The UK and Ireland office of the Malta Tourism Authority is the first tourism board to partner with leading online travel brand, Beautiful Destinations, to create high -
quality marketing assets to bolster Malta's promotional efforts.
During the past six years, we've realized a common denominator across all campaigns that generate north of $ 1 million: High -
quality marketing assets.
Not exact matches
Actual results, including with respect to our targets and prospects, could differ materially due to a number of factors, including the risk that we may not obtain sufficient orders to achieve our targeted revenues; price competition in key
markets; the risk that we or our channel partners are not able to develop and expand customer bases and accurately anticipate demand from end customers, which can result in increased inventory and reduced orders as we experience wide fluctuations in supply and demand; the risk that our commercial Lighting Products results will continue to suffer if new issues arise regarding issues related to product
quality for this business; the risk that we may experience production difficulties that preclude us from shipping sufficient quantities to meet customer orders or that result in higher production costs and lower margins; our ability to lower costs; the risk that our results will suffer if we are unable to balance fluctuations in customer demand and capacity, including bringing on additional capacity on a timely basis to meet customer demand; the risk that longer manufacturing lead times may cause customers to fulfill their orders with a competitor's products instead; the risk that the economic and political uncertainty caused by the proposed tariffs by the United States on Chinese goods, and any corresponding Chinese tariffs in response, may negatively impact demand for our products; product mix; risks associated with the ramp - up of production of our new products, and our entry into new business channels different from those in which we have historically operated; the risk that customers do not maintain their favorable perception of our brand and products, resulting in lower demand for our products; the risk that our products fail to perform or fail to meet customer requirements or expectations, resulting in significant additional costs, including costs associated with warranty returns or the potential recall of our products; ongoing uncertainty in global economic conditions, infrastructure development or customer demand that could negatively affect product demand, collectability of receivables and other related matters as consumers and businesses may defer purchases or payments, or default on payments; risks resulting from the concentration of our business among few customers, including the risk that customers may reduce or cancel orders or fail to honor purchase commitments; the risk that we are not able to enter into acceptable contractual arrangements with the significant customers of the acquired Infineon RF Power business or otherwise not fully realize anticipated benefits of the transaction; the risk that retail customers may alter promotional pricing, increase promotion of a competitor's products over our products or reduce their inventory levels, all of which could negatively affect product demand; the risk that our investments may experience periods of significant stock price volatility causing us to recognize fair value losses on our investment; the risk posed by managing an increasingly complex supply chain that has the ability to supply a sufficient quantity of raw materials, subsystems and finished products with the required specifications and
quality; the risk we may be required to record a significant charge to earnings if our goodwill or amortizable
assets become impaired; risks relating to confidential information theft or misuse, including through cyber-attacks or cyber intrusion; our ability to complete development and commercialization of products under development, such as our pipeline of Wolfspeed products, improved LED chips, LED components, and LED lighting products risks related to our multi-year warranty periods for LED lighting products; risks associated with acquisitions, divestitures, joint ventures or investments generally; the rapid development of new technology and competing products that may impair demand or render our products obsolete; the potential lack of customer acceptance for our products; risks associated with ongoing litigation; and other factors discussed in our filings with the Securities and Exchange Commission (SEC), including our report on Form 10 - K for the fiscal year ended June 25, 2017, and subsequent reports filed with the SEC.
She added that the lenders»
asset quality would then be subject to movements in
markets, which have been volatile since the start of the year.
An infographic developed by social - media
marketing company NowSourcing details some of the
qualities and traits shared by the rich (we're talking those who earn more than $ 160,000 a year and have $ 3.2 million in
assets).
If we, as hoped, carve out a significant
market share, the corporation may use those
assets to increase service, improve equipment
quality, or cut prices.
You can make money off cryptos, but it's a super-risky
market in an incredibly volatile junk -
quality asset.
A diversified portfolio can also be a good place to invest excess cash, knowing that if
markets continue to advance, you can reallocate some of your gains to
assets that are expected to be less volatile, like high -
quality bonds.
