No surprise that he has been the best
in bond management over the long haul.
Not exact matches
Bond & Specialty Insurance —
Bond & Specialty Insurance provides surety, fidelity,
management liability, professional liability, and other property and casualty coverages and related risk
management services to its customers
in the United States and certain specialty insurance products
in Canada, the United Kingdom, the Republic of Ireland and Brazil, utilizing various degrees of financially - based underwriting approaches.
In Bond & Specialty Insurance, net written premiums increased 6 %, with growth in both the management liability and surety businesse
In Bond & Specialty Insurance, net written premiums increased 6 %, with growth
in both the management liability and surety businesse
in both the
management liability and surety businesses.
«Following the U.K. election, the relative risk investors saw
in European
bonds came back and as the situation
in Greece develops, risks will hopefully unwind and as we move into a certain environment, we can expect
bond markets to continue to normalize,» Thomas Buckingham, portfolio manager of the European Equity Group at JP Morgan Asset
Management, told CNBC on Monday.
In this regard, our surveillance has been closely monitoring for any signs of liquidity strains associated with the recent increases in spreads for high - yield corporate bonds, as well as for idiosyncratic events affecting particular funds in this segment, such as the events surrounding the abrupt closing of Third Avenue Management's Focused Credit Fund last Decembe
In this regard, our surveillance has been closely monitoring for any signs of liquidity strains associated with the recent increases
in spreads for high - yield corporate bonds, as well as for idiosyncratic events affecting particular funds in this segment, such as the events surrounding the abrupt closing of Third Avenue Management's Focused Credit Fund last Decembe
in spreads for high - yield corporate
bonds, as well as for idiosyncratic events affecting particular funds
in this segment, such as the events surrounding the abrupt closing of Third Avenue Management's Focused Credit Fund last Decembe
in this segment, such as the events surrounding the abrupt closing of Third Avenue
Management's Focused Credit Fund last December.
More broadly, the regulatory agencies
in the United States and the Financial Stability Board internationally have work under way focusing on possible fire - sale risk associated with the growing share of less liquid
bonds held
in asset
management portfolios on behalf of investors who may be counting on same - day redemption when valuations fall.
It was «Bonddependence Day,» a celebration to mark the date
in 2015 when the senior executives of
Bond completed a
management buyout from Maritz Inc..
For him, Celestica's expertise
in supply - chain
management and quality control made it eminently qualified to produce panels whose reliability and predictability would imitate the interest generated by a high - quality
bond.
Learn more about the positive outlook the BlackRock Total Return Fund portfolio
management team has for
bond markets
in 2018.
«People purchase
bond funds when they are looking for a safe way to get returns,» said Charles C. Scott, president of Pelleton Capital
Management in Scottsdale, Ariz. «However,
bond funds can be somewhat risky when interest rates rise, and the
bond funds lose some of their principal value.»
Many even offer target date funds, which are an all -
in - one investment consisting of a mix of stocks,
bonds and other assets that is managed by the firm that runs the fund and require little to no
management on your part.
In other words, convertibles are uniquely positioned to offer the growth potential of stocks, but with the income and downside risk
management characteristics of traditional
bonds.
High - yield
bonds are
in the eighth year of an investment cycle that has seen assets under
management grow threefold, to $ 300 billion, so interest among investors remains high.
The CEO of the
bond giant PIMCO, which has $ 1.3 trillion
in assets under
management, quoted Fed Chairman Ben Bernanke when saying, «We are living
in unusually uncertain times.»
As COO, he had full responsibility for all Portfolio
Management, Investment Research and Office Operations of the firm, designing and developing new products for the firm in the asset classes of preferred shares and common stock, in addition to his responsibility for the firm's Government bond portfolios under management (over $ 1.7
Management, Investment Research and Office Operations of the firm, designing and developing new products for the firm
in the asset classes of preferred shares and common stock,
in addition to his responsibility for the firm's Government
bond portfolios under
management (over $ 1.7
management (over $ 1.7 billion).
The accord, which triggered gains today
in Argentine
bonds, calls for the country to pay $ 4.65 billion
in cash to Singer's Elliott
Management and fellow hedge funds Aurelius Capital
Management, Davidson Kempner and Bracebridge Capital, according to a court - appointed mediator.
Asian Development Bank (2015), «Facilitating Foreign Exchange Risk
Management for
Bond Investors
in ASEAN +3», available at < https://www.adb.org/sites/default/files/publication/173014/facilitating-fx-risk-
management-asean3.pdf >, Report, August.
My colleague Martin Small
in a recent blog post shed some light on why size does not equal risk
in the
bond market, which is one of the most common misunderstanding of index
management.
