Sentences with phrase «of selected asset»

Withdrawing funds works the same way, sending your desired amount of the selected asset to a wallet address, whether it's on your device or another exchange.
The dual momentum model uses relative momentum to select the best performing model assets and incorporates absolute momentum as a filter to invest in cash if the excess return of the selected asset over cash is negative.
On the chart of your selected asset you have to mark in blue the first line you see with a period of six.
Each of our selected asset classes is represented by a low cost, passive ETF.
Just enter the amount you want to invest (amount to RISK should be the right word), and click CALL if you believe the price of the selected asset will increase or PUT if you believe the price of the asset is going to decrease.
There is quite a bit that can be ascertained about possible future activity by tracking the path of a selected asset price within both its recent past and it's more distant past.
The efficient frontier tool shows the return and risk curve for the mix of the selected assets that minimizes the portfolio risk for the given expected return.
«Canada Lands Company's sale of the MTCCC is in line with our company's ongoing objective of optimizing the value of selected assets originally belonging to the Government of Canada,» says Mark Laroche, president and CEO of Canada Lands Company.

Not exact matches

The companies were selected based on a combination of factors: their prodigious revenues or assets, their social currency, their deep connection to our daily lives, and (particularly for the newer and smaller companies), their disruptive impact.
AIMS, which had $ 156 billion in assets under supervision at June 30, is an «open architecture» platform, which means none of the investments Goldman selects can be invested in funds that the bank's own portfolio managers oversee.
In fact, only 59 percent of respondents selected «Value of someone's assets minus their liabilities,» the correct formula to calculate your net worth.
A compilation of banking and financial indicators, including the Bank of Canada's assets and liabilities, credit and monetary aggregates, chartered banks data and selected financial market statistics.
There is a great divide among investors about whether the proper approach to investing is to actively manage your money by selecting individual holdings, or whether you should passively sit on your money by buying and holding assets for long periods of time.
If you've been on the site for awhile, you have a head start because we've already discussed the importance of a discipline known as asset allocation, which involves selecting among different asset classes to build a well - balanced portfolio that can weather different economic environments, tax regimes, global conditions, inflation or deflation, and a host of other variables that history has shown will fluctuate over time.
Insurance Select Sector SPDR (KIE) is among a limited group of passively - managed ETFs that justifies its fees (above the XLF benchmark) through focused asset allocation.
Dow Jones Canada Select Growth IndexSM, Dow Jones Canada Select Value IndexSM and Dow Jones Canada Select Dividend IndexSM are servicemarks of Dow Jones & Company, Inc. («Dow Jones») and have been licensed for use for certain purposes pursuant to a license agreement between Dow Jones and BlackRock Institutional Trust Company, N.A., which has further sublicensed the use of those servicemarks to BlackRock Asset Management Canada Limited.
Currently, 3 ETFs track the S&P Financial Select Sector Index with more than $ 32.1 B in ETP assets with an average expense ratio of 0.68 %.
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.
An array of measures is selected from the overall credit supply (or what is the same thing, debt securities) to represent «money,» which then is correlated with changes in goods and service prices, but not with prices for capital assets — bonds, stocks and real estate.
Once you have selected your top - priority topics and stories, you will need a way to manage the process of turning your ideas into full - fledged content assets.
Currently, 2 ETFs track the S&P Utilities Select Sector Index with more than $ 7.37 B in ETP assets with an average expense ratio of 0.61 %.
Our investment team will typically select 25 — 50 bonds5 per account, and may invest in a mix of corporate bonds, U.S. Treasuries, government agencies, mortgage and asset - backed bonds, taxable municipal bonds, and floating - rate bonds.
We believe that our approach of constructing a portfolio of carefully selected equity hedge fund managers is the most prudent way for investors to gain exposure to this asset class within a traditional investment portfolio.
To build a diversified portfolio, an investor generally would select a mix of global stocks and bonds based on his or her individual goals, risk tolerance and investment timeline.2 The chart below highlights how those broad asset classes have moved in different directions over the past 20 years.
Cynics say that true owners do things like select the CEO and other executives, select the Board, determine pay and benefits, and decide how to dispose of assets — including whether to sell the company itself.
