description
... (part-time) in South Africa and/or Kenya to support the development of its infrastructure transactions pipeline and advisory services. ...
... (part-time) in South Africa and/or Kenya to support the development of its infrastructure transactions pipeline and advisory services. ...
press release text the wall street journal category kings
... Mutual fund investing involves risk. Principal loss is possible. Investments in foreign securities can exhibit greater volatility and additional risks include political, economic, and currency risks as well as differences in accounting methods. These risks can be greater for investments in emerging ...
... Mutual fund investing involves risk. Principal loss is possible. Investments in foreign securities can exhibit greater volatility and additional risks include political, economic, and currency risks as well as differences in accounting methods. These risks can be greater for investments in emerging ...
PDF - 50 South Capital
... ■■ Live track record of investing in a diverse group of hedge fund strategies since 2000. ■■ Extensive global investment experience, performing hundreds of manager meetings annually. There is no guarantee that the program investment objectives can be met. 50SouthCapital.com | 3 of 4 ...
... ■■ Live track record of investing in a diverse group of hedge fund strategies since 2000. ■■ Extensive global investment experience, performing hundreds of manager meetings annually. There is no guarantee that the program investment objectives can be met. 50SouthCapital.com | 3 of 4 ...
presentation - European Corporate Governance Institute
... Established in 1983 and based in Brussels ...
... Established in 1983 and based in Brussels ...
Investment Guidelines - Cloudsplitter Foundation
... Cloudsplitter Foundation By-laws Investment Policy Statement and Guidelines Our primary objectives are to achieve a reasonable total return on endowed funds that will optimize annual distributions of the Foundation while allowing for the long-term growth of the endowment net of management fees. Tot ...
... Cloudsplitter Foundation By-laws Investment Policy Statement and Guidelines Our primary objectives are to achieve a reasonable total return on endowed funds that will optimize annual distributions of the Foundation while allowing for the long-term growth of the endowment net of management fees. Tot ...
Fund Performance - 13D Activist Fund
... to realize losses upon the occurrence of adverse events affecting a particular issuer. The value of small or medium capitalization company stocks may be subject to more abrupt or erratic market movements than those of larger, more established companies or the market averages in general. An investor ...
... to realize losses upon the occurrence of adverse events affecting a particular issuer. The value of small or medium capitalization company stocks may be subject to more abrupt or erratic market movements than those of larger, more established companies or the market averages in general. An investor ...
Counsel Canadian Growth Class Series D
... The Canadian growth equities (80%) investment specialist seeks to identify companies that are changing for the better, and whose underlying fundamentals are improving more rapidly than the overall stock market. They seek to be rewarded by significant upward movements in stock prices that occur over ...
... The Canadian growth equities (80%) investment specialist seeks to identify companies that are changing for the better, and whose underlying fundamentals are improving more rapidly than the overall stock market. They seek to be rewarded by significant upward movements in stock prices that occur over ...
Our multi asset class funds: their diversification benefits and
... classes. By combining these different asset classes, investors can achieve their desired returns at lower levels of risk because asset valuations do not all move in the same direction at the same time. ...
... classes. By combining these different asset classes, investors can achieve their desired returns at lower levels of risk because asset valuations do not all move in the same direction at the same time. ...
Beyond Corporate Social Responsibility: The
... responsibilities toward the communities they impact, elaborated in the concept of Corporate Social Responsibility (CSR) and allied notions such as a Social License to Operate (SLTO). CSR is the realization of business contributions to sustainable development goals. It refers to how business takes ac ...
... responsibilities toward the communities they impact, elaborated in the concept of Corporate Social Responsibility (CSR) and allied notions such as a Social License to Operate (SLTO). CSR is the realization of business contributions to sustainable development goals. It refers to how business takes ac ...
Municipal Pension Plan AGM
... bcIMC MPP’s Investment Manager bcIMC is an investment management corporation for BC’s public sector funds and entities ...
... bcIMC MPP’s Investment Manager bcIMC is an investment management corporation for BC’s public sector funds and entities ...
risk tolerance questionnaire
... can accept occasional years with negative returns. Response__________ 3. Holding period. I am willing to maintain investment positions over a reasonably long period of time (generally considered 10 years or more). Response__________ 4. Liquidity. I do not need to be able to readily convert my invest ...
... can accept occasional years with negative returns. Response__________ 3. Holding period. I am willing to maintain investment positions over a reasonably long period of time (generally considered 10 years or more). Response__________ 4. Liquidity. I do not need to be able to readily convert my invest ...
Document
... increases by 41% for EMEs PF, while by 4% for OECD PF. After a shift from PPR to QAR, on average, Sharpe ratio drops by 20% for EMEs PF, while by 3% for OECD PF. As regards optimal portfolio part, there is evidence that higher return required, more allocated to equities In addition, foreign assets i ...
... increases by 41% for EMEs PF, while by 4% for OECD PF. After a shift from PPR to QAR, on average, Sharpe ratio drops by 20% for EMEs PF, while by 3% for OECD PF. As regards optimal portfolio part, there is evidence that higher return required, more allocated to equities In addition, foreign assets i ...
Associate Portfolio Manager Job Description (00291244).PDF
... group of private clients, institutions and endowments. Working in partnership with our clients, Athena serves as their chief investment officer and investment staff. Athena provides access to investment strategies and techniques used by the largest and most sophisticated institutional investors. Man ...