Albright Capital
Management, a Washington - based hedge fund backed by former Secretary of State Madeleine Albright, has raised about $ 75 million
in recent months to buy up
bonds of debt - strapped companies
in places like Latin America, Africa, India, Russia and Asia, filings show.
Morgan Stanley's wealth
management division announced right after New Year's that it was taking its recommended portfolio allocation
in junk
bonds down to zero.
We believe the key to investing
in high yield
bonds is investing
in solid companies run by strong
management teams that can navigate variable market conditions.
The government also needs to refinance a 1 billion - euro
bond maturing
in November and a smaller yen note due
in July, according to data on the website of the debt -
management agency, known as AKK.
«I expect protracted negotiations as the international organizations will ask for more than amending the central bank law,» Daniel Bebesy, who helps oversee $ 1.5 billion mostly
in Hungarian government
bonds at Budapest Fund
Management, said by phone today.
The debt -
management agency failed to raise the planned amount of debt at four auctions
in the past month and scrapped one
bond - exchange auction.
She previously served as co - head and senior portfolio manager
in charge of the Montgomery fixed - income division at Wells Capital
Management; a senior
bond strategist at Goldman Sachs; and managing director responsible for the global fixed - income research and economics department at Credit Suisse First Boston.
2017.11.09 RBC Global Asset
Management recognized for excellence
in bond ETFs at Lipper Canada 2017 Fund Awards RBC Global Asset Management Inc. (RBC GAM Inc.) was recognized as Best Bond ETFs Group at the Lipper Canada 2017 Fund Awards1 held last evening in Toront
bond ETFs at Lipper Canada 2017 Fund Awards RBC Global Asset
Management Inc. (RBC GAM Inc.) was recognized as Best
Bond ETFs Group at the Lipper Canada 2017 Fund Awards1 held last evening in Toront
Bond ETFs Group at the Lipper Canada 2017 Fund Awards1 held last evening
in Toronto...
RBC Global Asset
Management Inc. (RBC GAM Inc.) was recognized as Best
Bond ETFs Group at the Lipper Canada 2017 Fund Awards1 held last evening
in Toronto...
The new - issue
bond market is expanding (Shin (2013)-RRB- and assets under the
management of investment funds that promise daily liquidity are growing rapidly - as suggested by the increasing presence of exchange - traded funds
in corporate
bond markets
in recent years (see also Box 2).
The trend can be seen
in both the supply of and demand for market - making services, and reflects both post-crisis cyclical conditions (such as diminished bank risk appetite and strong
bond issuance) and structural changes
in the markets themselves (such as tighter risk
management or regulatory constraints).
I think the issue here is whether any amateur fund manager (which I think is what we all are — including those financial advisers who create their own «homegrown» portfolios using trackers and
bond funds) can seriously manage a portfolio for income or for growth and control against downside risk (
in equities or
bonds) as well as a good active
management group like Invesco perpetual or M&G.
The resulting deregulated and unregulated institutions have brought us one financial crises after another — the savings and loan scandal, the bubble and bust
in Real Estate Investment Trusts, the collapse of the hedge fund, Long Term Capital
Management, which threatened to set off a daisy chain of
bond defaults, and more.
Strength
in Morgan Stanley's (MS) wealth
management and investment banking businesses more than offset declines
in bond - trading revenues, boosting its net income by 12 % versus last year.
He also works as a Fixed - Income Portfolio Manager on the Financial Reserves
Management Team, focusing on maximizing relative - value opportunities
in the municipal
bond portion of these portfolios.
12-10-2010 Resignation of Chairman 11-10-2010 Caledonia Mining Announces Third Quarter 2010 Results 10-21-2010 Caledonia Mining Announces the Commissioning of the No. 4 Shaft Project 08-26-2010 Caledonia Mining Announces the Completion of the Underground Installations on the No. 4 Shaft Project 08-18-2010 Caledonia Option Exercise Prices Reduction Becomes Effective 08-12-2010 Caledonia Mining 2010 Second Quarter and Half Year Results and
Management Conference Call 06-14-2010 Caledonia Commissions the First Standby Generator at Blanket Gold Mine
in Zimbabwe 05-14-2010 Caledonia Mining First Quarter 2010 Results 05-06-2010 Caledonia Installing a Standby Generator at Blanket Gold Mine
in Zimbabwe 03-31-2010 Caledonia Mining 2009 Fourth Quarter and Annual Results and
Management Conference Call 02-12-2010 Government of Zimbabwe sets out Regulations for Indigenisation 01-29-2010 Reserve Bank of Zimbabwe Defaults on
Bond Repayment to Caledonia Mining and update on timeline for completion of No. 4 Shaft Expansion
David Swensen offers a savage takedown of junk
bonds in his book Pioneering Portfolio
Management.
