Premium hatchbacks have become big business, so should the homogeneity of German propositions have you rolling your eyes there are some left - field options: Alfa Romeo's Giulietta is fairly disappointing and Lexus» CT 200h
trades performance for economy, but the new Infiniti Q30 is worth a look - similar under the skin to an A-class, it's quirkier to look at and rides better too.
The LeSabre doesn't force you to
trade performance for comfort.
The Asus ZenBook Flip UX360CA is a lightweight notebook that
trades performance for a quiet, fanless design.
Not exact matches
For much of the 2000s, Bluedrop
Performance Learning, a publicly -
traded St. John's, Nfld.
Such risks, uncertainties and other factors include, without limitation: (1) the effect of economic conditions in the industries and markets in which United Technologies and Rockwell Collins operate in the U.S. and globally and any changes therein, including financial market conditions, fluctuations in commodity prices, interest rates and foreign currency exchange rates, levels of end market demand in construction and in both the commercial and defense segments of the aerospace industry, levels of air travel, financial condition of commercial airlines, the impact of weather conditions and natural disasters and the financial condition of our customers and suppliers; (2) challenges in the development, production, delivery, support,
performance and realization of the anticipated benefits of advanced technologies and new products and services; (3) the scope, nature, impact or timing of acquisition and divestiture or restructuring activity, including the pending acquisition of Rockwell Collins, including among other things integration of acquired businesses into United Technologies» existing businesses and realization of synergies and opportunities
for growth and innovation; (4) future timing and levels of indebtedness, including indebtedness expected to be incurred by United Technologies in connection with the pending Rockwell Collins acquisition, and capital spending and research and development spending, including in connection with the pending Rockwell Collins acquisition; (5) future availability of credit and factors that may affect such availability, including credit market conditions and our capital structure; (6) the timing and scope of future repurchases of United Technologies» common stock, which may be suspended at any time due to various factors, including market conditions and the level of other investing activities and uses of cash, including in connection with the proposed acquisition of Rockwell; (7) delays and disruption in delivery of materials and services from suppliers; (8) company and customer - directed cost reduction efforts and restructuring costs and savings and other consequences thereof; (9) new business and investment opportunities; (10) our ability to realize the intended benefits of organizational changes; (11) the anticipated benefits of diversification and balance of operations across product lines, regions and industries; (12) the outcome of legal proceedings, investigations and other contingencies; (13) pension plan assumptions and future contributions; (14) the impact of the negotiation of collective bargaining agreements and labor disputes; (15) the effect of changes in political conditions in the U.S. and other countries in which United Technologies and Rockwell Collins operate, including the effect of changes in U.S.
trade policies or the U.K.'s pending withdrawal from the EU, on general market conditions, global
trade policies and currency exchange rates in the near term and beyond; (16) the effect of changes in tax (including U.S. tax reform enacted on December 22, 2017, which is commonly referred to as the Tax Cuts and Jobs Act of 2017), environmental, regulatory (including among other things import / export) and other laws and regulations in the U.S. and other countries in which United Technologies and Rockwell Collins operate; (17) the ability of United Technologies and Rockwell Collins to receive the required regulatory approvals (and the risk that such approvals may result in the imposition of conditions that could adversely affect the combined company or the expected benefits of the merger) and to satisfy the other conditions to the closing of the pending acquisition on a timely basis or at all; (18) the occurrence of events that may give rise to a right of one or both of United Technologies or Rockwell Collins to terminate the merger agreement, including in circumstances that might require Rockwell Collins to pay a termination fee of $ 695 million to United Technologies or $ 50 million of expense reimbursement; (19) negative effects of the announcement or the completion of the merger on the market price of United Technologies» and / or Rockwell Collins» common stock and / or on their respective financial
performance; (20) risks related to Rockwell Collins and United Technologies being restricted in their operation of their businesses while the merger agreement is in effect; (21) risks relating to the value of the United Technologies» shares to be issued in connection with the pending Rockwell acquisition, significant merger costs and / or unknown liabilities; (22) risks associated with third party contracts containing consent and / or other provisions that may be triggered by the Rockwell merger agreement; (23) risks associated with merger - related litigation or appraisal proceedings; and (24) the ability of United Technologies and Rockwell Collins, or the combined company, to retain and hire key personnel.
