Sentences with phrase «for global investing»

Not exact matches

«I'm not going to be dismissive of the risks, but I think markets have priced them in and if anything as we look at the fundamentals of stock markets around the world, the fundamentals of European equities right now are I think significantly better than they are for the United States,» said the managing partner of Triogem Asset Management and global investing expert on CNBC's «Fast Money.»
«A lot of these areas are overlooked by conventional investors,» says Amit Bouri, director of strategy and development for the Global Impact Investing Network, an industry group.
«Especially for domestic investors investing overseas, if the ETF Connect happens [this year], most of the global equities market can... list in Hong Kong.
For example, the partner who runs my global team invests a great amount of time in his people; his door is open to everyone regardless of seniority.
SHANGHAI, March 21 - Global asset managers are lobbying Beijing to offer tax benefits and other incentives to entice China's aging population to invest in mutual funds for their retirement, as funds eye a multi-trillion dollar opportunity in commercial pensions.
Such risks, uncertainties and other factors include, without limitation: (1) the effect of economic conditions in the industries and markets in which United Technologies and Rockwell Collins operate in the U.S. and globally and any changes therein, including financial market conditions, fluctuations in commodity prices, interest rates and foreign currency exchange rates, levels of end market demand in construction and in both the commercial and defense segments of the aerospace industry, levels of air travel, financial condition of commercial airlines, the impact of weather conditions and natural disasters and the financial condition of our customers and suppliers; (2) challenges in the development, production, delivery, support, performance and realization of the anticipated benefits of advanced technologies and new products and services; (3) the scope, nature, impact or timing of acquisition and divestiture or restructuring activity, including the pending acquisition of Rockwell Collins, including among other things integration of acquired businesses into United Technologies» existing businesses and realization of synergies and opportunities for growth and innovation; (4) future timing and levels of indebtedness, including indebtedness expected to be incurred by United Technologies in connection with the pending Rockwell Collins acquisition, and capital spending and research and development spending, including in connection with the pending Rockwell Collins acquisition; (5) future availability of credit and factors that may affect such availability, including credit market conditions and our capital structure; (6) the timing and scope of future repurchases of United Technologies» common stock, which may be suspended at any time due to various factors, including market conditions and the level of other investing activities and uses of cash, including in connection with the proposed acquisition of Rockwell; (7) delays and disruption in delivery of materials and services from suppliers; (8) company and customer - directed cost reduction efforts and restructuring costs and savings and other consequences thereof; (9) new business and investment opportunities; (10) our ability to realize the intended benefits of organizational changes; (11) the anticipated benefits of diversification and balance of operations across product lines, regions and industries; (12) the outcome of legal proceedings, investigations and other contingencies; (13) pension plan assumptions and future contributions; (14) the impact of the negotiation of collective bargaining agreements and labor disputes; (15) the effect of changes in political conditions in the U.S. and other countries in which United Technologies and Rockwell Collins operate, including the effect of changes in U.S. trade policies or the U.K.'s pending withdrawal from the EU, on general market conditions, global trade policies and currency exchange rates in the near term and beyond; (16) the effect of changes in tax (including U.S. tax reform enacted on December 22, 2017, which is commonly referred to as the Tax Cuts and Jobs Act of 2017), environmental, regulatory (including among other things import / export) and other laws and regulations in the U.S. and other countries in which United Technologies and Rockwell Collins operate; (17) the ability of United Technologies and Rockwell Collins to receive the required regulatory approvals (and the risk that such approvals may result in the imposition of conditions that could adversely affect the combined company or the expected benefits of the merger) and to satisfy the other conditions to the closing of the pending acquisition on a timely basis or at all; (18) the occurrence of events that may give rise to a right of one or both of United Technologies or Rockwell Collins to terminate the merger agreement, including in circumstances that might require Rockwell Collins to pay a termination fee of $ 695 million to United Technologies or $ 50 million of expense reimbursement; (19) negative effects of the announcement or the completion of the merger on the market price of United Technologies» and / or Rockwell Collins» common stock and / or on their respective financial performance; (20) risks related to Rockwell Collins and United Technologies being restricted in their operation of their businesses while the merger agreement is in effect; (21) risks relating to the value of the United Technologies» shares to be issued in connection with the pending Rockwell acquisition, significant merger costs and / or unknown liabilities; (22) risks associated with third party contracts containing consent and / or other provisions that may be triggered by the Rockwell merger agreement; (23) risks associated with merger - related litigation or appraisal proceedings; and (24) the ability of United Technologies and Rockwell Collins, or the combined company, to retain and hire key personnel.
