Our clients include the largest dedicated emerging
markets asset managers in the world.
Fiera Capital's European Division is a specialist emerging and frontier
markets asset manager, with a highly qualified investment team of dedicated investment professionals at its heart.
Not exact matches
Blockchain Capital manages $ 250 million across a number of funds, having invested in a number of decentralized crypto exchanges and Bitwise, the crypto
asset manager, as well as other companies spanning the crypto
market.
«It's going to be critical for earnings growth to kick in in order to sustain the bull
market from here and to be able to push stocks higher,» says Sarah Riopelle, vice-president and senior portfolio
manager at RBC Global
Asset Management.
Squawk Box sets the news agenda in the region every day, bringing viewers news and views from the top CEOs,
asset managers and newsmakers as Asian
markets open for trade.
Investors simply need to adjust to the current environment rather than ditch their equity portfolios amid geopolitical concerns and fears of a
market correction, a U.S.
asset manager told CNBC Wednesday.
Youssef Haidar, founder and CEO of Stonepine Capital Partners, a Dubai - based
asset manager with a focus on private equity in emerging
markets, shares his thoughts on entrepreneurship.
For example, Summer Capital has invested in Sybenetix, which is a RegTech startup that offers
market surveillance and compliance monitoring software for banks,
asset managers, hedge funds, and regulators.
MSCI should add mainland Chinese stocks to its benchmark emerging
markets index soon, some analysts say, especially as major U.S.
asset managers push into China despite obstacles.
By shifting the risks away from banks and to
asset managers, Gross argues that the risk of herd behavior that causes a liquidity event in
markets has been shifted away from the professional investing class and to a more amateur, less - informed, skittish class of investor: the public.
Reuters» monthly
asset allocation poll of 50 wealth
managers and chief investment officers in Europe, the United States, Britain and Japan showed growing caution about equities even as world stock
markets surged to fresh highs in January after repeatedly smashing records in 2017.
LONDON, May 2 - Veteran emerging
markets fund
manager Mark Mobius has teamed up with two former colleagues from U.S.
asset manager Franklin Templeton to launch investment firm Mobius Capital Partners.
Steven Ricchuito, Mizuho Securities chief economist, and Joe Zock, Tocqueville
Asset Management portfolio
manager, discuss the state of the
markets and economy following the Federal Reserve's May FOMC meeting.
«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.
Some pros think a bear
market will bring about renewed love for active
managers because that's where they can prove their worth, by moving
assets around instead of only mimicking a losing index.
«What they're realizing is money
managers like myself don't care about getting a sell in half a second,» said Michael Cohn, chief
market strategist at Atlantis
Asset Management.
NEW YORK, Nov 28 - The Federal Reserve faces the challenge of standing by as financial
markets «correct» as the central bank trims its
asset holdings, U.S. hedge fund
manager David Tepper said on Tuesday, adding he was surprised the bond - yield curve was so flat.
«This was what they call in science an «available insight,»» says Jeremy Grantham, co-founder and chief investment strategist of
asset manager GMO, which oversees $ 120 billion, and a widely respected identifier of
market imbalances of all types.
The best way to prepare for a
market correction is by putting money on companies that can deliver growth, one
asset manager told CNBC, as talk of a potential stock
market crash grows.
LONDON, May 2 (Reuters)- Veteran emerging
markets fund
manager Mark Mobius has teamed up with two former colleagues from U.S.
asset manager Franklin Templeton to launch investment firm Mobius Capital Partners.
John Bellows, Western
Asset portfolio
manager, and Dennis Gartman, The Garman Letter editor and publisher, discuss the impact of the House of Representatives passing their tax reform bill on the
markets.
Clockwise from left: Hannah Grove, Chief
Marketing Officer; Karen Keenan, Chief Administrative Officer; Liz Roaldsen, EVP, responsible for leading the Beacon digital transformation initiative; Lynn Blake, Chief Investment Officer of Global Equity Beta Solutions; (on monitor from Dublin) Susan Dargan, Management and future development, offshore business and Alternative Investment Services; (on monitor from London) Maria Cantillon, EVP and Global Head of Alternative
Asset Managers Solutions; Martine Bond, EVP for Trading and Clearing; Kim Newell, EVP and head of Global
Markets Europe, Middle East and Africa, State Street; Brenda Lyons, Head of the Specialized Products Group; Kathy Horgan, Chief Human Resources and Citizenship Officer; and Lori Heinel, Deputy Global Chief Investment Officer.
U.S.
asset managers and custody banks could face difficulty in lifting profit margins if the ongoing
market volatility increases the equity risk premium.
