Elmar also serves on the board on a number of
major asset management companies in Switzerland.
Not exact matches
Rich 100 rank: # 60 Change in rank from 2017: ▲ 32
Major company holdings: Brookfield
Asset Management Location: Toronto Age: 52
«Huw van Steenis's vast experience of both the
asset management and banking industry, together with his track record of taking the long - term view on the
major structural forces driving the economy, will be invaluable,» BoE Governor Mark Carney said.
Complicating matters, billionaire investor Carl Icahn, who has amassed an 8.7 percent stake in Dell, is leading a charge with
major shareholder Southeastern
Asset Management against the buyout with an offer of his own.
Peter Fuhrman, chairman and CEO, China First Capital, said Wanda's move to an «
asset - light» business model presents
major management challenges.
Morris Mark, Mark
Asset Management managing partner, and Ed Lee, Recode managing editor, discuss Disney's
major deal for Fox's
assets and what it means for the media landscape.
Recent shifts in regulations are one of the
major forces driving changes in the the
asset management industry in China.
Besides Mr. Drexler,
major (5 % or greater) shareholders in the firm, as of the annual proxy in April, include FMR LLC (which includes the Fidelity Contrafund), Baron Capital Group, BlackRock, and T Rowe Price, all of whom voted in favor of the directors up for election as well as the other
management proposals — and Columbia Wanger Asset Management (whose parent Ameriprise, did not return requests for inf
management proposals — and Columbia Wanger
Asset Management (whose parent Ameriprise, did not return requests for inf
Management (whose parent Ameriprise, did not return requests for information).
Everything we've talked about so far is captured nicely in this next chart from JP Morgan
Asset Management's David Kelly, which is on a log scale and includes annotations of
major world events.
What would become Brascan, and then Brookfield
Asset Management, first invested in a tramway system in Sao Paulo in 1899 before it became a
major player in power generation and utilities in the South American country.
Fisher Investments Based on his aggressive marketing, he must believe annuities are a
major source of acquiring
assets under
management into Fisher Investments
April 28, 2016: Private
assets, including private equity and commercial real estate, constitute
major components of the portfolios of many institutional investors, but risk
management for these
asset classes has not kept pace.
Based on his aggressive marketing, he must believe annuities are a
major source of Fisher Investments
assets under
management.
Kevin Duffy of Bearing
Asset Management, a company that has been most successful in equity bear markets, believes we are facing another
major bear market.
Along with these some of the
major services include personal accounts, retirement planning,
asset management, commercial banking and consumer banking.
Few
asset managers have a track record like Brookfield Asset Management, which controls major renewable energy, real estate, infrastructure, and private equity busine
asset managers have a track record like Brookfield
Asset Management, which controls major renewable energy, real estate, infrastructure, and private equity busine
Asset Management, which controls
major renewable energy, real estate, infrastructure, and private equity businesses.
Examples of these risks, uncertainties and other factors include, but are not limited to the impact of: adverse general economic and related factors, such as fluctuating or increasing levels of unemployment, underemployment and the volatility of fuel prices, declines in the securities and real estate markets, and perceptions of these conditions that decrease the level of disposable income of consumers or consumer confidence; adverse events impacting the security of travel, such as terrorist acts, armed conflict and threats thereof, acts of piracy, and other international events; the risks and increased costs associated with operating internationally; our expansion into and investments in new markets; breaches in data security or other disturbances to our information technology and other networks; the spread of epidemics and viral outbreaks; adverse incidents involving cruise ships; changes in fuel prices and / or other cruise operating costs; any impairment of our tradenames or goodwill; our hedging strategies; our inability to obtain adequate insurance coverage; our substantial indebtedness, including the ability to raise additional capital to fund our operations, and to generate the necessary amount of cash to service our existing debt; restrictions in the agreements governing our indebtedness that limit our flexibility in operating our business; the significant portion of our
assets pledged as collateral under our existing debt agreements and the ability of our creditors to accelerate the repayment of our indebtedness; volatility and disruptions in the global credit and financial markets, which may adversely affect our ability to borrow and could increase our counterparty credit risks, including those under our credit facilities, derivatives, contingent obligations, insurance contracts and new ship progress payment guarantees; fluctuations in foreign currency exchange rates; overcapacity in key markets or globally; our inability to recruit or retain qualified personnel or the loss of key personnel; future changes relating to how external distribution channels sell and market our cruises; our reliance on third parties to provide hotel
management services to certain ships and certain other services; delays in our shipbuilding program and ship repairs, maintenance and refurbishments; future increases in the price of, or
major changes or reduction in, commercial airline services; seasonal variations in passenger fare rates and occupancy levels at different times of the year; our ability to keep pace with developments in technology; amendments to our collective bargaining agreements for crew members and other employee relation issues; the continued availability of attractive port destinations; pending or threatened litigation, investigations and enforcement actions; changes involving the tax and environmental regulatory regimes in which we operate; and other factors set forth under «Risk Factors» in our most recently filed Annual Report on Form 10 - K and subsequent filings by the Company with the Securities and Exchange Commission.