There are three critical issues to consider in creating a strong brand and raising
assets in today's competitive environment: the
quality of the fund offering, the investor's perception of the
quality of the fund offering, and the
marketing and sales strategy.
In particular, banks will have to hold sufficient high -
quality liquid
assets to be able to withstand 30 days of outflows under stressed
market conditions.
We believe that this is an appropriate time to rebalance investments, to diversify holdings broadly and globally across all
asset groups, and to capitalize upon improved equity -
market valuations to add
quality holdings to portfolios.
Sarona
Asset Management is an institutional -
quality, independent investment firm, with the objective to deliver capital to entrepreneurs in under - served
markets and help them develop their companies and their communities profitably and sustainably.
Using private
market valuations that were available at the time for Gannett's high
quality TV stations and marking to
market the company's investments in CareerBuilder and other internet companies, an investor could have concluded that those
assets alone where worth north of $ 11 a share at the time.
Anadarko has some of the highest
quality assets in the U.S. onshore
market, generating high returns on invested capital and holding a large inventory of undrilled locations.
Value creation, even if currently unrecognized by the
market, is in our view taking place in the form of accretive acquisitions by companies with access to capital and good balance sheets from those forced to sell
quality assets to address excessive balance - sheet leverage.
This is relevant because both instruments are high
quality assets that play an important role as collateral in the funding
markets.
The new trends of worsening credit
quality and central bank
asset sales are important for investors because they speak to the most appropriate
asset allocation for where we are in this
market cycle and the world's rising political risks.
The big takeaway for those seeking to buy into
market weakness: Be wary of buying notionally cheap
assets that face challenges (e.g. domestically - focused European
assets like U.K. real estate and European banks), and instead focus on
assets with relatively attractive valuations and positive fundamental drivers, such as
quality stocks, dividend - growth stocks and investment - grade bonds.
Alignvest is the parent company of three investment platforms: Alignvest Capital Management Inc., for its public
market strategies, Alignvest Private Capital, for its direct private investments, and Alignvest Investment Management Corporation, which provides institutional
quality, total portfolio management capabilities to
asset owners.
This happens from time to time when blood is running in the streets — the
market presents no - brainer opportunities to buy high
quality assets at a discount.
An abundance of surplus, lower
quality assets from separate vendors is also on the
market, putting pressure on values.
«We expect in the current
market that
quality peri-urban
assets such as these with rezoning potential and multiples titles will remain popular, particularly investment
assets with reliable tenants that generate 7 to 8 per cent yields to investors,» Mr Forrest said.
In each of these cases, sophisticated investors and operators are coming to the realization that the public
market is not affording retail stocks fair value and are «putting their money where their mouth is,» signifying that, for all the doom and gloom surrounding retail, there is still capital available to purchase
quality assets.
You can literally hand us the first draft, and we will walk your book through, step - by - step, to a truly professional
quality book that'll serve as a long - term
marketing asset for your business.
Investors and fund managers search for yield, extend maturities, reach for lower credit
quality and shift
assets from short term floating rate money
market funds to bonds, bond funds and similar investments.
The Master Fund may invest, including for defensive purposes, directly and indirectly, some or all of its
assets in high
quality fixed - income securities, money
market instruments and money
market mutual funds, or hold cash or cash equivalents in such amounts as the Advisor or general partner, manager or equivalent of the underlying Investment Fund (the «Investment Fund manager (s)») deem appropriate under the circumstances.
Not only does this mark a new era of investment alternatives from traditional
assets like stocks and bonds for investors to use in order to protect against portfolio risks but as investors allocate to commodities in local Asian
markets, the futures growth may help standardize the
quality of energy and food to make prices less volatile and their environment cleaner.
Identify good
quality, under - researched companies whose underlying
assets are misunderstood or not recognised by the
market;
Allianz did not grasp the poor
asset quality of Dresdner, particularly in the midst of a bad
market for investment banking
The big takeaway for those seeking to buy into
market weakness: Be wary of buying notionally cheap
assets that face challenges (e.g. domestically - focused European
assets like U.K. real estate and European banks), and instead focus on
assets with relatively attractive valuations and positive fundamental drivers, such as
quality stocks, dividend - growth stocks and investment - grade bonds.