The region «has been a consistently good performer for us over the last several quarters and we will continue to invest our global sales resources to drive opportunities there,» Wehner said in an interview with Reuters.
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Take government - owned sovereign wealth funds for example: Over $ 5 trillion is invested in global capital markets from SWF's coming directly from oil - producing nations.
The public filings show TriLinc Global has invested nearly $ 18 million in seven businesses in Latin America and Indonesia, for an average loan size of $ 1.3 million, with a weighted average yield of 13.2 percent.
Michael Mauboussin, head of global financial strategies at Credit Suisse and author of four books on investing, joined CNBC's Mike Santoli for an exclusive strategy session on how investors can outperform the market by spotting trading inefficiencies.
Not only will Sokoni provide a marketplace for buyers and sellers, it will enhance the speed and efficiency of asset sales and capital raises by using technology to facilitate the work of those looking to finance African infrastructure assets, as well as potential donors and global capital providers interested in investing in Africa.
There is a «mental model of what people think rates will go to, and for a lot of people it is 5 %,» says Russ Koesterich, head of asset allocation for the Global Allocation team at investing giant BlackRock (blk).
By investing our resources in our people, we are creating a world - class global infrastructure for the health - care and life science industries.
For years, agencies such as the Export Development Canada have been encouraging companies to insert themselves into global supply chains by investing abroad.
Fidelity Strategic Funds are multi-asset-class strategies that seek to address key income needs — bond income from global sources, non-bond income, and real return — by investing in a diversified mix of fixed income and / or equity investments chosen for their historical combined performance.
The monthlong reprieve prolongs the state of uncertainty hanging over the global economy, making it difficult for businesses to plan and discouraging them from investing in new factories or hiring more workers.
NEW YORK (Reuters)- Alphabit, a global fund that invests in digital currencies, has been launched with a target of $ 300 million, co-founder Liam Robertson said in an interview, as managers seek to tap growing demand for virtual assets that allow for instant, borderless transactions.
Amid great fanfare, Indian Prime Minister Narendra Modi invited international businesses to «Come, make in India, invest in India — for India, and for the world» at the eighth annual Global Entrepreneurship Summit in November of 2017.
Get evaluations of impact - oriented strategies from the Global Investment Manager Analysis team, in addition to ideas and insights from Morgan Stanley Research's Sustainable + Responsible Investing team and the Institute for Sustainable Investing.
At Franklin Templeton, we've been investing in global markets for more than 65 years, across bull and bear markets alike.
Investment in such products does not usually attract the stewardship responsibilities of an owner of publicly traded equities, although, from time to time, the Cerberus Funds and Accounts may invest in global equities for which the Code is relevant, including UK listed equities.
Recently, Aaron and I came out of retirement to launch Kennon - Green & Co., a global asset management firm that specializes in value investing for affluent and high net worth individuals, families, and institutions.
Mr. Chisholm joined Goldman Sachs & Co. in New York in 1985 and he served in a variety of progressively senior leadership roles within the organization during his 30 - year career, including as Head of the Global Financial Institutions Group in both London and New York from 2002 to 2012 where he focused on areas such as strategic advisory, mergers and acquisitions, capital raising, risk and capital management and principal investing advisory for financial institutions globally.
As investing becomes more global it's important for investors to understand how currency fluctuations can affect the financial markets in different ways.
The backdrop that set the stage for these results, and for the ongoing bull market in stocks more generally, has been in place since the global financial crisis — tame inflation, historically low interest rates and moderate economic growth in the United States have all been supportive for growth investing.
However, Limited Partners assume risk when investing in this asset class, especially when considering that today's volatile stock markets and the global economic environment can influence exit options and exit values for their investments.
Trend essays that address the global connectedness of startup founders, concentration of respective value creation, and the urgency for cities to invest now.