Guided by a disciplined approach to capital allocation and aggressive
asset management, the Company partners with premium brands such as Marriott, Ritz - Carlton, Westin, Sheraton, W, St. Regis, Le Meridien, The Luxury Collection, Hyatt, Fairmont, Four Seasons, Hilton, Swissotel, ibis, Pullman, and Novotel in the operation of properties in over 50
major markets worldwide.
«Tom's expertise in dealing with
major transportation projects and infrastructure
management will be an invaluable
asset to the Thruway Authority,» Cuomo said in a statement.
Cuomo touted new Thruway Authority Executive Director Thomas Madison's experience with
major projects and infrastructure
management, saying it will be an «invaluable
asset» to state government.
According to Teach for America spokesperson Takirra Winfield, the program has three
major components: discussions on the «history of inequity in the United States»; teaching recruits to view poor children's families and neighborhoods as «
assets» to academic achievement, not liabilities (a concept borrowed from African American educational theorists like Lisa Delpit and Gloria Ladson - Billings); and introducing corps members to classroom
management tactics.
They pretty well have monopolies in every
major Canadian city except Toronto and is controlled by hedge fund operators, such as New York - based Golden Tree
Asset Management who have a 35 % stake.
Not only has it undercut its
major ETF rivals in the key
asset class of Canadian equities but it's widened the already egregious gap between the
Management Expense Ratios (MERs) of ETFs vis - à - vis Canadian mutual funds.
There are 10
major Mutual Fund
Asset Classes in Canada and 53 individual Mutual Fund Categories to invest in with close to 85 mutual fund companies and money
management firms serving up to 2000 independent funds to the investment marketplace.
Wide selection of investment options representing all
major asset classes and from some of the most distinguished names in the money
management industry
As part of the group's
major thrust on investing in markets around the world, the India office was set up in 1996 as Templeton
Asset Management India Pvt. Limited.
In the Fund's view, few U.S. corporations are going to go for as long as five years without being involved in resource conversion activities - mergers and acquisitions; changes of control;
management buyouts; massive share repurchases;
major financings, refinancings or reorganizations; sales of
assets in bulk; spin - offs; investing in new ventures in other industries; and corporate liquidations.
Deutsche
Asset & Wealth Management offers individuals and institutions traditional and alternative investments across all major asset cla
Asset & Wealth
Management offers individuals and institutions traditional and alternative investments across all
major asset cla
asset classes.
Horizons ETFs currently has approximately $ 10 billion of
assets under
management and 81 ETFs listed on
major Canadian stock exchanges.
Sitra could potentially be worth S$ 0.031 per share if
management successfully unlocks the value of its two
major non-core
assets:
Among
major asset managers, Eaton Vance is distinguished by the continuity of its investment teams, senior
management, and other staff.
