the program covers topics such as diversity, access,
equity, innovative instructional
design strategies, online learning, financial sustainability, and the role of independent schools in the context of their communities.
Rollins» most recent position was as senior education, training, and
strategy specialist in the Office of Diversity and Inclusion at the University of Maryland, where his responsibilities included
designing and facilitating diversity and social justice trainings, and helping to craft and implement strategic plans related to
equity and diversity education.
Before Bellwether, Saamra was a consultant at Bain & Company, where she worked on organizational
design,
strategy, and due diligence projects for clients in education, private
equity, healthcare, and pharmaceuticals.
, in - depth explorations
designed and facilitated by SRI colleagues, we'll hone skills, learn new
strategies, and interrogate what it means to lead for educational
equity and excellence;
Our programming, resources, and
strategies are
designed to increase the engagement and effectiveness of our members working at all levels to pursue educational
equity.
A teacher, analyst and product of public education, she
designs custom reform
strategies that help educators and administrators increase
equity while maximizing school performance.
In particular, we will identify
strategies to
design and implement systems that promote
equity, defined as improving outcomes for student who are traditionally underserved.
Equity indexed annuities [EIAs] are tricky to
design an investment
strategy for.
Strategy Objective: Launched in July 1997, the DRS is an actively managed, hedged -
equity, rules - based process that is
designed to hedge against large stock market declines and provide stable returns over a full market cycle.
Today, we offer a full range of
equity and fixed income
strategies designed to target higher expected returns.
This
strategy is
designed to enhance the defensive role the fixed income allocation plays within the total asset allocation of an institutional investor's portfolio and to further offset losses from
equity market downturns.
The group is responsible for conceptualization, research, and
design of the S&P Global core and quantitative
equity, fixed income, commodities, volatility (VIX futures based), multi asset, sustainability (ESG), and alternative asset
strategy indices.
Bringing that into the fixed income space — this is specifically
designed with my knowledge of what the
equity strategies of all of the other portfolios are.
The index is
designed to replicate an investment
strategy that establishes either long or short positions in certain of the 500 largest U.S. market cap
equities (the «Universe»).
The Credit Suisse 130/30 Large Cap Index is
designed to replicate an investment
strategy that establishes either long or short positions in certain of the 500 largest U.S. market cap
equities (the «Universe»).
Created and owned by BRI Partners and calculated by Wilshire, the index is
designed to provide a beta benchmark for active long / short U.S
equity hedge fund
strategies.
«We are excited to partner with Warrington Asset Management to manage the Rational Hedged Return Fund with a
strategy designed to produce returns that are not correlated with
equity market returns.»
The Global High Quality Dividend Yield (GHQDY) is a diversified, risk - controlled
strategy designed to target a yield premium of 75 to 100 basis points relative to yields on diversified global
equity indices.
TORONTO, Oct. 15, 2012 / CNW / - TD Waterhouse Discount Brokerage today announced a new, streaming web - based trading platform
designed to deliver one of the most extensive selections of features available to investors who trade U.S.
equities and advanced options
strategies.
Based on our Defined Risk
Strategy, the Swan Defined Risk Emerging Markets Fund is an absolute return type, risk - managed approach to asset allocation
designed for growth investors and based on Emerging Markets
equity.
Using a proprietary quantitative model that monitors financial and economic risk on a daily basis, the DRP
strategy is
designed to turn on when elevated
equity risk is indicated and there is a flight to quality into safe haven assets.
The
equity strategy is
designed to be about as volatile as an S&P 500 index fund.
Franklin Templeton Global Allocation Fund seeks total return by investing in a diversified portfolio of
equity and fixed income securities supplemented by a tactical investment
strategy, which may include cash and financial derivative instruments
designed to allow the Fund to adjust its exposure to asset classes, geographic regions, currencies and market sectors.
Based on our Defined Risk
Strategy, the Swan Defined Risk Foreign Developed Fund is an absolute return type, risk - managed approach to asset allocation
designed for growth investors and based on investment in an
equity index ETF (EAFA) of developed foreign markets.
Based on our Defined Risk
Strategy, the Swan Defined Risk Fund is an absolute return type, risk - managed approach to asset allocation
designed for growth investors and based on U.S.
equities / S & P 500.
It's hard to imagine a
strategy better
designed to promote cynicism about the LSUC's commitment to
equity.
QuantConnect users can
design strategies that use cryptocurrencies in addition to
equities, FX, futures and options, from opening tick to daily resolution.