... group of private clients, institutions and endowments. Working in partnership with our clients, Athena serves as their chief investment officer and investment staff. Athena provides access to investment strategies and techniques used by the largest and most sophisticated institutional investors. Man ...
MFIN5600 Practice questions Chapter 1 1. Characterize each of the
... stocks make up of more than 50 percent of its weights, Nettle is considering using optimization to build the portfolio using many fewer than 100 stocks. All 100 stocks are considered very liquid. What are the pros and cons of optimization (using fewer stocks) versus full replication (holding all the ...
... stocks make up of more than 50 percent of its weights, Nettle is considering using optimization to build the portfolio using many fewer than 100 stocks. All 100 stocks are considered very liquid. What are the pros and cons of optimization (using fewer stocks) versus full replication (holding all the ...
powerpoint on pensions and inter
... companies means that UK pension funds are at particular risk of any sudden reassessment of the viability of high-carbon energy sources, according to a leading analyst. • According to the most likely projections by climate scientists, “at least one-half of fossil fuel assets will have to be left in t ...
... companies means that UK pension funds are at particular risk of any sudden reassessment of the viability of high-carbon energy sources, according to a leading analyst. • According to the most likely projections by climate scientists, “at least one-half of fossil fuel assets will have to be left in t ...
WiseEnergy Group announces Framework Agreement with leading
... WiseEnergy will provide full asset management services for a portfolio, currently consisting of 17 MWp of plants and which will increase significantly over the next 12 months, as the Fund has committed to investing €150m of equity in the Italian secondary PV market. “This noteworthy achievement stre ...
... WiseEnergy will provide full asset management services for a portfolio, currently consisting of 17 MWp of plants and which will increase significantly over the next 12 months, as the Fund has committed to investing €150m of equity in the Italian secondary PV market. “This noteworthy achievement stre ...
February 2004 - McCarthy Asset Management, Inc.
... March. Since then, the S & P 500 is up 35% and the Nasdaq has surged 52%. During this strong run, stocks have risen without a single 5% correction. That makes this the 11th longest uninterrupted upturn since 1928. A pullback may be just what the market needs right now to temper investor optimism, br ...
... March. Since then, the S & P 500 is up 35% and the Nasdaq has surged 52%. During this strong run, stocks have risen without a single 5% correction. That makes this the 11th longest uninterrupted upturn since 1928. A pullback may be just what the market needs right now to temper investor optimism, br ...
Invested in Better Working Conditions for Garment Workers in
... ow-cost goods often come at the expense of workers, who labor in unsafe conditions, receive unsustainably low wages and have no collective bargaining rights. This was highlighted by the November 2012 Tazreen garment factory fire and the April 2013 Rana Plaza building collapse in Bangladesh, which to ...
... ow-cost goods often come at the expense of workers, who labor in unsafe conditions, receive unsustainably low wages and have no collective bargaining rights. This was highlighted by the November 2012 Tazreen garment factory fire and the April 2013 Rana Plaza building collapse in Bangladesh, which to ...
Successful investment strategy for pension schemes
... assets such as equities, designed to generate positive net returns, and protection assets such as bonds, whose performance should match the level of liabilities within the fund. And it’s just as important to consider how that balance might evolve over time. For growth assets, there is a choice betwe ...
... assets such as equities, designed to generate positive net returns, and protection assets such as bonds, whose performance should match the level of liabilities within the fund. And it’s just as important to consider how that balance might evolve over time. For growth assets, there is a choice betwe ...
RBC Capital Markets
... Some funds completely written off Some VC’s are in survival mode Corporate investment arms are reducing or eliminating their investment activity Crossover funds are focused on public market opportunities, if anything at all ...
... Some funds completely written off Some VC’s are in survival mode Corporate investment arms are reducing or eliminating their investment activity Crossover funds are focused on public market opportunities, if anything at all ...
PL6 - African Development Bank
... Communicate and write effectively in French or English, with a good working knowledge of the other language. ...
... Communicate and write effectively in French or English, with a good working knowledge of the other language. ...
Document
... Yale University Repetto study of mining industry indicates poor disclosure of environmental risks prior to significant adverse events ...
... Yale University Repetto study of mining industry indicates poor disclosure of environmental risks prior to significant adverse events ...
Socially responsible investing
Socially responsible investing (SRI), also known as sustainable, socially conscious, ""green"" or ethical investing, is any investment strategy which seeks to consider both financial return and social good.In general, socially responsible investors encourage corporate practices that promote environmental stewardship, consumer protection, human rights, and diversity. Some avoid businesses involved in alcohol, tobacco, gambling, pornography, weapons, contraception/abortifacients/abortion, fossil fuel production, and/or the military. The areas of concern recognized by the SRI industry are sometimes summarized as ESG issues: environment, social justice, and corporate governance.""Socially responsible investing"" is one of several related concepts and approaches that influence and, in some cases govern, how asset managers invest portfolios. The term ""socially responsible investing"" sometimes narrowly refers to practices that seek to avoid harm by screening companies included in an investment portfolio. However, the term is also used more broadly to include more proactive practices such as impact investing, shareholder advocacy and community investing. According to investor Amy Domini, shareholder advocacy and community investing are pillars of socially responsible investing, while doing only negative screening is inadequate.