That stellar
performance was a remarkable feat considering the government - sponsored mortgage company was still repaying its federal bailout from the recession, only settling its tab in 2014 — and the stock's rise was mostly due to the fact that the shares had begun 2013
trading for mere pennies.
For 2013, Ares reports $ 306 million in net economic income, a metric favored by publicly -
traded private equity firms that don't believe GAAP accounting best explains their financial
performance.
US SIF: The Forum
for Sustainable and Responsible Investment is an SRI
trade association which provides reports on industry initiatives, community investing, shareholder advocacy, divestment and screening, trends, and
performance.
Directors must have a history of achievements that reflect high standards
for themselves and others, enabling them to contribute to the superior
performance of the Greater Vancouver Board of
Trade's Board.
Pursuant to the policy, as revised in February 2009, at each annual meeting of our stockholders, provided that the director has served on the Board
for at least six months prior to the annual meeting, a non-employee director would be granted RSUs having a value equal to $ 225,000 divided by the lesser of (i) the trailing average closing
trading prices of our common stock
for the 180 - day period preceding and ending with the date of the RSU grant or (ii) such number of RSUs as the Board may determine based on additional criteria such as business conditions and / or company
performance, outside director compensation practices at peer companies and advice from outside compensation consultants.
Further, as the table below reveals, the
performance of the exchange
traded fund
for oil, United States Oil (NYSE: $ USO), has been much better than the exchange
traded note
for copper, iPath DBJ - UBS Copper (NYSE: $ JJC).
Time flies, and it's time
for another annual update on the
performance of my own investment and
trading.
Directors must value the
performance of the Board as a whole over individual
performance and should demonstrate respect
for others in executing their responsibilities to the Greater Vancouver Board of
Trade.
Shares popped 6.7 % in after - hours
trading on Thursday, which bodes well
for the stock's
performance on Friday.
Most publicly
traded U.S. companies reward top managers
for hitting
performance targets, meant to tie the interests of managers and shareholders together.
Because there is no public market
for our common stock, our board of directors determined the common stock fair value at the stock option grant date by considering several objective and subjective factors, including the price paid by investors
for our preferred stock, our actual and forecasted operating and financial
performance, market conditions and
performance of comparable publicly
traded companies, developments and milestones in our company, the rights and preferences of our common and preferred stock, the likelihood of achieving a liquidity event, and transactions involving our preferred stock.
An exchange
traded index fund (ETF) can be very competitive on
performance, tax hit and bottom line cost,
for a variety of reasons.
That all of these assets stayed within one standard deviation
for the 60 - day
trading period makes their
performance a non-event.
IMI revenue up; warns on forex headwindsIMI PLC (IMI.LN) said Thursday that first - quarter
performance continued the improved trend of 2017, albeit with uncertainty in some segments, and that current
trading remains consistent with market expectations
for the year.
The table below quotes forecast highlights from the cited source and shows the
performance of the S&P 500 Index over various numbers of
trading days after the publication date
for each item.
After watching the
performance video diary
for a few days even I was surprised... almost all winning
trades!
Does adding a proxy
for the currency carry
trade among developed economies (long futures on three currencies with the highest interest rates and short futures on three currencies with the lowest interest rates) to a diversified portfolio improve its
performance?
Simulated portfolio returns 52 % beating S&P's
performance of 10 % The net return of the
Trade Ideas» simulated portfolio
for the 2016 calendar year was 52 % after commissions.
Using personality profiles
for 21 Australian self - directed investors along with information about their
trading and investment
performance during July 2004 - June 2005, they conclude that: Keep Reading
Considering their low correlation and superior
performance (higher profit margins and return on equity) to the sputtering tech sector that have been pushing this market to new highs, and the more than 70 publicly
traded names, it seems like there's something on the menu
for everyone.
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.
