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A guide to your with-profits investment and how we manage
A guide to your with-profits investment and how we manage

... exchanges around the world. As shares can rise and fall in value very easily, equities are riskier than most other investments. However, they usually offer the greatest chance of higher returns over the long term. In our With-Profit Fund the equity part of the asset mix includes equity-type assets t ...
News release - EY`s 2016 study on direct investment in Europe
News release - EY`s 2016 study on direct investment in Europe

... building materials. Such investments are frequently made in eastern Europe – nearly one in every two manufacturing jobs created by Swiss companies is in this region, with Poland benefitting the most out of the 13 target countries. Most investment projects launched by Swiss companies are in sales and ...
global dry powder continues to stack up
global dry powder continues to stack up

Business Network Post Brexit
Business Network Post Brexit

- CitiBank.cz
- CitiBank.cz

... the Czech Republic through its branch Citibank Europe plc, organizační složka ("Citibank"), it is our duty to inform you about the implementation of client categorization in accordance with the relevant European legislation, known as MiFID (European Parliament and Council 2004/39/EC of 21 April 2004 ...
FINANCIAL CRISIS
FINANCIAL CRISIS

Consultation Conclusions on the draft Securities and Futures
Consultation Conclusions on the draft Securities and Futures

... the matters contained in the existing Protection of Investors (Gold Purchase) Order made under section 2A of the Protection Investor Ordinance (Cap. 335). It prescribes that those arrangements for the purchase of gold coins or gold bullion which have the characteristics as specified in section 393(1 ...
IOSR Journal of Business and Management (IOSR-JBM) ISSN: 2278-487X.
IOSR Journal of Business and Management (IOSR-JBM) ISSN: 2278-487X.

... crises, and currency crises stemming from more open capital accounts. Greater freedom to invest, including in sensitive sectors such as real estate and stock markets, ability to increase exposure to particular sectors and individual clients and increased regulatory forbearance all lead to increased ...
A Time for Strategy - Tealwood Asset Management
A Time for Strategy - Tealwood Asset Management

... How you are invested is now as important as whether you are invested. The following chart shows the S&P 500 Index in quartiles by Price-to-Earnings (PE) ratio. The lesser three quartiles fall into a range that is unremarkable by historical standards. The first quartile, with an average PE ratio of n ...
Lotus Notes can be a tough Email client to test your HTML
Lotus Notes can be a tough Email client to test your HTML

... This information has been provided by MLC Limited (ABN 90 000 000 402) a member of the National Group, 105-153 Miller Street, North Sydney 2060. This material was prepared for advisers only. Any advice in this communication has been prepared without taking account of individual objectives, financial ...
TURKISH GOVERNMENT GRANTS CITIZENSHIP TO INVESTORS
TURKISH GOVERNMENT GRANTS CITIZENSHIP TO INVESTORS

... 40 percent share in the joint venture respectively, while the deal is valued at TRY 915 million (USD 245 million) for acquiring 79.48 percent of the shares. A second phase involving a tender offer for the rest of the company will be held at a later date. BRF Vice President for Finance and Investor R ...
Bond Strategies for Rising Rate Environments
Bond Strategies for Rising Rate Environments

... stocks performed well in rising rate environments, generating positive returns in seven such periods since 1948, high dividend stocks have outperformed the broad stock market in five of seven rising rate environments. It is quite possible that the future may be like the past. Surveying the factors t ...
November 2011 - Capital Markets Board of Turkey
November 2011 - Capital Markets Board of Turkey

... Chairman Mr. M. Emin OZER participated in the forum as a panelist in the “Turkish Markets Appeal to Investors and Companies” panel. Further, the private sector companies from the energy, wholesale and retail trade, real estate and transportation sectors contributed to the Turkey Forum with their sec ...
Weekly Commentary 08-08-16
Weekly Commentary 08-08-16

... Last Friday, the VIX dropped to 11.18, which was a two-year low. Financial Times attributed investor complacency to “…a buoyant U.S. jobs report and easy monetary policy.” However, it also pointed out analysts’ concern that the current lack of fear reflects a disregard for threats to world economic ...
Markets, Investments and Marketing-simulation Games
Markets, Investments and Marketing-simulation Games

