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Annual Report - PEBA - Government of Saskatchewan
Annual Report - PEBA - Government of Saskatchewan

... The attached tables show all employees (including STC and Anti-TB) who retired during the year, split into various categories as to type of retirement and/or employees who terminated and elected retirement at a future date or died during the year. ...
PART V - Georgia College & State University
PART V - Georgia College & State University

... ownership of the underlying assets at the time the contract is initiated. A derivative represents an agreement to transfer ownership of underlying assets at a specific place, price, and time specified in the contract. Its value (or price) depends on the value of the underlying assets. The underlying ...
Form AUT – PFS Public Fund supplement
Form AUT – PFS Public Fund supplement

... Administration and Providing Custody in relation to the Public Fund to a Service Provider? If yes, please provide the full name of the Service Provider, jurisdiction and a confirmation how the Trustee meets the requirements of CIR 8.12.3 – 8.12.7. PF18. Will the Trustee / Custody Provider be carryin ...
Certificates of Deposit Linked to the J.P. Morgan Efficiente Plus DS 5
Certificates of Deposit Linked to the J.P. Morgan Efficiente Plus DS 5

... The J.P. Morgan Efficiente Plus DS 5 Index (Net ER) The J.P. Morgan Efficiente Plus DS 5 Index (Net ER) (the “Index”) was developed and is maintained and calculated by J.P. Morgan Securities plc (“JPMS plc”), one of our affiliates. JPMS plc acts as the calculation agent for the Index (the “index ca ...
TIPS: Opportunities for Active Management
TIPS: Opportunities for Active Management

... best way to capture opportunities for our clients is a balanced top-down, bottom-up approach, supported by strong fundamental and quantitative research with an emphasis on risk management at every step of the process. Entrusted with $114.3 billion in assets under management as of March 31, 2014, we ...
ASX SPI 200 ASX MINI SPI 200
ASX SPI 200 ASX MINI SPI 200

... global indices2 among the top nine equity markets in the world. Among Asia Pacific stock markets it is third only to Japan in terms of free float market capitalisation3. ...
Morningstar® Investor Return™ Methodology
Morningstar® Investor Return™ Methodology

... following month. Investors who purchased this fund in August did not have the same experience as those who purchased the fund in January. An individual who bought the fund in January, held the fund until the end of the year, reinvested distributions, and did not make any additional purchases or sale ...
MSCI Factor Indices
MSCI Factor Indices

... Index returns do not represent the results of actual trading of investible assets/securities. MSCI maintains and calculates indexes, but does not manage actual assets. Index returns do not reflect payment of any sales charges or fees an investor may pay to purchase the securities underlying the inde ...
An Economic Perspective on Dividends
An Economic Perspective on Dividends

... of future results. Dividend yield is one component of performance and should not be unmanaged and unavailable for direct investment. Index returns do not reflect investment the only consideration for investment. Dividends are not guaranteed and will fluctuate. advisory and other fees or expenses tha ...
Implications of Behavioural Economics for Mandatory
Implications of Behavioural Economics for Mandatory

... However, a growing research literature in behavioural economics suggests that plan members make systematic errors with respect to their retirement saving, leading ultimately to reductions in economic welfare. While lack of adequate disclosure or knowledge over financial matters may be partially res ...
New York 2008
New York 2008

... I guess the consensus then is that we are in a fairly lengthy slowdown, and I would agree with that. The next question is: how big and how deep will this slowdown be? I believe that we are entering into a longer down period, though on the other end most seem to be saying “Gee, we are done with the w ...
Direct Investing In Farmland and Real Assets
Direct Investing In Farmland and Real Assets

... operating farms based on a sample of 2000 Kansas farms for the period 1973-1999. Operating returns over this period average 6.8% p.a., and he estimates land returns to be 8.9% over the corresponding period. • Rolling 5-year returns for farms vs. farmland indicate that the returns to farming have bee ...
AON CORP (Form: 11-K, Received: 07/01/1996 00
AON CORP (Form: 11-K, Received: 07/01/1996 00

