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...US plans for shutting down a global bank call for removing top management, wiping out the shareholders and imposing losses on creditors of its holding company....
...But notice that in the more recent statement, Berkshire is making a comparison to “the average American corporation,” not the S&P 500....
...Thus only a fraction of overall AUM is deployed in strategies that have a direct impact on the VIX® index (e.g. 1-month over/underwriting strategies on the S&P 500 index)....
...He did gain a seat on the P&G board after a very close vote and recount....
...Purchases totalled £948mn last year, down 28 per cent from 2022’s record high of £1.3bn, according to data from the Association of Investment Companies, a trust industry body....
...JPMorgan Asset Management....
...It’s an interesting approach because not only does it isolate the sanitised portfolio’s excess returns (in theory), the E S and G bits can be measured individually....
...However, the rating agency did say that it saw the suspension of debt payments as “a portfolio management exercise by BPY, not a default”, and that parent Brookfield Corporation, with $850bn of assets under...
.... — Jamie Santos’ Barossa gas project faces doubts despite legal win G’day from Sydney....
...Maybe it’s time to change management in those divisions.”...
...This outcome “fully invert[s]” the original deal, the Piccininis say in court filings. The family is appealing to the Delaware Supreme Court....
...Of the 674 companies featured in the Fortune 500 and S&P 500, 8.4 per cent of vacant CEO positions were filled by CFOs in 2023 — the highest percentage dating back to 2013, the first year of available data...
...“Higher interest rates are benefiting L&G’s large pension business, and Aviva’s ongoing transformation is reaping rewards,” she said, noting its diversification into wealth management....
...That euphoria has yet to be duplicated, though the IPOs in 2020 saw an average of 50 per cent first-day returns relative to the S&P 500....
...This is for the simple reason that the US enjoys unique strengths, such as natural resources, demographics, technological excellence and better-run corporations....
...Looks like S&P Ratings doesn’t find “attestations” especially convincing, either....
...Under 28 U.S.C. section 1408, a company can file bankruptcy in any district where it has its domicile, principal place of business, or principal assets for 180 days prior to bankruptcy....
...“We put on about S$30bn in that period of time just to lock in rates to protect us from a declining interest rate environment.”...
...They have pushed the concentration of the S&P 500 to a historic extreme....
...We were curious to see how Mullarkey’s chart looks broken into this year’s main two trading regimes — before and after the S&P 500 peaked on July 31....
...Iqbal Khan, UBS’s 48-year-old head of wealth management, is in the spotlight....
...Exclude the Magnificent Seven and an “S&P 493” would have returned only 8 per cent, according to Goldman Sachs’s latest calculations....
...“The mega buyout firms are looking to demonstrate that they can buy carve-outs with some management expertise and plenty of dry powder,” he said....
...Letters in response to this article: ESG’s role in never-ending quest for alpha is central / From Witold Henisz, Vice-Dean and Faculty Director, ESG Initiative, Deloitte & Touche Professor of Management...
...With over 20 years of senior level experience in global insurance and asset management, primarily with Axa, Rossi saw M&G as very much a “sleeping beauty”....
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