Sentences with phrase «share price volatility»

Investing in a volatile and uncertain commodities market may cause a portfolio to rapidly increase or decrease in value which may result in greater share price volatility.
Their dividends are usually qualified dividends, which get taxed at a lower tax rate, their yield is usually higher than common stock yields, and they may provide less share price volatility.
Different regulatory events and data from trials produces share price volatility.
These risks may increase the funds share price volatility.
«We believe it critical for a listing exchange to ensure a high - quality displayed quote to reduce the cost of capital and share price volatility for its issuers, and in the absence of broader market structure reform, exchange - paid quoting incentives are a necessary mechanism in a highly fragmented US marketplace to support liquidity for listed companies,» Cunningham said in a letter to clients emailed to Business Insider.
If share price volatility equaled risk, then investing in private companies would be nearly risk free simply by virtue of there being no active price quotation for the shares!
Hard to get that from divident stocks, and you don't have to worry about share price volatility with the condo.
Yes, ideally I could envisage a buyback that provides liquidity & takes advantage of share price volatility, preferably as a secondary strategy to a tender offer.
● When it comes to a diversified stock portfolio, stocks in the Resources and Manufacturing & Industry sectors expose you to above - average share price volatility.
In doing so, progressive organizations will lessen their exposure to operational disruption, reputational damage, financial — including share price volatility — and potential legal consequences.»
Shareholders may face a dilemma here — should they endure some potential near - term share price volatility, (ideally) in return for a substantial increase in the company's (recurring) revenues & intrinsic value in the next few years?
A portfolio with a beta of greater than 1 would generally see its share price rise or fall by more than the market, while a portfolio with a beta of less than 1 would have less share price volatility than the market.
The Oakmark Equity and Income Fund invests in medium - and lower - quality debt securities that have higher yield potential but present greater investment and credit risk than higher - quality securities, which may result in greater share price volatility.
This may result in greater share price volatility.
«We do not subscribe to the widely held view that share price volatility is synonymous with risk.
Rather, they outperformed by more than could be explained by their extra risk, as reflected in greater share price volatility.
This may result in greater share price volatility.
It also permits management to be far smarter & more opportunistic in their distributions, and their response to share price volatility.
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