We hate hearing this term — «online brochure» — because it sets such a low bar for what should be a law firm's
strongest marketing asset.
Not exact matches
The US$ 85 billion in monthly
asset purchases by the central bank have helped keep rates low and supported
strong gains on stock
markets.
David Katz, Matrix
Asset Advisors, and Steve Massocca, Wedbush Securities, discuss their
market outlooks for the rest of the year as
markets bounce back after some companies report
strong earnings results.
There's opportunity in emerging
market debt despite growing concerns over higher credit levels and the impact of a
strong dollar, the chief executive of Goldman Sachs
Asset Management told CNBC on Tuesday.
These included such bullet points as «Recent organizational realignment has strengthened focus on sales and revenue generation,» and «Well positioned in our
markets,
strong portfolio of strategic
assets and committed to achieving revenue growth.»
While geopolitical uncertainty was a major focal point earlier this year — with several North Korean missile launches initially sending investor scurrying into safe - have
assets — risk appetite has since improved, with
markets looking instead to
stronger economic growth globally.
The CEO of Gabelli
Asset Management says
strong corporate profits, tax reform, and new infrastructure and defense spending will buoy
markets
«In a
strong market, people tend to take more risks and move into some riskier
assets.»
«With the US labor
market recovery gaining momentum, the hope for
stronger global growth in 2014 is motivating investors to take on risk,» said Kathy Lien, managing director of FX Strategy at BK
Asset Management.
This is because higher inflows will cause adjustments in the economy — potentially including lower credit card rates, a
stronger dollar, weaker lending standards, higher unemployment and surging
asset markets» - Could you please provide us the explanation of a rising unemployment in the US in the case of a
stronger US$?
EMB was one of the first emerging -
market debt ETFs to be launched, and it still enjoys
strong assets and liquidity.
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.
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.
Strong markets correspond to time periods of the equity
market when National Bureau of Economic Research and Fidelity Investments»
Asset Allocation Research Team place a high probability on the economy being in either early or mid-cycle.
Moreover, to support a
stronger economic recovery, the FOMC is purchasing long - term Treasury securities at a rate of $ 45 billion per month and agency mortgage - backed securities (MBS) at a rate of $ 40 billion per month, and will continue purchasing
assets until it sees substantial improvement in the outlook for the labor
market, conditional on ongoing assessment of benefits and costs.
Goldman Sachs
Asset Management (GSAM) continues to experience
strong private client demand for emerging
market (EM) multi-
asset strategies as investors...
A
strong (weak) safe haven exhibits negative (zero) correlation with a reference
asset / portfolio during
market crises.
This approach focuses on stocks that are undervalued by the
market, with low P / E ratios, a
strong asset - to - liabilities ratio, and
strong financial fundamentals.
What I like about IVZ AUM is that we are not only talking about
assets being lifted - up by
strong market performance.
Consider that despite the stellar performance of gold mining stocks this year that have been, by far, the
strongest performing
asset class of 2016 (along with silver mining stocks), and that even with the massive growth in
market cap of PM stocks during H1 2016, the total
market cap of all the mining stocks that comprise the HUI Gold Bugs index, as of 2 August 2016, is still barely larger than 1/3 the
market cap of Facebook and Amazon.
With over 20 years of global
market experience, Alessandro's
strong background in the field of interest rates, central banks and European financial regulations helps to further strengthen AXA IM's global investment strategy and
asset allocation.
Investor demand for emerging
market (EM) debt has been
strong lately, as the near - term risk of trade wars has faded and income seekers have flocked to the
asset class» higher yields.
«RBC GAM's investment approach is characterized by fundamental research and rigorous discipline, along with a focus on risk management and portfolio construction, all within a team - oriented structure,» said Dan Chornous, chief investment officer, RBC Global
Asset Management Inc. «Habib and his team fit seamlessly with our approach, as demonstrated by their
strong investment results and stability of returns, with notably solid performance in down
markets.»
May 3 - Rising costs start to squeeze American businesse CNN Money May 3 - Home Prices Jump Again And «$ 3 Gas Is Coming» Dollar Collapse May 3 - Gold price claws its way higher on Fed meeting and geopolitics Gold - Eagle May 2 - Q&A on SS Central America Gold Coins CoinWeek May 2 - Goldman says case for owning commodities has «rarely been
stronger» than it is now CNBC May 2 - Gold, Silver See Corrective Bounces Ahead Of FOMC Statement Kitco May 1 - Gold Eagle Sales Still Faltering While Mining Output Collapses — Perfect Storm Daily Coin May 1 - Relentless USD Rally Is Precious Metal Kryptonite GoldSeek Apr 30 - Venezuelan Inflation: The Demise of Fiat Currency in Real Time GoldSilver Apr 30 - Silver
Market Update Clive P. Maund Apr 27 - Finest 1913 Liberty Head 5 - cent coin will headline ANA auction Coin World Apr 27 - PCGS security features help police nab suspects in robbery case Coin Update Apr 27 - The Most Famous Coin of Antiquity — the Athenian Owl Coin Week Apr 27 - Gold gains but remains vulnerable after Korean leaders meet Reuters Apr 26 - The Era of Very Low Inflation and Interest Rates May Be Near an End NY Times Apr 26 - What Is Gold:
Asset, Commodity, Currency Or Collectible?
A solid
asset base rounds up this
strong offering and underscores the fact that IEFA is a great choice for cost - effective, long - term exposure to developed
markets outside North America.
