Starwood Property Trust, Inc. creates, finances, manages and invests in commercial mortgage loans and other commercial real estate debt investments, commercial mortgage - backed securities, and other commercial real estate -
related debt investments.
Not exact matches
The irony is that the growth of Chinese
debt is
related to Chinese citizens» limited set of
investment options: invest in
debt or save (as capital controls restrict money from flowing out of the country).
Before founding K2, he was with American Capital Ltd., a publicly - traded buyout and mezzanine fund (NASDAQ: ACAS), where he created the American Capital Energy Group, building a peak portfolio of nearly a billion dollars of market value of energy -
related equity and
debt investments across oil and gas production, oilfield services, utility services and alternative energy.
Represents the corporate and government -
related sectors of Bloomberg Barclays Global Aggregate Bond Index (which provides a broad - based measure of the global
investment - grade, fixed - rate
debt markets) and is considered representative of global
investment - grade
debt.
The speed with which China's GDP growth slows in 2013 will tell us a lot about how determined Beijing is to rebalance the economy in such a way that growth is driven more by higher household income and consumption and less by
investment funded by rising government and government -
related debt.
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.
We expect that the New Credit Facility will contain a number of covenants that, among other things, restrict SSE Holdings» ability to, subject to specified exceptions, incur additional
debt; incur additional liens and contingent liabilities; sell or dispose of assets; merge with or acquire other companies; liquidate or dissolve itself, engage in businesses that are not in a
related line of business; make loans, advances or guarantees; pay dividends or make other distributions (with certain exceptions, including tax distributions and repurchases of management equity); engage in transactions with affiliates; and make
investments.
In February 2014, rating agencies downgraded Puerto Rico's general obligation
debt and some
related bonds below
investment grade, with further downgrades possible.
The Treasury says the proposed regulations generally do not apply to
related - party
debt that is incurred to fund actual business
investment, such as building or equipping a factory.
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.
COUNTRY REPORT: UNITED ARAB EMIRATES Despite a fast - growing economy and plans to boost growth via infrastructure
investments,
debts are mounting again at Dubai's government -
related entities.
Having said that, the
investments are only made in equity & equity derivative instruments which justifies return enlargement thus, interest income from
debt &
related instrument acts as a secondary objective.
Investors have been able to turn a profit from
debt -
related investments like asset - backed securities and bonds for decades and borrowers have had access to personal loans and credit for even longer.
I have an unavoidable
debt related investments of 13K / month (PPF etc).
The
investment manager will also purchase utility and other energy -
related stocks, precious metals stocks, shares of REITs, and foreign government
debt when market conditions are believed to favor such diversification.
NexPoint Real Estate Strategies Fund seeks long - term total return, with an emphasis on current income, by primarily investing in a broad range of real estate -
related debt, equity and preferred equity
investments across multiple real estate sectors.
Investment Objective: - To enhance returns over a portfolio of
debt instruments with a moderate exposure in equity and equity
related instruments.
Investment Objective: To achieve growth by investing in equity & equity
related instruments, balanced with income generation by investing in
debt & money market instruments.
Investment Objective: To generate income and minimize interest rate volatility by investing in
Debt & Money Market securities that mature on or before the maturity of the scheme, and also to generate capital appreciation by investing in equity / equity
related instruments.
Newton allocates the Fund's
investments among equity and equity -
related securities,
debt and
debt -
related securities, and, generally to a lesser extent, real estate, commodities and infrastructure in developed and emerging markets.
However, Wells says that the fund may also invest in other right - learning films or projects and other «third - party
investments» like a mortgage backed securities fund or another private
debt -
related vehicle.
Jobs in
investment management are all
related to the securities industry, whether corporate securities or government
debts.
In February 2014, rating agencies downgraded Puerto Rico's general obligation
debt and some
related bonds below
investment grade, with further downgrades possible.
Investing in certain funds involves special risks, such as those
related to
investments in small - and mid-capitalization stocks, foreign,
debt and high - yield securities, and funds that focus their
investments in a particular industry.
As usual, this valuation incorporates all
related balance sheet assets / liabilities (except
investments & surplus cash), and it specifically includes a sustainable level of
debt.
MCLEAN, VA --(Marketwired - Apr 25, 2017)- Freddie Mac (OTCQB: FMCC) today issued the company's Monthly Volume Summary for March 2017, which provides information on Freddie Mac's mortgage -
related portfolios, securities issuance, risk management, delinquencies,
debt activities and other
investments... More
I pay for the $ 1300 in rental expenses from the HELOC, and the interest on this $ 1300
debt is now tax deductible, since I borrowed it to pay for
investment expenses (along with any amount on the HELOC which was used to make the down payment on the property and to pay for transactions fees, such as a lawyer,
RELATED TO THE PURCHASE OF THAT PROPERTY).
In a nutshell, REITs would purchase mortgage
debt or real estate
related assets for
investment, create a CDO, and then fill it with the mortgages or real estate assets they had purchased.
The Canada Revenue Agency (CRA or formally Revenue Canada) has the powers to force collections of tax
related debts — including wage garnishments, freezing bank accounts,
investment seizures; they may even register a lien on a residential home.
