Sentences with phrase «global equity strategy for»

Sean Lynch is the co-head of global equity strategy for Wells Fargo Investment Institute, a subsidiary of Wells Fargo Bank N.A., which is focused on delivering the highest quality investment expertise and advice to help investors manage risk and succeed financially.
Stuart Freeman is the co-head of global equity strategy for Wells Fargo Investment Institute, a subsidiary of Wells Fargo Bank N.A., which is focused on delivering the highest quality investment expertise and advice to help investors manage risk and succeed financially.

Not exact matches

But Katie Koch, global head of client portfolio management and business strategy for fundamental equity at Goldman Sachs Asset Management, also highlights a paradigm shift in the way investors should think about picking stocks and about diversification itself.
Many have put up their own shares or stock of companies they own as collateral for their loans and are increasingly copying the convoluted fund - raising strategies employed by American hedge funds and private equity firms in financing their global expansion drives.
Those factories currently have only three robots per thousand workers, says Katie Koch, global head of client portfolio management and business strategy for fundamental equity at Goldman Sachs Asset Management.
We see the move as related to global emerging markets, where the MSCI EM index is down for the third day in a row and the largest EM ETF saw $ 320 million of outflows yesterday following $ 550 million the previous day, said Mohamad Al Hajj, head of MENA equity strategy at EFG - Hermes.
«You have to accept the thesis that technology is just going to disrupt everything,» says Katie Koch, global head of client portfolio management and business strategy for fundamental equity at Goldman Sachs Asset Management.
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.
A number of factors — such as rising US interest rates, the recurrence of big fluctuations in global currencies, and the widening dispersion of equity returns across sectors and regions — may have helped to create an increasingly conducive environment for hedge - fund strategies, which have seen a positive turnaround in performance in recent quarters.
Mr. Wren produces strategy and guidance recommendations for global equities.
Asset Management Equity Financing and Placement Debt Financing and Placement Mergers and Acquisitions Corporate Partnering and Strategic Alliances Restructuring and Workouts Startups and Management Alternative Finance Strategies Advice on Capital Markets Corporate Shareholder Communications Access to Retail, Institutional, and Accredited Investors Database Strategic Introductions to Global Network ConnectInvest - one - on - one Meetings with Global Investors Advice and Introductions on Capital Raises Media and Press Release Distribution Event Creation and Management Representation in Trade Shows and Conferences for Media Exposure
In the third quarter (Q3) of 2016, K2 Advisors» Research and Portfolio Construction teams continue to have high conviction for long short equity and merger arbitrage strategies, and within the global macro strategy, the teams have elevated emerging markets into their top three convictions.
Raymond was responsible for creating Acadian's market neutral and long - short equity strategies, which grew to several billion dollars in assets under management and included global investors from Asia, Europe, and the United States.
Prior to that, he served as head of quantitative equity for ING Investment Management, (doing business as Voya Investment Management May 1, 2014), building and developing the group and managing more than $ 20 billion in assets with 15 global active, index and enhanced index strategies for pension funds, variable annuities and mutual funds.
In his current role, Mr. Lynch is responsible for developing global equity strategy and oversees proprietary equity strategies as well as the equity trading desk.
Prior to joining MFS in 2015, Chris was a vice president of Eaton Vance Management, director of product and portfolio strategy for equity mandates and an institutional portfolio manager for Eaton Vance's broad suite of equity investment strategies, including US Large Cap Value, Hexavest Global and International Equity, Parametric Emerging Markets and the Richard Bernstein Advisors stratequity mandates and an institutional portfolio manager for Eaton Vance's broad suite of equity investment strategies, including US Large Cap Value, Hexavest Global and International Equity, Parametric Emerging Markets and the Richard Bernstein Advisors stratequity investment strategies, including US Large Cap Value, Hexavest Global and International Equity, Parametric Emerging Markets and the Richard Bernstein Advisors stratEquity, Parametric Emerging Markets and the Richard Bernstein Advisors strategies.
We include two recent case studies detailing PM - transitions for two global strategies (International Value and Global Eqglobal strategies (International Value and Global EqGlobal Equity).
Before that, he served as a senior portfolio manager with State Street Global Advisors, where he was responsible for managing U.S. Large - Cap Core and Growth equity strategies.
Since beginning his career as an equities analyst in Hong Kong in 1986, Richard has served as global head of investment strategy at ABN AMRO Asset Management in London, worked as a financial sector specialist for the World Bank in Washington D.C., and headed equity research departments for James Capel Securities and Salomon Brothers in Bangkok.
The global equity strategy with superior results for 43 years is now available to Australian investors.
Chris Laine is a Senior Portfolio Manager at State Street Global Advisors, primarily responsible for emerging market strategies on the Active Quantitative Equities team.
After one of the best quarters ever for Sparinvest's global value equity strategies, the team considers reasons for the rallies in the European and Japanese markets and highlights some of the benefits of active investment — including a focus on ESG risks - which passive investing is unable to offer.
Head of Global Value Equities - Maj Invest Mr. Kara joined Maj Invest in 2004, and has been responsible for managing the Global Value equities strategy since its inEquities - Maj Invest Mr. Kara joined Maj Invest in 2004, and has been responsible for managing the Global Value equities strategy since its inequities strategy since its inception.
Fidelity Strategic Funds are multi-asset-class strategies that seek to address key income needs — bond income from global sources, non-bond income from dividend - paying securities, and real return to help protect against inflation — by investing in a diversified mix of fixed income and / or equity investments chosen for their historical combined performance.
Simon Webber is a Lead Portfolio Manager on the Global and International Equity Team, with primary responsibility for international equity stratEquity Team, with primary responsibility for international equity stratequity strategies.
They observe that replacing a beta - one equity portfolio with a low - volatility portfolio reduces risk without decreasing the overall equity allocation: All the low - volatility portfolios» market betas are significantly below unity (about 0.7 for the US strategies and lower for the global developed and emerging markets).
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.
For instance, during the global financial crisis from January 2007 to February 2009, an equity investor underperformed a bond investor (Strategy A) by 58 %.
Jacques is the head of AQR's Global Stock Selection team and is involved in all aspects of research, portfolio management and strategy development for the firm's equity products and strategies.
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.
Brandywine has broad - based experience in global equities, which has been gained by managing global value equity strategies for over ten years.
The global equity strategy with superior results for 43 years is now available to Australian investors.
And (the subject of this post) they included the emergence of a global strategy — still tentative, but increasingly defined — for breaking the deadlock on «equity
Through our Global Employment & Equity Compensation service, we offer our clients unique and cost - effective strategies for addressing employment issues in more than 80 jurisdictions worldwide.
Bloomberg Tradebook is a leading agency broker that offers trading solutions for equities, options and futures to actively manage complex trading strategies in more than 100 global exchanges.
A bitcoin is a claim on nobody — in contrast to, for instance, sovereign bonds, equities or paper money — and it does not generate any income stream,» said the firm's global economics and strategy head Stefan Hofrichter.
In a new note to clients obtained by Business Insider, Viktor Shvets, head of global and Asia - Pacific equity strategy for Macquarie, wrote that in spite of any «extreme speculation», bitcoin relies on a «durable technology that is likely to continue to evolve and strengthen.»
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Prior to joining CBRE Global Investors in 2008, Mr. Scavone was Executive Vice President of Product, Portfolio and Capital Markets for an Allied Capital portfolio company where he was responsible for driving growth strategies through the development of various commercial real estate debt and preferred equity products.
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