We work with you, to understand and meet your needs of business and
market protection and expansion, and to obtain
strong and cost - effective protection for your IP
assets where needed.
«There are pockets of areas that are getting
stronger and weaker — certainly there is less demand in the oil patch — but overall I have not seen any
market change in the amount of deal flow over the course of 2014 or 2015,» reports Michael W. Scolaro, managing director and group head of
Asset Based Lending at BMO Harris Bank.
«Fiona's investment and governance skills, combined with her
strong understanding of
asset owners and global
markets gained from experience at Link Administration Holdings and Frontier Advisors, will help us grow our world class capital and risk platforms.»
Despite the increasing exposure to financial
markets, household sector balance sheets remain
strong, with their aggregate net financial
assets rising by around 14 per cent over the year to the March quarter 1998.
There is good rationale as to why the bond
markets are in the position they are today; compressed spreads are the result of low rates coupled with
strong demand out pacing supply for yield
assets.
If Mr. Powell is correct that rates are mostly reflecting nonmonetary factors, then
asset prices may be sustainable, but if he is wrong, then there is a
strong possibility that as the Fed exits its unconventional polices, there will be a significant
market correction.
«This
asset received significant investor interest because of its excellent location,
strong tenant base and the fact that it is one of the few larger floor plate buildings catering to the progressive tenants driving demand in this
market,» says Bruce Miller, JLL's international director who co-heads the capital
markets group in Chicago.
Treasury chief executive Mike Clarke told The Australian Financial Review that with large
assets in California it was in a
stronger position than other global rivals even if there were changes in tariffs and other measures that might make it more difficult for exporters selling into the American
market.
«Cristóbal's deep knowledge of the Spanish language publishing
market, both in Spain and Latin America, and his editorial skills and
strong and close connection with authors will be a formidable
asset for The Wylie Agency and will help to shape a new course for us within the publishing world,» said Andrew Wylie in a press release.
• Recent completion of a post-secondary degree specializing in literature, communications, or a related field • Proficiency in Microsoft Office software • Enrolment in and / or completion of a professional publishing certificate is a
strong asset • French language proficiency is an
asset • Experience with XML coding and / or ONIX for books is an
asset • Keen interest in the book publishing industry • Excellent communication and time management skills • Related work experience in a field such as publishing, bookselling, communications, or
marketing will distinguish a potential candidate, but is not required
First
Asset Global Momentum Class ETF (TSX: FGL) The First
Asset Global Momentum Class ETF's investment objective is to seek to provide shareholders with long term capital appreciation, through investing the ETF's portfolio to gain exposure to equity securities of companies primarily from developed
markets that exhibit
strong price and earnings momentum characteristics.
First
Asset Global Momentum (CAD hedged) Class ETF (TSX: FGM) The First
Asset Global Momentum (CAD hedged) Class ETF's investment objective is to seek to provide shareholders with long term capital appreciation, through investing the ETF's portfolio to gain exposure to equity securities of companies primarily from developed
markets that exhibit
strong price and earnings momentum characteristics.
First
Asset Global Value Class ETF (TSX: FGU) The First
Asset Global Value Class ETF's investment objective is to seek to provide shareholders with long term capital appreciation, through investing the ETF's portfolio to gain exposure to equity securities of companies primarily from developed
markets that exhibit
strong «value» characteristics like low price - to - book ratios and low price - to - cash flow ratios.
While investors should remain cautious with
market volatilities, certain Chinese
assets with
strong fundamentals and attractive carry could be appealing.
The liquid - alt pitch is that individuals can access the same types of investments as university endowments and other big institutions, to diversify equity - heavy portfolios, typically with a 10 % to 20 % allocation to liquid alts... The advantage of the [AQR Managed Futures] strategy -LSB-...] is that it is uncorrelated with other
asset classes, and «has the most consistently
strong performance in equity bear
markets.»
Consider especially slide 32, where the weak dollar combined with
strong overseas equity
markets flattens out the net foreign
assets to GDP ratio at near -20 %.
This is largely because the last 15 years have seen
strong returns in several
asset classes that are absent in the Global Couch Potato: real - return bonds (9 % annualized since 1998), Canadian REITs (13 % since 1998), emerging
markets (8.8 % since 1999).
Strong markets correspond to time periods of the equity
market when National Bureau of Economic Research and Fidelity Investments»
Asset Allocation Research Team place a high probability on the economy being in either early or mid-cycle.
Strong rallies are periods when alternative strategies lag the broad
markets given that they are often hedged in their exposure to traditional
asset classes.
Specifically, the All
Asset strategies» recent
strong performance (see Figure 1) may be attributable in large part to four fundamental drivers of global capital
market returns: the breakeven inflation rate (BEI), EM currency valuations, EM - to - U.S. cyclically adjusted price / earnings (CAPE) ratios and the global value premium.
If recent volatility in the equity
market has you thinking about different ways to diversify your
assets, new data released by Roofstock illustrates why single - family rentals are a
strong investment alternative to stocks and bonds.
Participants in the Indian equity
market in 2016 may have been disappointed with the muted performance by broad equity
market indices (the S&P BSE SENSEX was up 3.47 % for the year), while other
asset classes such as bonds showed
strong performance (the S&P BSE Bond Index was up 13.2 %).
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.
Though LBOs have caused some selective widening of yield spreads, the broad corporate bond
market is being supported by
strong demand for fixed - income
assets, he said.
Last year was an extraordinary one for
markets with
strong returns and rock - bottom volatility (vol) across most
asset classes.