Depending on the portfolio size or the frequency of securities transactions, investors should evaluate whether the separately managed account services
within Strategic Asset Management are suitable.
Not exact matches
Many factors could cause BlackBerry's actual results, performance or achievements to differ materially from those expressed or implied by the forward - looking statements, including, without limitation: BlackBerry's ability to enhance its current products and services, or develop new products and services in a timely manner or at competitive prices, including risks related to new product introductions; risks related to BlackBerry's ability to mitigate the impact of the anticipated decline in BlackBerry's infrastructure access fees on its consolidated revenue by developing an integrated services and software offering; intense competition, rapid change and significant
strategic alliances
within BlackBerry's industry; BlackBerry's reliance on carrier partners and distributors; risks associated with BlackBerry's foreign operations, including risks related to recent political and economic developments in Venezuela and the impact of foreign currency restrictions; risks relating to network disruptions and other business interruptions, including costs, potential liabilities, lost revenues and reputational damage associated with service interruptions; risks related to BlackBerry's ability to implement and to realize the anticipated benefits of its CORE program; BlackBerry's ability to maintain or increase its cash balance; security risks; BlackBerry's ability to attract and retain key personnel; risks related to intellectual property rights; BlackBerry's ability to expand and manage BlackBerry ® World ™; risks related to the collection, storage, transmission, use and disclosure of confidential and personal information; BlackBerry's ability to manage inventory and
asset risk; BlackBerry's reliance on suppliers of functional components for its products and risks relating to its supply chain; BlackBerry's ability to obtain rights to use software or components supplied by third parties; BlackBerry's ability to successfully maintain and enhance its brand; risks related to government regulations, including regulations relating to encryption technology; BlackBerry's ability to continue to adapt to recent board and management changes and headcount reductions; reliance on
strategic alliances with third - party network infrastructure developers, software platform vendors and service platform vendors; BlackBerry's reliance on third - party manufacturers; potential defects and vulnerabilities in BlackBerry's products; risks related to litigation, including litigation claims arising from BlackBerry's practice of providing forward - looking guidance; potential charges relating to the impairment of intangible
assets recorded on BlackBerry's balance sheet; risks as a result of actions of activist shareholders; government regulation of wireless spectrum and radio frequencies; risks related to economic and geopolitical conditions; risks associated with acquisitions; foreign exchange risks; and difficulties in forecasting BlackBerry's financial results given the rapid technological changes, evolving industry standards, intense competition and short product life cycles that characterize the wireless communications industry.
The company said it would «explore
strategic alternatives» for its media and cloud - infrastructure businesses, and take a writedown on intangible
assets including capitalised development
within its media and IT units in the first quarter of 2017.
The
strategic beta ETFs offered by Hartford Funds are designed to help address investors» evolving needs by leveraging a unique risk - optimized approach, which identifies risks
within each
asset class and then deliberately and systematically re-allocates capital toward risks more likely to enhance return potential.
Founded to help small businesses
within the retail, restaurant, hospitality, and real estate industries successfully grow and expand their ideas and concepts, Streetsense Capital provides intellectual and financial capital,
strategic consulting, and
asset management, as well as access to the unparalleled expertise of Streetsense's multidisciplinary design and strategy team.
The Pantone Color Institute is a consulting service
within Pantone that forecasts global colour trends and advises companies on colour in brand identity and product development, for the application and integration of colour as a
strategic asset.
A
strategic review was also completed by year - end, which confirmed EIIB's new focus on building recurring revenue streams, primarily
within the
Asset Management business — with a stated target of $ 3 billion of AUM by 2016 (via a growth, JV & selective acquisition strategy).
The
strategic beta ETFs offered by Hartford Funds are designed to help address investors» evolving needs by leveraging a unique risk - optimized approach, which identifies risks
within each
asset class and then deliberately and systematically re-allocates capital toward risks more likely to enhance return potential.
Previous research from
Strategic Insight shows ETFs hold only a small fraction of defined contribution (DC) retirement plan
assets, but the ETF vehicle has finally found a point of entry into the DC market as an underlying investment
within other vehicles, such as target - date mutual funds (TDFs).
An emerging markets bond fund that integrates sovereign hard currency debt, local currency debt, emerging market corporate debt, and emerging market currency rates
within an actively managed,
strategic asset - allocation framework.
The exposure of Hussman
Strategic Total Return Fund to each
asset class
within the Fund's investment universe is generally aligned with the Advisor's estimate of the expected return / risk profile for that
asset class, classified based on prevailing market conditions.
In addition to the
strategic annual adjustment of each fund's target
asset allocation, the adviser may adjust each fund's underlying fund allocations
within a particular
asset class based on the following considerations: market trends, its outlook for a given market capitalization, and the underlying funds» performance in various market conditions.
Commenting on the opening, Ahmed bin Saud bin Saqr Al Qasimi, chairman of RAKHH, said: «Hilton Garden Inn Ras Al Khaimah is a very
strategic asset within our portfolio of hotels.
Digital
Asset has raised over $ 110 million from more than 15
strategic investors across the world, encompassing the leaders
within the financial and technology ecosystem who are uniquely placed to help drive adoption on a global scale.
Cayman Islands — November 2, 2017 — StormX, the blockchain - powered adtech and gamified micro-task innovators, today announced two
strategic partnerships with Kyber Network, a decentralized and trustless network that facilitates instant switching of crypto -
assets on blockchain platforms; and publicly - listed Global Blockchain Technologies Corp (TSXV: BLOC), an investment company providing investors access to a basket of holdings
within the blockchain space.
Assets located in
strategic locations
within high barrier - to - entry markets with strong demographics are considered prime targets.
From a
strategic viewpoint, a merger might make sense — Ramco - Gershenson
assets, which are located in many of the same areas as Equity One's, would fit well
within the latter's existing portfolio, says Joel Bloomer, a REIT analyst with Morningstar.