Bank of Montreal didn’t make White or Downe available to comment on this story, but White said in a July 5 Bloomberg TV interview to expect “a ... expanded in Europe with a 2014 takeover of F&C Asset Management and bought a transportation-finance.
AVY) Holder Baring Asset Management LTD Has Lifted Its Position by $1.30 Million. October 24 ... The institutional investor held 1,923 shares of the radio and television broadcasting and communications equipment company at the end of 2017Q2, valued at.
SINGAPORE (BLOOMBERG) - Singapore's stocks are set for a 15 per cent tumble this year, putting them in the same league as Greece. Baring Asset Management and UBS Group say shares need to get even cheaper before they're prepared to buy. Commodity trader.
In the past few months he's built up a 4 percent allocation to bullion in his 1.7 billion pound ($2.1 billion) Dynamic Asset Allocation Fund, which outperformed 80 percent of peers last year. Jim Rickards, author of New York Times best seller Currency.
“After some initial jolt, its secondary performance shows investors remain unfazed,” Sean Chang, Hong Kong-based head of Asian debt at Barings Asset Management Ltd., said in an interview. The episode serves as a reminder to global investors such as .
The Czech koruna is the worst-performing major currency against the dollar since QE3 was launched this month, according to a Bloomberg list of expanded ... Currency desks at Baring Asset Management and Amundi are avoiding the Brazilian real, which the.
On Thursday, President Nicolas Maduro went on state TV and said that he would seek a restructuring ... the chief investment officer at RVX Asset Management, told Bloomberg in an interview. RVX holds PDVSA debt. “There’s no real way to sugar coat.”.
Given how integral Chinese players are on both the buying and selling sides of the Asian debt market, this uptick in regulatory vigilance has wider implications, said Ken Hu, chief investment officer for Asia-Pacific fixed income at Invesco Hong Kong Ltd.
“That's something that keeps me awake at night,” said Remi Olu-Pitan, an investor in Schroder Investment Management's 96.2 billion pound ($125 billion) multi-asset division in London. “If there is any tantrum or any crisis, that money will flow out.
“This is CPPIB's first direct equity investment in private education and through Nord Anglia we are able to gain both asset and geographical diversification,” said Deborah Orida, head of private equity in Asia for CPPIB, Canada's largest pension fund.
“The CDS market has changed a lot since the global financial crisis in terms of definitions for credit events,” said Sean Chang, head of Asian debt investment at Baring Asset Management (Asia) Ltd. in Hong Kong. “But in certain regions, they are still.
The fund, iShares J.P. Morgan USD Emerging Markets Bond ETF, tracks a benchmark that's broadly used as an investment guide. The proportion of this fund's holdings rated in the BB tier and below (or unrated) by Moody's Investors Service has increased to .