Sentences with phrase «yield portfolio manager»

Mike Davis is a High Yield Portfolio Manager.
Before joining Eaton Vance, he was a high - yield portfolio manager with Threadneedle Asset Management.
High Yield Portfolio Manager: «X Corp bonds are going to be downgraded by (S&P / Moody's / Fitch — pick one or many) soon.

Not exact matches

Underperformance in the high - yield space is fairly benign right now, says Washington Crossing Advisors portfolio manager Chad Morganlander.
Utilities and REITs, already the go - to sectors for yield - seeking investors, may still be the best bet, says Ryan Crowther, a portfolio manager at Franklin Bissett Investment Management.
All told, the jump in Treasury yields has yet to make its way into the broader economy in the form of higher borrowing costs, yet it will likely start to dampen the housing and auto markets as consumer loans become more expensive, said Gary Cloud, a portfolio manager of the Hennessy Equity and Income Fund.
Certainly, it offers an attractive level for longer - term investors such as pension and insurance funds to lock in a relatively decent yield, and will tempt some portfolio managers to buy bonds rather than equities.
Senior Portfolio Manager Susan Hill explains the recent surge in Treasury issuance and its effect on yields.
Mark Vaselkiv, portfolio manager at T. Rowe Price, noted that «Einstein said there were three great forces of nature: gravity, electro magnetism, and compounded interest... high yield is an asset class that ultimately capitalizes on the latter.
It occurs gradually over time as funds» holdings mature and portfolio managers replace them with newer, higher - yielding securities.
In a day and age in which regular asset classes that commercial portfolio managers normally consider have become overwhelmingly bloated in price as a consequence of the persistent and extended cheap money policy of global Central Bankers, an investment strategy of concentration in few select still undervalued assets versus diversification is likely the only strategy that will work moving forward in returning significant yields.
Although there have been many ups and downs in this extended rate cycle, junk bonds and the portfolio managers who buy and sell them have never experienced a rise from these yield levels before.
Prior to Ziegler Lotsoff, he co-founded a high yield and distressed hedge fund, Simran Capital, where he was also a Senior Portfolio Manager.
Eric Takaha, CFA Portfolio Manager, Franklin Strategic Income Fund Senior Vice President Director of the Corporate & High Yield Group Franklin Templeton Fixed Income Group ®
When economies look rosy, portfolio managers prefer less safe and more profitable investments, pushing yields and rates upward.
Our fund managers invest in a well diversified portfolio of company shares with a target of achieving an annual yield of around 3 1/2 %.
The portfolio manager's direct interaction with the market is critical in judging the supply, demand and / or other technical and temporary factors that drive price anomalies in the market, as well as the implications on after - tax yield.
In the case of SYLD, the manager chooses what he considers to be the top 100 stocks based on shareholder yield, as well as the portfolio weights.
«Our hope is that we have less than half the downside of high yield in a sell - off,» says portfolio manager Philip Mesman.
Back when I was exclusively a bond manager, 2001 - 2003, which I chronicled in my series «The Education of a Corporate Bond Manager,» I successfully struggled with one concept: when do you try to add more yield to your portfolio, and when donmanager, 2001 - 2003, which I chronicled in my series «The Education of a Corporate Bond Manager,» I successfully struggled with one concept: when do you try to add more yield to your portfolio, and when donManager,» I successfully struggled with one concept: when do you try to add more yield to your portfolio, and when don't you?
Val Petrov, PhD, CFA, As a portfolio manager on the Mortgage - Backed Securities team, Val concentrates on development and implementation of relative value models across yield curves (Agency Debt, Treasuries, Swaps) and Mortgage - Backed Securities (MBS) products.
As central banks move away from ultra-loose monetary policy, and the global economic expansion matures, bond fund managers will need to ensure their portfolios draw on a truly diverse range of sources of return and carefully consider portfolio risk if they are to generate yield in the current market environment.
Previously, Mr. Hoff managed the high - yield portions of the Fidelity Asset Manager funds and several international high - yield portfolios.
When economies look rosy, portfolio managers prefer less safe and more profitable investments, pushing yields and rates upward.
Lyniese Patterson has been a High Yield Assistant Portfolio Manager since 2012.
In our latest white paper, Senior Portfolio Manager Duane McAllister explains how the recent boost in short - term yields not only allows investors to once again earn a reasonable nominal return on their money without needing to take significant duration risk, it also provides an opportunity to earn a positive real return, since core inflation measures remain below the Fed's 2.0 % target.
