Toronto-based IA Clarington Investments Inc. has announced three new mutual funds and a new subadvisory relationship with New York-based PineBridge Investments LLC, a global asset manager with over US$85 billion in assets under management . "We are very.
It is nearly a year after an Actis subsidiary sold its last block of shares in Umeme Limited, pocketing a gain of $129 million during its 11-year relationship with the power utility firm. But now the Uganda Revenue Authority is interested in ... The.
“It is a considerable accomplishment to have two of our eight bond funds included,” said Mary Ellen Stanek, Managing Director, Chief Investment ... relationship between a bond’s price and its yield. Bond prices will fall as interest rates rise.
Adjusted net income for the fiscal 2017 fourth quarter and annual period exclude a $55.8 million ($34.1 million after-tax) impairment charge related to the Company's ongoing Customer Relationship Management ... result of higher interest income and foreign.
Once upon a time, basic hedging solutions for foreign exchange and interest rate exposures would represent the higher end of Asian banks' services to local corporates. Those might have involved FX options contracts, occasionally using non-deliverable .
In a global survey of investment banks, asset managers and funds conducted by Risk.net and LCH SwapAgent earlier this year, more than half of respondents claimed the non-cleared interest rate derivatives market is not working efficiently, while 72.
U.S. Bancorp, the biggest so-called regional bank in the U.S., said Wednesday that its third-quarter profit rose to a record level, helped by higher interest rates ... Income from treasury-management fees, trust and investment-management fees and corporate.
Yes, we are in a low- interest rate environment for many years now but there are products and there are specific asset classes that we can use to limit and reduce that risk and get a higher average return. I will be able to explain a little bit more.
adding that when interest rate increases, it favours fixed income investments and it drives assets from equity. “In portfolio management, the logical assumption is that relationship between interest rate and stock market is inverse. This implies that.
Edward Jones banking analyst James Shanahan told Forbes he expects Morgan Stanley's wealth management net interest income will hit $1.5 billion a quarter by the second half of 2019. That would be a threefold ... Institutional businesses seesaw with.
A piece in Grant's Interest Rate Observer, the charmingly cranky Wall Street newsletter, about Bridgewater Associates LP, the world's largest hedge-fund firm, has been getting a lot of attention this week. ... 3 There is a lending relationship , and.
Every year, Ronald-Peter Stoeferle and Mark J Valek of investment and asset management company Incrementum put together the report In Gold We Trust – 160-plus pages of charts and thoughts, mostly gold-related, on the state of the world's finances.
NEW YORK, Oct. 17, 2017 (GLOBE NEWSWIRE) -- Pzena Investment Management , Inc. (NYSE:PZN) reported the following U.S. Generally Accepted Accounting Principles (GAAP) and non-GAAP basic and diluted net income and earnings per share for the three ... are.