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Fact Sheet:SSgA Enhanced Emerging Markets Equity Fund, May2017
Fact Sheet:SSgA Enhanced Emerging Markets Equity Fund, May2017

... Investments in emerging or developing markets may be more volatile and less liquid than investing in developed markets and may involve exposure to economic structures that are generally less diverse and mature and to political systems which have less stability than those of more developed countries. ...
Topic No. D-36 Topic: Selection of Discount Rates Used for
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... Pursuant to paragraph 44, an employer may look to rates of return on high-quality fixed-income investments in determining assumed discount rates. The objective of selecting assumed discount rates is to measure the single amount that, if invested at the measurement date in a portfolio of high-quality ...
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... On Feb. 03, 2015, RBI has permitted bonds issued in India by Multilateral finance institutions like IFC, Asian Development Bank, African development bank, as eligible underlying for repo in corporate debt securities. ...
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... for example, fare quite well in each transition category with average scores ranging from 3.7 to 3.93 of a possible 4; Poland received a lower score of 3.78. These measures of economic modernisation and policy liberalisation are second only to Hungary (3.96) and Slovakia (3.78). 4 In contrast, Alban ...
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... Give all answers in this question to the nearest whole currency unit. Ying and Ruby each have 5000 USD to invest. Ying invests his 5000 USD in a bank account that pays a nominal annual interest rate of 4.2 % compounded yearly. Ruby invests her 5000 USD in an account that offers a fixed interest of 2 ...
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... current productive capacity, leading to the development of new farmland and price appreciation in existing farmland assets. ...
Information Asymmetry within Financial Markets and Corporate
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... promoting the internal funding sources rather than the external ones. Most often, firms with large profits being made usually tend to have recourse and access to the preserved wealth rather than engaging in to debt practices to finance their investment projects and strategies. In fact, such a financ ...
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... later, the collapse of Lehman Brothers in September 2008 and the global financial crisis threatened the entire world economy. In March 2011, a catastrophic earthquake and tsunami struck northeastern Japan. Japan’s government budget deficit-to-GDP ratio breached 200% in 2010, mainly because of the hi ...
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Financialization



Financialization is a term sometimes used in discussions of the financial capitalism that has developed over the decades between 1980 and 2010, in which financial leverage tended to override capital (equity), and financial markets tended to dominate over the traditional industrial economy and agricultural economics.Financialization describes an economic system or process that attempts to reduce all value that is exchanged (whether tangible or intangible, future or present promises, etc.) into a financial instrument. The intent of financialization is to be able to reduce any work product or service to an exchangeable financial instrument, like currency, and thus make it easier for people to trade these financial instruments.Workers, through a financial instrument such as a mortgage, may trade their promise of future work or wages for a home. The financialization of risk sharing is what makes possible all insurance. The financialization of a government's promises (e.g., US government bonds) is what makes possible all government deficit spending. Financialization also makes economic rents possible.
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