... For the first time the business game is used in the training of regular students and post-graduates in 1986 in the sector “Market situation of international markets” of the then existing department “Organization and management of foreign trade”. It was practiced as special course for three academic ...
Governmental Accounting
Governmental Accounting

Irish Pension Schemes, new SORP (Statement of Recommended
Irish Pension Schemes, new SORP (Statement of Recommended

... • Disclosures must enable users to evaluate the nature and extent of credit risk and market risk (which includes interest rate, currency and other price risk) including objectives and policies for managing and measuring such risks. In DC schemes it is permissible to restrict this information to the ...
MSF-CHP25
MSF-CHP25

... DCs are defined as developed (high income) countries with per capital exceeding $9,300 (in year 2000). EMs; Active portfolios will include many stocks and indexes of EMs. 20 EMs made up of 16% of the world GDP, together with 25 DCs make 95% of GDP.China, Brazil and Korea are the largest EMs in the w ...
US election outcome favors US credit markets
US election outcome favors US credit markets

... industrials and consumer, are subject to greater risk, and are more greatly impacted by market volatility, than more diversified investments. Commodities may subject an investor to greater volatility than traditional securities such as stocks and bonds and can fluctuate significantly based on weathe ...
A Long-Only Strategy that Outperforms Down Markets
A Long-Only Strategy that Outperforms Down Markets

... felt the risk was fairly low. In 2008 to 2009, we did the same thing, purchasing Interpublic (IPG) debt instead of the equity. Mr. Subotky: There are a few other ways to manage the risk. The main one is at the individual security level. As we mentioned, a good way to do that may be to be more senior ...
Market commentary notes
Market commentary notes

... stock market, and in mid-2014 and again at the beginning of this year. In all three cases were heard stories of impending recession here and abroad. In some cases, such as 2011 they just evaporated. In others like 2012, 2014, we had actions by the ECB that lead to a more positive narrative (whether ...
First Israel Turnaround Fund
First Israel Turnaround Fund

Monthly Investment Commentary
Monthly Investment Commentary

... are reflecting some of the risk scenarios that could play out. And, the low yields paid by high-quality bonds make the other core financial asset class a very low return investment over our five-year investment time horizon. Given these concerns, private hedge funds or a growing number of mutual fun ...
Ch 25 Saving, Investment and the Financial System
Ch 25 Saving, Investment and the Financial System

... Y-C-G = I  Y-C-G : tells us our income (Y) after we paid for C and G….so this is National Savings (S)  …..so Y-C-G = I ……= ……S = I *think back to AE model ….at Equilibrium , S = I ...
Macquarie True Index Global Infrastructure Securities Fund
Macquarie True Index Global Infrastructure Securities Fund

... The significant risks of the Fund are described below, but there could be other risks that adversely affect the Fund. You should seek your own professional advice on the appropriateness of this investment for your particular circumstances and financial objectives. Investment risk: The Fund has expos ...
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Investment fund



An investment fund is a way of investing money alongside other investors in order to benefit from the inherent advantages of working as part of a group. These advantages include an ability to: hire professional investment managers, which may potentially be able to offer better returns and more adequate risk management; benefit from economies of scale, i.e., lower transaction costs; increase the asset diversification to reduce some unsystemic risk.Terminology varies with country but investment funds are often referred to as investment pools, collective investment vehicles, collective investment schemes, managed funds, or simply funds. An investment fund may be held by the public, such as a mutual fund, exchange-traded fund, or closed-end fund, or it may be sold only in a private placement, such as a hedge fund or private equity fund. The term also includes specialized vehicles such as collective and common trust funds, which are unique bank-managed funds structured primarily to commingle assets from qualifying pension plans or trusts.Investment funds are promoted with a wide range of investment aims either targeting specific geographic regions (e.g., emerging markets or Europe) or specified industry sectors (e.g., technology). Depending on the country there is normally a bias towards the domestic market due to familiarity, and the lack of currency risk. Funds are often selected on the basis of these specified investment aims, their past investment performance, and other factors such as fees.
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