He is the portfolio manager for UK equity portfolios and jointly
manages Global portfolios.
Just last month, London - based lender HSBC Holdings hired CB Richard Ellis to
manage its global portfolio manager for approximately 72 million sq. ft.. At the same time, the lender's U.S. subsidiary, HSBC North America, renewed its contract with Jones Lang LaSalle for integrated real estate services for its 8 million sq. ft. portfolio in the U.S. and 2 million sq. ft. in Canada.
Not exact matches
«This has been a tremendous rally, and if you're overweight in certain sectors such as technology, your
portfolio might be a little bit out of whack as to what your goals are,» said JJ Kinahan, chief market strategist and
managing director of TD Ameritrade, which
manages $ 1.16 trillion - worth of assets for its
global clients.
Russ Koesterich, CFA, JD,
Managing Director and
portfolio manager, is a member of the
Global Allocation team within BlackRock's Multi-Asset Strategies Group.
Stephen Cucchiaro has over 35 years of studying the
global capital markets and
managing investment
portfolios.
Most recently, Mr. Harris was a
Managing Director at Beacon
Global Asset Management, a Partner at MB Investment Partners Inc., and a Partner and
Portfolio Manager at Jamison Prince Asset Management.
Trevor was formerly a Senior Director and
Portfolio Manager for one of Europe's leading private investment offices, UK - based Stanhope Capital LLP, where he
managed discretionary mandates covering a diverse range of asset classes for
global families and U.K. charities.
Nick joined Leith Wheeler in June 2011 after spending the previous four years in London, England working as a
Portfolio Manager at Brevan Howard Asset Management and as an Investment Analyst at Sofaer Capital, where he
managed natural resource - dedicated funds with
global mandates.
Adel is a Senior
Portfolio Manager in the
Global Quantitative Active Equity Group, where he focuses on managing global investment strategies, product development and quantitative research within developed ma
Global Quantitative Active Equity Group, where he focuses on
managing global investment strategies, product development and quantitative research within developed ma
global investment strategies, product development and quantitative research within developed markets.
A graduate of Thunderbird, Tom's accomplishments include
managing a diverse
portfolio of investments through the financial crisis, making investments in several
global payments companies that led to acquisitions, and building new business units in Mexico City, São Paulo, and Rio de Janeiro.
We are focused on delivering a range of products and innovative solutions for clients in need of new sources of return and new ways to
manage portfolio allocation and risk,» said David Blumer,
Global Head of BlackRock Alternative Investors.
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.
KKR also shares the insights that we have gained over time from
managing our
global Health Care Private Equity
portfolio.
Brent Beardsley,
global head of wealth and asset management at Boston Consulting Group, says more wealth management firms with a wirehouse — or integrated broker — model are looking to increase revenues from advisers by automating advice: «If you look at the big wirehouses, you'll see the role of the adviser has changed now that
portfolio management is increasingly being
managed centrally.
When you
manage your own investment
portfolio you can still benefit from our investment specialists»
global knowledge and views.
Put together with the North Sea assets acquired from Shell last year in a $ US3 billion deal, Santos»
portfolio would catapult Harbour —
managed by private equity giant EIG
Global Energy Partners — to a size roughly on a par with Woodside Petroleum or British - listed Dana Gas.
Workshop Host: Shoqat Bunglawala,
Managing Director; Head of
Global Portfolio Solutions Group, EMEA and Asia Pacific, Goldman Sachs Asset Management
In this workshop, Brandywine
Global, who has been managing index - agnostic global fixed income portfolios since 1992, explains how an unconstrained global fixed income strategy can generate absolute returns over market cycles by identifying opportunities through country, currency, duration, and sector management strat
Global, who has been
managing index - agnostic
global fixed income portfolios since 1992, explains how an unconstrained global fixed income strategy can generate absolute returns over market cycles by identifying opportunities through country, currency, duration, and sector management strat
global fixed income
portfolios since 1992, explains how an unconstrained
global fixed income strategy can generate absolute returns over market cycles by identifying opportunities through country, currency, duration, and sector management strat
global fixed income strategy can generate absolute returns over market cycles by identifying opportunities through country, currency, duration, and sector management strategies.
«However, I always allocate a portion of the
portfolio to alternative investments that include
managed futures, long / short funds,
global absolute funds and gold,» he said.
In 2004, she joined the
global fixed income team as a currency
portfolio manager where she has successfully
managed absolute return funds (multi-strategies and currencies) and
global bond funds.
As a member of the Fixed Income team, he
manages the firm's US and non-US inflation - adjusted, strategic income,
global total return and
global government
portfolios.
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.
He became a
portfolio manager for Europe, Australasia, and Far East (EAFE) mandates in 2009 and has
managed the
Global Climate Change strategy since its launch in 2007.
She
manages the
global Astia Angels investor network, curates deal flow, executes investments and
manages the
portfolio.
8:00 a.m. - 9:30 a.m. Bill Child Chairman, R.C. Willey Home Furnishings (a wholly owned subsidiary of Berkshire Hathaway) Topic: «How to Build a Business Warren Buffett Would Buy: The R.C. Willey Story» 9:40 a.m. - 10:40 a.m. Robert Hagstrom Author and
Portfolio Mgr, Legg Mason Growth Trust Topic: «Go Big: The Investment Case for US Multinationals» 10:50 a.m. — 11:50 p.m. Chuck Akre
Managing Member and CEO Akre Capital Topic: «Finding Outstanding Investments» 11:50 a.m. - 12:50 p.m. Networking Lunch - Executive Deli Sandwiches in the atrium Sponsored by Morningstar 12:50 p.m. - 1:50 p.m. Pat Dorsey Author, Director of Research - Sanibel Captiva Trust Topic: «10 Years, 100 Analysts and 2,000 Stocks: Learning From Experience» 2:00 p.m. - 3:00 p.m. Tom Russo Partner, Gardner Russo & Gardner Topic: «
Global Value Equity Investing»
The Cambria
Global Asset Allocation ETF (NYSE: GAA) utilizes a quantitative approach to manage a diversified portfolio of global asset cl
Global Asset Allocation ETF (NYSE: GAA) utilizes a quantitative approach to
manage a diversified
portfolio of
global asset cl
global asset classes.