... Money Market Fund - Invested principally in shares of the Money Market Portfolio of the Series Funds. The portfolio invests in various types of good quality money market securities including certificates of deposit, commercial paper, U.S. Treasury and Agency securities and other similar instruments. ...
Comovement Among Stocks with Similar Book-to
Comovement Among Stocks with Similar Book-to

... definitions of S&P/Barra are a significant determinant of what value and growth style funds hold in their portfolios over the period from 2002 though 2004. Fifth, and perhaps most importantly, similar empirical patterns do not exist among the universe of stocks that would have been in the indices fr ...
The Month of the Year Effect on Dhaka Stock Exchange
The Month of the Year Effect on Dhaka Stock Exchange

... effect, stock returns in October are lower than in other months [6]. Szakmary and Kiefer [7] find that for the S&P 500 the effect disappears after 1993. Frieder and Subrahmanyam [8] find that returns are higher before religious holidays and lower following the holidays. Heston and Sadka [9] present ...
Morningstar`s 2016 Fundamentals for Investors
Morningstar`s 2016 Fundamentals for Investors

... years and five years after. This is for illustrative purposes only and not indicative of any investment. An investment cannot be made directly in an index. ©2016 Morningstar. All rights reserved. ...
Document
Document

... bases (underlying asset, index or reference rate ), in a contractual manner. The underlying asset can be equity , forex commodity or any other asset. In the Indian context the securities contracts (Regulation)Act, 1956(SC(R)A) defines “Derivative” to include : A security derived from a debt instrume ...
Challenges arising from alternative investment management
Challenges arising from alternative investment management

... investment strategies. While these strategies are flexible, and many different combinations exist, we can basically identify four major investment styles, of which there are numerous variations. – Long/short strategies involve taking simultaneously short and long positions in different securities, s ...
Läs mer. - Fjärde AP
Läs mer. - Fjärde AP

... risk. Moreover, our fundamental belief is that eventually, if not in the near future, financial markets will begin to price carbon risk. Our premise leads inevitably to the conclusion that a decarbonized index is bound to provide higher financial returns than the benchmark index. We believe that the ...
Topic2
Topic2

...  Now, we have ‘fiat’ money, i.e. a means of payment by government declaration. Legal tender – payment that cannot be refused in settlement of a debt denominated in the same currency by virtue of law. ...
GAAP - Office of Superintendent of Public Instruction
GAAP - Office of Superintendent of Public Instruction

... The districtwide financial statements measure and report all assets (both financial and capital), liabilities, revenues, expenses, gains, and losses using the economic resources measurement focus and the accrual basis of accounting. The accounting objectives of this measurement focus are the determi ...
How to Invest in the U.S. Overall Market?
How to Invest in the U.S. Overall Market?

... equity funds; index funds and specialized sector funds. As this study does not cover all policies, I will only discuss the relevant types. Equity funds mostly consist out of stocks, although it is possible that a small portion is invested in other types of assets. Additionally, an equity fund often ...
Low Volatility Equity Strategies: New And Improved?
Low Volatility Equity Strategies: New And Improved?

... costs, identical asset predicted returns and variances, and covariances across investors), a capitalization-weighted portfolio of all investable securities should provide the highest expected return per unit of risk, thus delivering maximum market efficiency. Furthermore, within that cap-weighted ma ...
LEVERAGE, HEDGE FUNDS AND RISK
LEVERAGE, HEDGE FUNDS AND RISK

... Using the notional value of the derivative can be misleading and may not fully capture the risk of the derivative, particularly when selling an option (as opposed to buying one), because the worst case loss on such a trade can be large and the payoff profile asymmetric. For example, if one sells cre ...
Dreyfus Variable Investment Fund: Quality Bond Portfolio
Dreyfus Variable Investment Fund: Quality Bond Portfolio

... An investment in the fund is not a bank deposit. It is not insured or guaranteed by the Federal Deposit Insurance Corporation (FDIC) or any other government agency. It is not a complete investment program. The fund's share price fluctuates, sometimes dramatically, which means you could lose money. • ...
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Index fund

An index fund (also index tracker) is an investment fund (usually a mutual fund or exchange-traded fund) that aims to replicate the movements of an index of a specific financial market, or a set of rules of ownership that are held constant, regardless of market conditions. As of 2013, index funds made up 18.4% of equity mutual fund assets in the US.
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