«At a time when other countries are investing billions in clean technologies, it's important for Canada to seize its full potential to become a global cleantech powerhouse.
It invests in companies with a global vision, keeping the focus on perceived emerging sectors: technology, digital industries, technologies for industry and life sciences.
In his new book, Startup Rising, he makes a strong case for the Middle East, where a surprising number of young men and women are starting tech companies and where global corporations, such as Google, Yahoo and Cisco, are investing
We invest in entrepreneurship that encompasses all walks of life, and believe in the democratization of innovation as a powerful force for global good.
The Global Investment Research division produces Research, primarily for an institutional investing client base.
Global investing can provide more portfolio diversification and has the potential for investment opportunities in emerging markets around the world.
In the nineteenth century, countries recognized that inadequate protection for IP hurt global economic growth and disincentivized innovation (people invest less in innovation when their work can simply be stolen).
TSSP Alternative Credit Partners (TACP) is TSSP's platform for investing across the capital structure in global secondary and public markets.
The dollar bond market has turned cold for Indian firms after a record 2017, with rising global interest rates, geopolitical concerns and market volatility prompting would - be financiers to demand either a higher yield or invest only in short - term paper maturing in two years.
Meet one of our people: Chris Roth Global Head of Credit Investing for Morgan Stanley Investment Management View Chris's Profile
Leila Heckman, head of international equities at Lebenthal Asset Management, joined us for our monthly Salon to discuss the increased acceptance of global diversification among portfolio managers and the reasons behind her approach to investing.
In 2009, when we first launched the Global Sustainable Finance group at the firm, the market for sustainable investing was just under $ 3 trillion in the U.S. Today, those numbers have almost tripled, jumping to nearly $ 9 trillion in the U.S. — and $ 23 trillion globally.
At this workshop, we will discuss the application of smart beta and factor investing strategies in China A-shares, how it is relevant for EM and global managers seeking access tools for portfolio completion, and how asset owners can utilize different smart beta strategies for China A allocation based on their views.
Another stalwart in our global treasury and cash management awards categories is J.P. Morgan Asset Management, which boasts a wide range of highly rated US dollar, sterling and euro money market funds (MMFs) for treasurers to invest in.
For example, if you are primarily interested in green energy investments, and would like to invest in an ETF or mutual fund, consider the objectives of the fund, in addition to assessing it relative to an alternative energy benchmark index such as the S&P Global Clean Energy Index (SPGTCLEN), NASDAQ Clean Edge Green Energy Index (CELS), or World Alternative Energy Index (WAEXPDC).
Institutional investors rarely invest in the precious metal, let alone crypto - currencies for that matter, and according to them, investments in gold are generally carried out by retail investors in countries such as India and China, with central banks contributing to the rest of the global demand.
However, unlike domestic stock funds, which invest primarily in U.S. companies, international stock funds primarily invest in companies outside of the U.S. Global stock funds have the ability to search for investments in both U.S. and non-U.S. companies, helping you take advantage of the opportunities presented by the global ecGlobal stock funds have the ability to search for investments in both U.S. and non-U.S. companies, helping you take advantage of the opportunities presented by the global ecglobal economy.
OurCrowd is the leading hybrid venture capital equity crowdfunding platform for accredited investors who wish to invest in Israeli and global early stage companies.
I've increased the weight on Canada from 3.3 % (its share of global market capital) to 10 % to account for the relative cheapness of investing in Canada for me — no currency exchange fees, dividend tax benefits, etc..
There are new offerings, like Calvert Foundation's Women Investing in Women Initiative for fixed income and the PAX Ellevate Global Women's Index Fund or Morgan Stanley's Parity Portfolio for public equities, and initiatives like The Women Effect bringing a new community together to accelerate deployment of interested capital into gender - lens investment opportunities.
If you will be at Money2020, please join my session today where I'll dive into the pillars of Abra's vision for the future of bitcoin as the basis for digital banking, namely: payments, global investing, and asset finance.
SRI STOCKS Given the increasing risks to global sustainability, we believe there is a corresponding increasing need for increasing exposure to SRI stocks in one's long term investing portfolio.
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