Justin Christofel is a
portfolio manager and member of the BlackRock Multi-Asset Strategies (MAS) team, which is responsible for developing, assembling, and
managing both
global tactical asset allocation products and outcome - oriented solutions.
Alex Shingler is a
portfolio manager and member of the Blackrock Multi-Asset Strategies (MAS) team, which is responsible for developing, assembling, and
managing both
global tactical asset allocation
portfolios and outcome - oriented investment solutions.
Nor does it address the complexity of getting a multinational to integrate coworking space when it's already
managing a
global office
portfolio.
The
managing director of Australia's third - largest beer company, Coopers Brewery, says there might not be room for any extra imported beer brands in his
portfolio if any were to spring free in Australia from the proposed
global $ 146 billion merger of Anheuser - Busch InBev and SABMiller.
The fund,
managed by rural property veteran David Bryant, also grew distributions by 4 per cent to 8.92 cents in FY16 (a yield of about 5.4 per cent) as it benefited from rising
global demand for the commodities its properties produce, the increasing scale and value of its
portfolio and growing appetite for agribusiness from big institutional investors.
As president and
managing director of UB Group's United Spirits (USL) for 15 years, he led India's largest beverage alcohol industry to
global volume leadership and shifted the paradigm to revenue - led organic growth for the UB Group through the premiumisation of its brands
portfolio.
The company's
portfolio of twelve world - class
global brands is comprised of more than 4,350
managed, franchised, owned and leased hotels and timeshare properties, with more than 720,000 rooms in 94 countries and territories, including Hilton Hotels & Resorts, Waldorf Astoria Hotels & Resorts, Conrad Hotels & Resorts, Canopy by Hilton, Curio — A Collection by Hilton, DoubleTree by Hilton, Embassy Suites by Hilton, Hilton Garden Inn, Hampton by Hilton, Homewood Suites by Hilton, Home2 Suites by Hilton and Hilton Grand Vacations.
Before moving to Hawai`i, Rocky worked as an equity analyst and
portfolio manager for AIG Investments in New York, where he researched and
managed portfolio investments in
global equities.
During her tenure at Bayer she
managed comprehensive
portfolio of responsibilities in Finance and Information Technology both at regional and
global levels.
«To pay for much of the loss involved in this large - scale
portfolio publishing, UK publishers have also
managed to repeatedly deliver
global «megasellers» in recent years that have supported the trade in hard times.
Michael Fredericks,
Managing Director, is head of Income Investing for the BlackRock Multi-Asset Strategies group and lead
portfolio manager of the Multi-Asset Income,
Managed Income,
Global Multi-Asset Income and Dynamic High Income Funds.
He
manages equity assets on the behalf of Wellington Management's clients, drawing on research from Wellington Management's
global industry analysts, equity
portfolio managers, and team analysts.
USAA
Global Managed Volatility Fund generated a return ahead of its Lipper peer group, Flexible
Portfolio Funds, in the fourth quarter.
This is because such
portfolios are taking on risk that could have been
managed with diversification; a well - diversified,
global portfolio can help minimize this unnecessary risk.
FlexChoice Access offers the opportunity for you to design an investment strategy that works for you by selecting from the available asset allocation and risk
managed global multi-asset
portfolios or choosing to build a more customized
portfolio from the individual investment options available.
Brandes LP was one of the first investment firms to bring a
global perspective to value investing and has consistently applied the active, deep value approach to every
portfolio it
manages — in all market conditions.
Prior experience includes roles as
managing director,
global at Van Eck Glob al, where he ran the Hong Kong office and was lead
portfolio manager for international equities, chief investment officer at Peregrine Asset Management in Hong Kong and principal of Wanger Asset Management in Chicago.
In a
global marketplace that's constantly changing, our
portfolio managers and analysts work together to help members reach their financial goals while
managing risk to their
portfolios.
We seek new opportunities and
manage risk by teaming experienced
portfolio managers with our in - house
global equity research organization.
Though available to all contract owners, the
Global Atlantic
Portfolios are also ten of eleven
managed risk investment options qualifying as choices for optional living and death benefits, when applicable.
Shaw leads the Investment Grade Bond sector team for Signature
Global Asset Management and has
managed Signature's preferred share
portfolio for over 10 years.
Unlike traditional financial advisors and other robo - advisors, the internal algorithms build and
manage global, customized
portfolios of highly diversified, low - cost ETFs across asset - classes, while putting an emphasis on risk management by incorporating deep analysis of economic cycles in order to navigate its ups and downs and maximize long - term returns.
Harding Loevner
manages global and non-U.S. equity
portfolios following a consistent philosophy focused on long - term investment in growing companies with high - quality fundamentals.
Before that, Neil was a
portfolio manager for the Newton Investment Group's
Global Fixed Income team, where he managed a broad range of multicurrency global fixed income portf
Global Fixed Income team, where he
managed a broad range of multicurrency
global fixed income portf
global fixed income
portfolios.