Prior to joining Wellington
Management in 2010, Brad spent 12 years at Putnam Investments, most recently as a portfolio manager
in their Municipal
Bond Department where he helped manage 11 open - end mutual funds and two closed - end funds (2006 — 2009).
The largest Sovereign ETF is the iShares JP Morgan USD Emerging Markets
Bond ETF (EMB) with $ 11.34 B
in assets under
management and an expense ratio of 0.40 % with a trailing 12 month loss of -1.36 %.
And so he uses that as a framework he goes and he basically dissects how this big bank uses the risk
management to invest
in bonds.
RIAs are eligible to participate
in the Program if they represent to Fidelity Investments that they meet the following criteria: (1) RIA is an investment adviser registered and
in good standing with the U.S. Securities and Exchange Commission and / or any applicable state securities regulatory authorities or is exempt from such registration; (2) RIA's representatives who provide services to referred clients are appropriately registered / licensed as «Investment Advisers Representatives»
in required jurisdictions; (3) RIA charges fee - based, asset - based, or flat - rate investment advisory service fees (which may include hourly fees); (4) RIA will maintain a minimum of $ 350,000,000
in total regulatory assets under
management, as reported
in response to Item 5
in Part 1A of the RIA's Form ADV, throughout the duration of RIA's participation
in the Program; (5) RIA and all associated persons of the RIA who manage client assets or who supervise such associated persons shall at all times be covered through both Errors and Omissions Liability Insurance and Fidelity
Bond Coverage; and (6) RIA maintains a minimum of two principals or officers as well as a minimum of five employees.
In addition to over 25 years of portfolio
management and equity research experience with Leith Wheeler, Bill spent five years as trader of the firm's
bond portfolios.
Recall that even major titans of
bond fund
management regularly differ
in their views about the price impact arising out of stopping and starting quantitative easing programs.
Having been on a risky
bond trading desk
in the 1990's, I can attest first - hand that trading desks have the ability to hide risky or bad positions from a bank's upper
management.
Over time, MFS has been a leading innovator
in the asset
management industry, including creating one of the first
in - house research departments
in the mutual fund industry
in 1932, launching the first high - yield municipal
bond fund and the first global balanced fund, and more recently creating «outcome - oriented» products, such as its line of target - risk, target - date, and other asset allocation strategies.
«Last month, LCD, a unit within S&P Global Market Intelligence, said that assets under
management in loan funds had grown to more than $ 156 billion, up from around $ 110 billion two years ago... The big, potentially market - destabilizing problem hidden
in bond funds has to do with liquidity.
The company is established by the talented team of professionals who have years of experience
in banking, fund
management, debt origination,
bond trading and
in sharia & conventional field.
Goldman Sachs and Pacific Investment
Management Co. (PIMCO) see «safe places, even
in corporate
bonds, to ride out credit and rate risk that loom large over an aging growth cycle,» according to a recent article
in Bloomberg.
Our iM - DMAC (60:40) model, designed for retirement saving and withdrawal
management, holds identical assets as VSMGX
in up - market conditions but switches to 100 %
bond funds during equity down - market periods.
Prior to joining Hovde
in 2003, Merkel managed corporate
bonds for Dwight Asset
Management.
In their May 2015 paper entitled «Lumber: Worth Its Weight in Gold: Offense and Defense in Active Portfolio Management», Charles Bilello and Michael Gayed examine the recent relative performance of lumber (a proxy for economic activity via construction) and gold (a safe haven) as an indicator of future stock market and bond market performanc
In their May 2015 paper entitled «Lumber: Worth Its Weight
in Gold: Offense and Defense in Active Portfolio Management», Charles Bilello and Michael Gayed examine the recent relative performance of lumber (a proxy for economic activity via construction) and gold (a safe haven) as an indicator of future stock market and bond market performanc
in Gold: Offense and Defense
in Active Portfolio Management», Charles Bilello and Michael Gayed examine the recent relative performance of lumber (a proxy for economic activity via construction) and gold (a safe haven) as an indicator of future stock market and bond market performanc
in Active Portfolio
Management», Charles Bilello and Michael Gayed examine the recent relative performance of lumber (a proxy for economic activity via construction) and gold (a safe haven) as an indicator of future stock market and
bond market performance.
«If you have an allocation to an aggregate
bond exposure, you can use our two products to dial up or dial down, respectively, the corporate and the government exposures
in line with your asset allocation designs,» said Arne Noack, a director with Deutsche Asset
Management's Exchange Traded Product Development team.