The Global
Asset Management segment offers investment capabilities and styles across all major traditional and alternative asset classes such as equities, fixed income, currencies, hedge funds, real estate, infrastructure, and private equity that can also be combined into multi-asset strate
Asset Management segment offers investment capabilities and styles across all
major traditional and alternative
asset classes such as equities, fixed income, currencies, hedge funds, real estate, infrastructure, and private equity that can also be combined into multi-asset strate
asset classes such as equities, fixed income, currencies, hedge funds, real estate, infrastructure, and private equity that can also be combined into multi-
asset strate
asset strategies.
«Because our investment
management groups work independently and adhere to different investment approaches, Franklin, Templeton and Mutual Series funds typically have distinct portfolios and can be used to build truly diversified allocation plans covering every
major asset class.»
Adrian Williams, Alphameric, alternative
assets, Argo Group,
asset managers, Avangardco, Bear Stearns, binary outcomes, capital expenditure, catalyst, delisting risk, DM plc, Dresden, emerging markets, Expected Value, Fair Value, Fortress Investment Group, Gagfah, government regulation, intrinsic value, IRR, Joe Lewis, litigation,
major sale, Net LTV, P / E ratio, P / S Ratio, risk aversion, risk
management, share buyback, share repurchase, takeover offers, Timeweave
Quite obviously, there was no agreement between
management &
major shareholders re fair values (vs. current book values) for remaining
assets & liabilities.
Fortunately, when it comes to my disclosed Donegal Investment Group (DCP: ID) holding, it recently realised a
major asset, with the valuation of its other
major asset to be determined by year - end (thereby triggering a disposal), and
management committed to returning capital to shareholders via share buybacks.
He highlighted Canadian Natural Resources Ltd. (CNQ / TSX) as an example given its quality
assets, strong
management team, and attractive valuation since it trades at a discount to other
major producers.
There is an appealing simplicity in the concept of target date funds that has a strong attraction for investors: Just pick a year, and lean back — your portfolio
management is now on autopilot, with coordinated diversification among the
major asset classes that is rebalanced periodically toward your estimated time of arrival, your target date.
By that I mean the cost of indexed ETFs on the
major global
asset classes and the
management of highly diversified portfolios rebalanced and tax - optimized.
The DMA's presentation is made possible with
major support provided by Deutsche
Asset & Wealth
Management.
Cohen, the chairman of Point72
Asset Management, is a museum trustee and a
major collector of modern and contemporary art.
The investigation, reported earlier by The Wall Street Journal, is focusing on the board's
management of its endowment; its handling of its
major asset, the Chrysler Building; its dealings with Tishman Speyer Properties, which manages the skyscraper; and how it obtained a $ 175 million loan from MetLife using the building as collateral, according to people involved.
Under our proactive and structured approach to renewable
asset management, we quickly and effectively troubleshoot any issue, from minor problems to
major repairs.
«We'll prudently maintain our offshore wind
assets — which includes working with the Bureau of Ocean Energy
Management (BOEM) on a lease for the Delaware project — and continue to seek a buyer or
major investor for that project.»
Maclay Murray & Spens» London push has sealed a
major role opposite Freshfields Bruckhaus Deringer on a # 265m financial services acquisition for Aberdeen
Asset Management.
# 410m and managing a portfolio of 38 multi-let properties for a
major US Investment Bank (including acquisitions,
asset management and disposals).
Responsible for managing a portfolio of 38 multi-let properties for a
major US Investment Bank (including acquisitions,
asset management and disposals).
«Europe represents a
major growth opportunity for the alternative
asset management industry, and we are pleased to help facilitate conversations between European - focused allocators and managers via our one - on - one format,» said Mark Salameh, co-founder and CEO of Context Summits.
MassMutual is headquartered in Springfield, Massachusetts and its
major affiliates include: Babson Capital
Management LLC; Baring
Asset Management Limited; Cornerstone Real Estate Advisers LLC; The First Mercantile Trust Company; MassMutual International LLC; MML Investors Services, LLC, Member FINRA and SIPC; OppenheimerFunds, Inc.; and The MassMutual Trust Company, FSB.
ICONOMI, a digital
asset management platform for the distributed economy has reached its next
major development milestone.