The stock
market has hit a skid so far this year, but it's poised for a rebound, says Kate Warne, principal and investment strategist at
asset manager Edward Jones.
The uptrend in US interest rates, wide swings in global currency
markets and greater price dispersion across individual securities and
asset classes could serve as powerful tailwinds for hedge - fund strategy
managers looking to capture alpha.
«The Fed's in data - dependent mode, and so
markets should take their cue from the numbers,» said Mark Dowding, a money
manager in London at BlueBay
Asset Management LLP, which manages $ 60 billion.
In today's
market,
asset managers have an opportunity to utilize ESG analysis as they compete to add value for investors.
Managers employ fundamental credit processes focused on valuation and
asset coverage of securities of distressed firms; in most cases portfolio exposures are concentrated in instruments that are publicly traded, in some cases actively and in others under reduced liquidity but in general for which a reasonable public
market exists.
At the same time, some two out of three
asset managers reckon a Chinese recession is the number one «tail risk» to global
markets.
Some of the entities that we compete with as an alternative
asset manager are substantially larger and have greater financial, technical,
marketing and other resources and more personnel than we do.
For more than 23 years — from 1984 to 2007 — Mr. Bralver was a founder and Vice Chairman of management consultancy Oliver, Wyman & Co. where he specialized in strategy, risk and operational work for leading investment banks,
asset managers, exchanges and other
market utilities.
Certain factors, such as the performance of the stock
market, the pace of distributions from our funds and from the funds of other
asset managers or the
asset allocation rules or regulations or investment policies to which such third - party investors are subject, could inhibit or restrict the ability of third - party investors to make investments in our investment funds.
He modified the original Fama - French five - factor model to account for research finding that, because there is no real - time
market price for illiquid private
assets, returns are appraisal - based and subject to
manager judgment.
Franklin Templeton is one of a select number of global
asset managers to have wholly - owned operations in Malaysia, the largest
market in Southeast Asia.
SHANGHAI / HONG KONG (Reuters)- Fidelity International has become the first global
asset manager allowed to launch investment products in China through a wholly - owned local subsidiary, as Beijing further liberalizes its capital
markets.
The
market should not be overly enthusiastic over today's oil price surge on reports that OPEC has managed to reach some kind of a deal to reduce supply, David Hunt, chief executive at
asset manager PGIM, said in an interview with Bloomberg Television on Wednesday.
Real estate developers,
asset managers, and, most recently, real estate agents are joining the fray of real estate crowdfunding platforms, trying to unseat the handful of leaders who have already established a strong leadership position in this very young
market.
The BlackRock ® Diversified Income Portfolio is flexible in nature, meaning the investment
managers have the ability to adjust or shift its
asset allocation as
market conditions change in order to find attractive income opportunities with an appropriate amount of risk.
Earnings are improving, significant amounts of
assets are moving into passive and systematic strategies (both of which de-emphasize the capital
markets aspect that active
managers historically implemented), and dispersion is rising.
Dirk Hofschire, senior vice president of
asset allocation research at Fidelity Investments, explains why, and what it may mean for investors in his monthly
market catch - up with Lars Schuster, institutional portfolio
manager for Strategic Advisers, Inc., a Fidelity Investments company.
When it comes to
marketing material and content from
asset managers, advisors appear to want direct, concise...
Star Mountain is a specialized
asset management firm focused exclusively on the U.S. lower middle -
market by investing debt and equity directly into established operating companies, making strategic investments into fund
managers and purchasing secondary fund positions.
«Financial intermediaries, such as
asset managers and fiduciaries, can make use of our new offering to successfully differentiate themselves in the
market and add value for their clients.»
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.
Veteran emerging
markets fund
manager Mark Mobius has teamed up with two former colleagues from US
asset manager Franklin Templeton to launch investment firm Mobius Capital Partners.
Mr. Aguilar has more than 20 years of broad investment management experience in the equity
markets, including managing index, quantitative equity,
asset allocation, and multi -
manager strategies.
Cumberland Advisors is a dedicated fee - for - service only
asset manager joining
market leading knowledge, analysis, and management with very low fees.
Meanwhile, bond
markets are concentrating as key participants, such as
asset managers, shrink in number but expand in size.8 As a result,
market liquidity may increasingly come to depend on the portfolio allocation decisions of only a few large institutions.
We've grown to become one of the nation's largest
asset managers — and one of the largest providers of index mutual funds, ETFs and money
market funds.2
Bernice Napach is a senior writer at ThinkAdvisor covering financial
markets and
asset managers, robo - advisors, college planning and retirement issues.