It can even
include emerging markets investments.
Not exact matches
We anticipate making significant
investments to enhance our presence and ability to compete in
emerging markets,
including the BRIC countries (i.e., Brazil, Russia, India and China).
Andres Garcia - Amaya, Zoe Financial CEO, and Paul Hickey, Bespoke
Investment Group co-founder, provide insight to what's driving stocks higher and where they see investment opportunities, including emerging mar
Investment Group co-founder, provide insight to what's driving stocks higher and where they see
investment opportunities, including emerging mar
investment opportunities,
including emerging market plays.
CNBC's Melissa Francis looks at the week's top business news and
investment advice,
including shipping stocks, volatility plays and
emerging markets.
Highland also offers alternative
investments,
including emerging markets, long / short equities, and natural resources.
Special risks are associated with foreign investing,
including currency fluctuations, economic instability and political developments;
investments in
emerging markets involve heightened risks related to the same factors.
Our team of credit professionals deliver sales and trading capabilities across a wide range of fixed income asset classes
including high yield, distressed and
investment grade bonds, convertible bonds, public and private corporate securities, leveraged loans and
emerging market debt.
Highland also offers alternative
investments,
including emerging markets, long / short equities, real estate and natural resources.
Blue Wolf's deep
investment experience with special situations,
including companies in need of capital for restructuring in and outside of Chapter 11, and partnering with management teams who want to
emerge stronger from troubled situations, is particularly relevant in today's highly - volatile, deeply - troubled energy
markets.
Foreign
investments involve greater risks than U.S.
investments,
including political and economic risks and the risk of currency fluctuations, all of which may be magnified in
emerging markets.
Our Global
Market Strategies segment, established in 1999 with our first high yield fund, advises a group of 46 active funds that pursue
investment opportunities across various types of credit, equities and alternative instruments,
including bank loans, high yield debt, structured credit products, distressed debt, corporate mezzanine, energy mezzanine opportunities and long / short high - grade and high - yield credit instruments,
emerging markets equities, and (with regards to certain macroeconomic strategies) currencies, commodities and interest rate products and their derivatives.
Having the flexibility to invest globally in any country or currency,
including emerging markets, allows the
investment team to take advantage of prevailing macroeconomic trends, opportunities in interest rates, currencies and sovereign credit to create a competitive advantage.
When
market conditions favor wider diversification in the view of Hussman Strategic Advisors, Inc., the Fund's
investment manager, the Fund may invest up to 30 % of its net assets in securities outside of the U.S. fixed - income
market, such as utility and other energy - related stocks, precious metals and mining stocks, shares of real estate
investment trusts («REITs»), shares of exchange - traded funds («ETFs») and other similar instruments, and foreign government debt securities,
including debt issued by governments of
emerging market countries.
Canada's Global
Markets Action Plan identifies about 20 countries as target markets, including China and India (these two markets are Canada's second - and 14th - largest trading exchange, respectively excluding services and direct investments), and specifically targets the expansion of SME sales to emerging m
Markets Action Plan identifies about 20 countries as target
markets, including China and India (these two markets are Canada's second - and 14th - largest trading exchange, respectively excluding services and direct investments), and specifically targets the expansion of SME sales to emerging m
markets,
including China and India (these two
markets are Canada's second - and 14th - largest trading exchange, respectively excluding services and direct investments), and specifically targets the expansion of SME sales to emerging m
markets are Canada's second - and 14th - largest trading exchange, respectively excluding services and direct
investments), and specifically targets the expansion of SME sales to
emerging marketsmarkets.
Scotiabank CEO Brian Porter says several reasons explain the bank's outstanding performance —
including international banking, Canadian banking, and global banking and
markets — but much of the bank's growth has stemmed from its
investment in Latin American
emerging markets.
Manolopoulos has over two decade's experience working in
emerging markets for
investment banks and asset managers,
including Barclays Capital, Merrill Lynch and Marathon Asset Management in London, and Rosbank in Moscow, where he was a member of the board and co-head of
investment banking and structuring.
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 strategies.