Review the investments offered by the plan and be sure that your asset allocation and the investments selected dovetail with your retirement goals and fit with your overall investment strategy including assets held outside of the plan.
Kraken, a San Francisco - based cryptocurrency exchange, was selected by Kobayashi to assist with the claims process and the distribution of assets.
Kraken is selected to support the investigation of missing Bitcoin and the distribution of remaining assets to MtGox creditors.
The «partnership with GGP» refers to Simon's «agreement in principle to sell selected Macerich assets to General Growth Properties, Inc. (NYSE: GGP) in connection with the closing of the acquisition,» and the questions raised there would seem to be antitrust ones:
The ImpactAssets 50 Review Committee selects firms according to a set of criteria developed to ensure that the list includes a diverse set of firms with experience in the field, scale in terms of AUM and investor base, commitment to impact and representing a range of approaches, asset classes and impact areas.
These 50 firms have been selected to demonstrate a wide range of impact investing activities across geographies, sectors and asset classes.
Terra Firma has selected Huadian as the preferred bidder for the assets of its Infinis business and the Chinese group is evaluating the impact of the recent Brexit referendum.
Fehr selected 10 equally weighted ETFs for his sample portfolio, an approach based on the view that the odds for each asset class are generally about the same most of the time.
As of 3/31/11, Best Buy Co., Inc. represented 3.2 % of The Oakmark Select Fund's total net assets, Wal - Mart Stores Inc. 0 %, Amazon.com, Inc. 0 %, DIRECTV, Class A 4.0 %, Calpine Corp. 4.7 %, Cenovus Energy, Inc. 4.8 %, Capital One Financial Corp. 4.4 %, H&R Block, Inc. 4.1 %, Western Union Co. 0 %, and Mastercard, Inc., Class A 3.8 %.
All of the ETFs Fehr selected trade on the Toronto Stock Exchange, with seven from Toronto - based Global Asset Management Inc..
In a day and age in which regular asset classes that commercial portfolio managers normally consider have become overwhelmingly bloated in price as a consequence of the persistent and extended cheap money policy of global Central Bankers, an investment strategy of concentration in few select still undervalued assets versus diversification is likely the only strategy that will work moving forward in returning significant yields.
As of 09/30/15, Amazon.com, Inc. represented 1.5 %, Google, Inc. 6.9 %, Apache Corp. 4.1 % CNH Industrial N.V. 3.6 %, and General Electric Co. 5.3 % of the Oakmark Global Select Fund's total net assets.
Besides the pop - up window, Binary Options Robot allow traders to access its traditional trading features such as selecting which assets to trade as well as the size of the trade, setting a limit for allowed daily trade losses and the maximum number of daily trades that the robot can perform.
As of 6/30/12, The Walt Disney Co. represented 0 %, eBay, Inc. 5.0 %, Amazon.com, Inc. 0 %, and Dell, Inc. 3.8 % of The Oakmark Select Fund's total net assets.
Currently, 1 ETF track the MSCI ACWI IMI Timber Select Capped Index with more than $ 232.69 M in ETP assets with an average expense ratio of 0.55 %.
NEW YORK, June 30, 2016 — Tocqueville Asset Management, along with co-lead portfolio managers J. Dennis Delafield and Vincent Sellecchia, are proud to announce the promotions of Joshua Kaufthal and James Maxwell, CFA, to Co-Portfolio Managers of the Delafield Fund (DEFIX) and the Tocqueville Select Fund (TSELX).
To test robustness of findings, they: (1) account for one - way trading frictions ranging from 0.02 % to 0.05 % across assets; (2) consider five subperiods to test consistency over time; and, (3) perform out - of - sample tests using the first part of each subperiod to select the best rules and roughly the last year to measure performance of these rules out - of - sample.
It has been often researched and opined that the types of assets one invests in is more important for long - term total return than specific securities selected.
As of 12/31/11, H&R Block, Inc. represented 4.3 %, FedEx Corp. 4.3 %, Newfield Exploration Co. 4.0 %, Bristol - Myers Squibb Co. 0 %, and TRW Automotive Holdings Corporation 4.0 % of the Oakmark Select Fund's total net assets.
After login, the trader selects any of the assets displayed on the trading screen.
As a pointer; a trader is able to highlight choices of assets of interest, locate binary options to trade with each asset chosen then select the way he / she wants the asset to move.
The vast majority of the money he made in his partnership was made from a handful of well - selected investments that he made a large portion of his portfolio (the famous example of course being American Express in the early 60's, when he put 40 % of his assets into that stock).
On the left - hand side below the categories of assets, you will select the specific asset that you want to trade with from a drop - down menu.
So, up to this point we know that you will need to select an underlying asset, expiry time, and prediction of price movement.
They consider four criteria in selecting asset class proxies: (1) market capitalization - weighted coverage of a wide variety of investable assets; (2) small initial investment; (3) low annual expenses; and, (4) versions that investors can short.
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