In addition to the risks of investing in emerging market country
debt securities, a fund's
investment in government or government -
related securities of emerging market countries and restructured
debt instruments in emerging markets are subject to special risks, including the inability or unwillingness to repay principal and interest, requests to reschedule or restructure outstanding
debt, and requests to extend additional loan amounts.
The
investment objective is to generate income by predominantly investing in
debt and money market securities, and to generate growth by taking moderate exposure to equities and equity
related instruments and provide diversification by investing in gold ETFs.
Investments include various types of bonds and other securities, typically corporate bonds, notes, collateralized bond obligations, collateralized
debt obligations, mortgage -
related and asset - backed securities, bank loans, money - market securities, swaps, futures, municipal securities, options, credit default swaps, private placements and restricted securities.
Counsel to a major Russian group on an investor - state claim against a CIS state
relating to a
debt arising out of energy
investments.
The firm has handled an array of corporate finance mandates throughout 2016, in keeping with the firm's historic strength in the area; the group advised Kitwave Group on its combined # 41.5 m
debt financing and
related equity
investment from Pricoa Capital and Allstate, which the client used to finance two acquisitions and support the growth of its national presence.
Most recently Moroccan authorities passed a Law
relating to
debt securitisation, a Law
relating to the real estate collective
investment scheme (OPCI)(passed but not yet applicable), and Islamic financial products.
Linklaters and CMS Vienna are advising
investment banks JP Morgan and Citigroup on matters of Austrian law
related to the Carinthian Compensation Fund's offer to the holders of HETA (formerly Hypo Alpe Adria) instruments in the nominal amount of Euro 11.2 billion, as part of the long - awaited
debt restructuring of the Heta banking crisis.
Major skills: Legal research and consulting; Common Law and Civil Law practice; Business Law practice (Including maritime and aviation law); Incorporation of companies in OHADA member states and in West Africa; Legal assistance of corporate bodies in OHADA member States and in West Africa; Company secretary tasks; Legal translation (French - English / English - French); Training of professionals in Business law practice and court procedures; Negotiation and drafting of business agreements;
Debt recovery procedures; Filing of trademarks and patents at OAPI (African Intellectual Property Organisation) and
related litigation; Alternative dispute resolution mechanisms (Negotiation, Mediation and Arbitration); Leasing transactions; Drafting of Oil and Gas contracts; Advice on commercial
investments options; Legal evaluation and management of projects.
Natalia has extensive experience in a variety of commercial disputes including contractual disputes arising out of SPAs and
related contractual documentation, shareholders» agreements,
investment agreements, option agreements,
debt finance agreements and
related security documentation, personal guarantees, partnership disputes (in relation to offshore private equity structures).
In this plan, predominant funds allotment is made on equity and securities
related to it along with a provision for
investments in money market and
debt instruments.
Exposure of
investments shall increase in
debt related funds gradually from equity based funds to safeguard capital
100 % in
debt and
debt related investments with no more than 25 % of the fund invested in instruments of maturities less than 12 months
American Apartment Owners Association offers discounts on products and services for landlords
related to your rental housing
investment, including rental forms, tenant
debt collection, tenant background checks, insurance and financing.
Performs activities
relating to cash management operations,
investments,
debt programs, and other special projects as directed by the...
The issues that are typically addressed in mediation are issues
related to children: legal custody and residential custody, visitation, child support, allocation of college expenses for the children, health insurance, life insurance; alimony and spousal support; division of real property, including the family home; division of tangible personal property including motor vehicles, boats, furniture, furnishings, art work, etc.; disposition of other property accumulated during the marriage, including bank accounts,
investment accounts, pension / profit - sharing / retirement accounts, etc.; payment of credit cards and other
debts, and tax matters including decisions relative to filing joint or separate tax returns and claiming the children as dependency deductions.
In addition, Mr. Carpenter has experience with international
investments and the acquisition of distressed
debt and
related foreclosure.
I would imagine that private investors would be more interested in the profitability of the individual
investment where a banks interest is more aligned with the ability to repay the
debt as agreed (often based on income streams not
related to the
investment).
MCLEAN, VA --(Marketwired - Apr 25, 2017)- Freddie Mac's (OTCQB: FMCC) Monthly Volume Summary for March 2017, which provides information on Freddie Mac's mortgage -
related portfolios, securities issuance, risk management, delinquencies,
debt activities and other
investments, will be live tomorrow.
Such factors include, but are not limited to: the Company's ability to meet
debt service requirements, the availability and terms of financing, changes in the Company's credit rating, changes in market rates of interest and foreign exchange rates for foreign currencies, changes in value of
investments in foreign entities, the ability to hedge interest rate risk, risks associated with the acquisition, development, expansion, leasing and management of properties, general risks
related to retail real estate, the liquidity of real estate
investments, environmental liabilities, international, national, regional and local economic climates, changes in market rental rates, trends in the retail industry, relationships with anchor tenants, the inability to collect rent due to the bankruptcy or insolvency of tenants or otherwise, risks
relating to joint venture properties, costs of common area maintenance, competitive market forces, risks
related to international activities, insurance costs and coverage, terrorist activities, changes in economic and market conditions and maintenance of our status as a real estate
investment trust.