There are obviously some investors using them
for long - term investing purposes but these funds are also frequently used by hedge funds, traders, and
performance chasers alike as hedging vehicles, short - term market exposure
trades, and speculation plays.
Shares jumped 6.3 % in after - hours
trading, which bodes well
for the stock's
performance on Friday.
We view it as one of the most important figures
for judging the
performance of any
trading or investment service.
Contributing to this
performance has been a program of economic liberalisation, including increased openness to foreign
trade and investment, financial sector deregulation and a more prominent role
for the private sector.
After The Close - Stocks did little more than mark time on Tuesday, turning in a mixed
performance after
trading broadly higher
for much of the day on hopes
for new policy initiatives on the part of the Federal Reserve and a lessening in fears about the euro zone.
In fact, the same also applies if you did make money — you would have no way of knowing
for sure that you could replicate the
performance again, as each transaction is a standalone
trade and is not part of an overall strategy.
RightEdge caters to
trading system developers that demand high
performance systems utilizing industrial strength data storage
for high frequency data.
AvaTrade's own fully featured
trading platform AvaTrader — fully featured platform that can be downloaded as a standalone Windows based client
for professional grade
performance.
Goldman Sachs,
for example, reported first - quarter results on Tuesday that handily beat on both the top and bottom line forecasts, thanks to a strong
performance in its
trading division.
After more than 10 years of measuring and rating the effectiveness of the boards of directors of widely held Canadian publicly
traded companies, the Clarkson Centre
for Board Effectiveness (CCBE) published a report in 2013 about the
performance of family - controlled corporations (family firms).
Fiserv offers integrated, front - to - back wealth management solutions to help your firm deliver on goals - based wealth management the promise of the unified managed household (UMH)-- a single view of total assets and liabilities
for each customer household, actionable data
for optimal financial planning and decisions, and all the automation
for portfolio construction,
trade execution and rebalancing, portfolio accounting,
performance calculation and reporting.
Although the
performance results and share sizes displayed on this page are from the actual entry and exit prices listed in our
trading newsletter, all
performance data on this page, and throughout our web site, is hypothetical and
for educational purposes only.
That is why Morpheus
Trading Group proudly sports a track record of proven
performance that has outperformed the benchmark S&P 500 Index by a wide margin
for the past 10 years.
However there was scant detail about first - quarter
trading conditions, instead simply noting that «our internal review of the first - quarter
performance continues to indicate our ability to execute against these targets
for 2017.»
The S&P / TSX Venture Composite Index,
for example, is used to represent the
performance of companies that
trade on the TSX Venture exchange in Canada.
The first thing to note here is that, in the majority, day traders use technical analysis — examining past
performance and looking
for trading patterns to predict share price movements on charts — to pick and time their
trades.
If the returns
for frequently and seldom
traded art differ, there would be a disconnect between measured returns and overall asset class
performance.
The group is continuing to benefit from being a broadly based business, with a strong
performance from the cheese business compensating
for more challenging
trading in Dairy Crest's spreads and dairies businesses.
Based in Hong Kong, Grant oversees Accolade Wines» sales
performance across all channels of
trade in what is an exciting region of growth
for the business.
AUSVEG deliver a range of works including export readiness training
for growers both looking to commence exporting and those looking to improve exporting
performance; market development activities including a combination of inbound and outbound
trade missions to build growers» understanding of export market supply chains and facilitate connections with international fresh produce buyers; and work with industry, Hort Innovation and government to prioritise market access
for vegetable products.
Prior to his appointment, Grant was the National Sales Manager
for Accolade Wines in Australia with responsibility
for all State and National Independent Customers»
performance across On - Premise and Independent
Trade channels.
If we can find a better scheme fit through the draft in the next couple years that can take over at RT, we should be able to get decent
trade value
for Brown, more than his comp, assuming his
performance holds.
I would be fine
trading Darby
for the
performance of just Douglas.
Latos probably wasn't going to be eligible
for a qualifying offer after this season, not with his below - average
performance to this point, but this
trade to the Dodgers guarantees that he can not receive one upon hitting free agency.