News

I am going on the maximum defensive with my 2025 model portfolio update, moving out of direct equities funds and including ...
Nomura Capital Management LLC (NCM), a wholly owned subsidiary of Nomura Holding America Inc. and a multi-credit manager ...
Goheal has been committed to exploring and practicing a new capital operation model, namely "counter-cyclical layout" and ...
For shareholders, this turbulent ride is all too familiar—echoing the company’s staggering 96% plunge during the 2022 ...
Balanced advantage funds invest in a mix of stocks, debt, and arbitrage opportunities. These funds decide their equity ...
Gecina Nom (GECFF) reports a 3.6% increase in gross rental income and confirms 2025 guidance, despite facing challenges in non-central areas and rising vacancy concerns.
Various estimates now peg the odds of a US recession between 40–60%. And should that risk materialise, the downstream effects ...
Global markets have been shaken to their core by President Donald Trump’s aggressive trade agenda — and despite his promise of a “new golden age of America,” the long-held appeal of US investment is ...
We believe the asset-management business can be conducive to the creation of economic moats, with switching costs and intangible assets being the most durable sources of competitive advantage.
In our view, Netflix’s tremendous success is due, in large part, to it being a first mover in the streaming industry and successfully adapting its business model to where the industry was going, while ...
The model portfolio aims to generate $10,000 annually with a $106,231 investment, averaging a 9.42% yield. It includes ...
"The 60/40 portfolio was designed for periods of low inflation," says economist Lauren Goodwin. "It won't work." ...