I think the
market will be very volatile in the upcoming weeks and that's why I am now more focus on having
quality asset rather than high dividend yield payers.
The good news is, since the devastating
market tumble a decade ago, new laws and technology have combined to make high -
quality real estate and other
asset classes more accessible.
The strategy is to invest in
quality, undervalued
assets in developed
markets around the world.
This disparity results from the fact that REITs: 1) often focus on institutional
quality assets and
markets that have relatively low yields; 2) have corporate overhead costs to cover; and 3) want to avoid the risk of having to lower their dividends in the future — and thus only pay out a conservative level they believe to be sustainable.
In times of
market volatility spikes,
quality factor strategies have historically behaved defensively, which may provide opportunities for strong outperformance,» says Fiona Bassett, Global Co-Head of Passive
Asset Management.
We developed our TSINetwork ratings to help investors quickly and easily identify stocks with the
asset size and investment
quality to weather
market downturns and changing industry conditions.
However, frustrated buyers feel that many
assets should not command the same premium that the highest -
quality assets currently command in the
market and consequently buyers are unwilling to pay such vertiginous prices.»
I would add in other
asset classes as well: credit default, emerging markets, junk bonds, low - quality stocks, the toxic waste of Asset - and Mortgage - backed securities, and private eq
asset classes as well: credit default, emerging
markets, junk bonds, low -
quality stocks, the toxic waste of
Asset - and Mortgage - backed securities, and private eq
Asset - and Mortgage - backed securities, and private equity.
Since the strong rally starting in mid-February 2016, appetite for risky
assets appears to have increased, but
market participants have been differentiating more on
quality.
In the credit
markets, U.S. municipal bonds tracked in the S&P Municipal Bond Index have returned over 1.5 % in June as the diversity, yield, historical stability and
quality of the municipal bond
market has made it a «risk off» destination
asset class.
In addition, it's always seemed that the
market discounted it's
assets, as they were usually cheaper than most of the other options and generally had higher
quality assets that had broader exposure throughout the world.
I let it grow over $ 300K in 2015 and early 2016 in order to take advantage of the Canadian bear
market and purchased some high
quality assets at discount price.
«It has good
quality assets [but] commodity
markets are awful at the moment.
· Acquisition of high
quality assets across four regional platforms with leading
market positions
· NewCo represents a geographically diversified portfolio of high
quality assets with leading
market positions and provides a strong strategic fit across 4 strong growth platforms;
The Federal Reserve Board announces the creation of the
Asset - Backed Commercial Paper Money Market Mutual Fund Liquidity Facility (AMLF) to extend non-recourse loans at the primary credit rate to U.S. depository institutions and bank holding companies to finance their purchase of high - quality asset - backed commercial paper from money market mutual f
Asset - Backed Commercial Paper Money
Market Mutual Fund Liquidity Facility (AMLF) to extend non-recourse loans at the primary credit rate to U.S. depository institutions and bank holding companies to finance their purchase of high - quality asset - backed commercial paper from money market mutual
Market Mutual Fund Liquidity Facility (AMLF) to extend non-recourse loans at the primary credit rate to U.S. depository institutions and bank holding companies to finance their purchase of high -
quality asset - backed commercial paper from money market mutual f
asset - backed commercial paper from money
market mutual
market mutual funds.
They also maintain a short position against the broad stock
market to hedge against a
market decline and invest the majority of their
assets in cash alternatives and high
quality, short - term fixed income securities.
Scrupulous: Set aside money or high
quality assets in reserve, and treat the premiums as part of the the return on a high - yield money
market fund, albeit with the possibility of a severe loss.
Gregory Davis, head of Vanguard Fixed Income Group, says new fund invests primarily in high -
quality bonds across the investment - grade
market, including Treasury, mortgage - backed, corporate and
asset - backed securities of varying yields and maturities.
TEMPORARY INVESTMENTS: To respond to adverse
market, economic, political or other conditions, each Fund may invest 100 % of its total
assets, without limitation, in high -
quality short - term debt securities and money
market instruments.