Cornerstone Value Fund Portfolio Manager Brian Peery discusses the Fund's quantitative investment strategy, which seeks large, widely held dividend - yielding companies.
Michael Weilheimer is a vice president of Eaton Vance Management, director of high yield and a portfolio manager on Eaton Vance's high - yield team.
Jeffrey Mueller is a vice president of Eaton Vance Advisers International Ltd. and a portfolio manager on Eaton Vance's high - yield team.
To determine the potential yield on a bond, investment managers can use a number of different portfolio management techniques.
If you're so worried about the rising 10 - Year Treasury yield, which touched 3 % on Tuesday, stick to cash, according to TheStreet's founder and Action Alerts PLUS Portfolio Manager Jim Cramer.
In addition, he is a portfolio manager of Putnam Absolute Return 100 Fund ®; Putnam Diversified Income Trust; Putnam Emerging Markets Income Fund; Putnam Fixed Income Absolute Return Fund; Putnam Floating Rate Income Fund; George Putnam Balanced Fund; Putnam Global Income Trust; Putnam High Yield Fund; Putnam Master Intermediate Income Trust; and Putnam Premier Income Trust.
Prior to co-founding Peritus, Mr. Gramatovich was a Portfolio Manager with Smith Barney's Asset Management Division in Los Angeles, where he managed high yield portfolios for high net worth individuals and institutions.
David B. Marshak, David is a fixed income portfolio manager and member of the High Yield Investment Team.
Attracted by higher yields than on safer bonds, and with lower valuations than on stocks currently, portfolio managers and individuals alike have poured money into junk bonds this year.
AMG Managers DoubleLine Core Plus Bond Fund is a total return oriented portfolio invested across multiple asset classes, including non-core areas such as high yield, emerging markets and bank loans, to help manage interest rate exposure.
According to Michael Missaghie, a portfolio manager at Sentry Investments, «The REIT sector is one of the only places you'll be able to get a sustainable yield in the Canadian investment landscape.»
Utilities and REITs, already the go - to sectors for yield - seeking investors, may still be the best bet, says Ryan Crowther, a portfolio manager at Franklin Bissett Investment Management.
If you (or your portfolio manager) hold on to your investment, you can enjoy the extra yield from these bonds and get back your principal upon maturity.
They provide a necessary check on the ability of the portfolio manager to play «cowboy» (or «cowgirl»), and to mix the metaphors, be a yield hog.
Seeking a high level of income for investorsIncome - focused: The portfolio managers strive for a higher level of income than most bonds offer by investing in higher - yielding, lower rated corporate bonds.Focus on performance: The managers can invest across a range of industries and companies, and can adjust the fund's holdings to capitalize on market opportunities.Leading research: The fund's managers, supported by Putnam's fixed - income research division, analyze a range of bonds to build a diversified portfolio.
The portfolio manager also pointed out that its lease negotiations with Magna represent an upcoming positive catalyst for the stock, and it also offers investors a more than six per cent dividend yield.
Mr. Rocco is a lead portfolio manager for the high yield fixed income strategy and also contributes as portfolio manager to the multi-sector fixed - income strategy.
The investment manager for the stable value fund invests in a portfolio of intermediate term bonds with an average duration of approximately three to four years that will provide a significantly higher interest rate, or yield, than for example the short - term (average 60 days or less) securities typically held by a money market fund.
Managers are said to be «buying convexity» when they shift into higher convexity bonds and possibly reducing their portfolio yield.
«A company with a high yield does not translate to a good company, nor a safe investment,» says Craig Jerusalim, portfolio manager of Canadian equities at CIBC Global Asset Management.
After that, the portfolio managers were encouraged to ignore the rating, except to calculate the yield haircut for the incremental capital employed.
Every investor will have days where they will have their head in their hands, like I did managing the huge corporate bond portfolio in September 2002, where I said to the high yield manager one evening as we were leaving work, «This can't keep going on like like this, right?
He was responsible for the management of all fixed income assets, created and managed SEC - registered mutual funds, and was the first portfolio manager for their high - yield corporate bond fund.
Alberto Gallo, Algebris Investments portfolio manager, discusses positioning for a market where yields will rise.
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