EMERGING MARKETS INVESTOR: NEWS By Gordon Platt Russell Investments, based in Washington state, introduced a new index, the Russell Frontier Index, that initially includes 683 stocks from 41 countries, none of which are included in the firm's emerging - ma
EMERGING MARKETS INVESTOR: NEWS By Gordon Platt Russell Investments, based in Washington state, introduced a new index, the Russell Frontier Index, that initially includes 683 stocks from 41 countries, none of which are included in the firm's emerging - mar
MARKETS INVESTOR: NEWS By Gordon Platt Russell
Investments, based in Washington state, introduced a new index, the Russell Frontier Index, that initially
includes 683 stocks from 41 countries, none of which are
included in the firm's
emerging - ma
emerging -
marketsmarkets...
Eligible sectors
include U.S. Treasurys, global government - related bonds, global
investment - grade and high yield corporate bonds, and
emerging market bonds.
Global Value and Quality Ranks To maximize the potential
investment opportunity, the team analyzes as broad a universe as possible — over 15,000 stocks (screened for liquidity) of all sizes across over 40 countries,
including both developed and
emerging markets.
Your minimum
investment of $ 100,000 allows you to invest in a diverse range of local and global funds,
including emerging markets, with lower management fees.
Hot Links Where to Get
Investment Information on
Emerging Markets Web sites that provide information on foreign markets classified as emerging, including economic and business statistics and major exchanges and
Emerging Markets Web sites that provide information on foreign markets classified as emerging, including economic and business statistics and major exchanges and i
Markets Web sites that provide information on foreign
markets classified as emerging, including economic and business statistics and major exchanges and i
markets classified as
emerging, including economic and business statistics and major exchanges and
emerging,
including economic and business statistics and major exchanges and indexes.
Its
investment universe
includes developed and
emerging markets.
These funds invest across a diverse range of fixed income sectors,
including high yield securities, U.S. Government and
investment - grade securities,
emerging market securities and foreign developed
market debt.
The fund invests, under normal circumstances, at least 80 % of its net assets plus any borrowings for
investment purposes (measured at the time of purchase)(«Net Assets») in sovereign and corporate debt securities of issuers in
emerging market countries, denominated in the local currency of such
emerging market countries, and other instruments,
including credit linked notes and other
investments, with similar economic exposures.
Changes
include slightly increased exposure to
emerging market (EM) equities and real estate
investment trusts, and reduced exposure to high yield.
The fund combines a portfolio of domestic and foreign equity securities,
including emerging markets securities, with the use of alternative
investment strategies to provide growth with lower volatility.
Logan Circle's core fixed income products cover the breadth of the maturity and risk spectrums,
including short, intermediate and long duration, core / core plus,
investment grade credit, high yield and
emerging market debt.
If you dig deeper you'll also find that XTR holds only plain - vanilla stock and bond funds, while ZIM
includes some more exotic
investments such as floating - rate notes,
emerging market bonds and a couple of ETFs that write call and put options on their underlying stocks to generate more income.
It stops focusing on US
investment - grade debt and gains the freedom to own up to 50 % high yield and up to 50 % international,
including emerging markets debt.
Some of those risks
include general economic risk, geopolitical risk, commodity - price volatility, counterparty and settlement risk, currency risk, derivatives risk,
emerging markets risk, foreign securities risk, high - yield bond exposure, noninvestment - grade bond exposure commonly known as «junk bonds,» index investing risk, industry concentration risk, leveraging risk,
market risk, prepayment risk, liquidity risk, real estate
investment risk, sector risk, short sales risk, temporary defensive positions, and large cash positions.
For balanced portfolios, international
investments were a significant boost to returns, and especially if they
included emerging markets.
To summarize, the outperforming areas of the
market from 2005 to the
market peak in 2007 were
emerging / international
market investments, commodities and commodity producers, and U.S. housing related businesses
including banks and financial companies.
Columbia Threadneedle
Investments has launched the Columbia Overseas Core Fund (COSAX), an international equity fund that seeks long - term capital appreciation through active investments in value and growth equity securities of non-US issuers, including those in emerging mark
Investments has launched the Columbia Overseas Core Fund (COSAX), an international equity fund that seeks long - term capital appreciation through active
investments in value and growth equity securities of non-US issuers, including those in emerging mark
investments in value and growth equity securities of non-US issuers,
including those in
emerging markets.»
Investments in international and
emerging markets securities and ADRs
include exposure to risks
including currency fluctuations, foreign taxes and regulations, and the potential for illiquid
markets and political instability.
In allocating HMA's portfolio, Landry selects the top ranked global asset classes, out of a current universe of 16; which
include in part, Canadian and U.S. equities,
emerging market equities, U.S. and Canadian bonds, real estate
investment trusts, and gold.
The
investment objective of this fund is to generate long - term capital appreciation from a diversified portfolio of predominantly equity and equity - related securities,
including equity derivatives, in the Indian
markets with the key theme focus being
emerging companies (small cap stocks).
The Fund is total return oriented with
investments across multiple asset classes
including non-core areas such as high yield,
emerging markets and bank loans
Topics
include taxes,
emerging markets, financial statements, lack of accountability in the
investment world and more.
Kotak Balance (Apr. 15, 2008), Kotak Monthly Income Plan (Apr. 15,» 08), Kotak Bond (Regular Plan)(Apr. 15,» 08), Kotak Gilt
Investment (Regular & PF - Trust)(Apr. 15,» 08), Kotak Global
Emerging Market Fund (Apr. 15,» 08), Kotak Equity Savings Fund (Oct. 13,» 14), Kotak Gold ETF (Jul. 27,» 07), Kotak Gold Fund (Mar. 25,» 11) Business Experience Mr. Abhishek has been associated with the company since October 2006 and his key responsibilities
include fund management of debt schemes.
Foreign
investments involve greater risks than U.S.
investments,
including political and economic risks and the risk of currency fluctuations, all of which may be magnified in
emerging markets.
So he recommends allocating funds across a range of fixed - income
investments,
including emerging markets, high yield,
investment grade, floating rate securities, and global sovereign bonds.
These risks may be greater for
investments in
emerging markets • Fixed income security risks
include credit, liquidity, call, duration, and interest - rate risk.
Additional risks may also
include, but are not limited to,
investments in foreign securities, especially
emerging markets, real estate
investment trusts (REITs), fixed income, small - capitalization securities, and commodities.
The
investment team
includes Jan Boudewijns, Philip Screve and Mohamed Lamine Saidi, who collectively bring decades of fundamental
investment experience across the
emerging markets.
Foreign securities involve special risks,
including currency fluctuations (which may be significant over the short term) and economic and political uncertainties;
investments in
emerging markets involve heightened risks related to the same factors.
See the Investor Handbook for more information on Franklin Templeton 529 College Savings Plan,
including sales charges, expenses, general risks of the Plan, general
investment risks and specific risks of investing in Plan portfolios, which can
include risks of convertible securities; country, sector, region or industry focus; credit; derivative securities; foreign securities,
including currency exchange rates, political and economic developments, trading practices, availability of information, limited
markets and heightened risk in
emerging markets; growth or value style investing; income; interest rate; lower - rated and unrated securities; mortgage securities and asset - backed securities; restructuring and distressed companies; securities lending; smaller and midsize companies; credit linked securities, life settlement
investments, and stocks.
Each set portfolio usually
includes core asset categories that
include investment - grade bonds, stocks (Canadian, U.S. and global) and sometimes also other asset categories such as real estate
investment trusts,
emerging markets equities and high - yield bonds.
Special risks are associated with foreign investing,
including currency fluctuations, economic instability and political developments;
investments in
emerging markets involve heightened risks related to the same factors.
In addition to the risks of investing in
emerging market country debt securities, a fund's
investment in government or government - related securities of
emerging market countries and restructured debt instruments in
emerging markets are subject to special risks,
including the inability or unwillingness to repay principal and interest, requests to reschedule or restructure outstanding debt, and requests to extend additional loan amounts.