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beat debt market volatility with tax-efficient, steady fixed maturity plans




with quantitative easing — the introduction of new money by central banks into the financial system — being reversed, yields are rising across the world. this trend is exerting pressure on yields in the indian debt market as well. in this volatile scenario, one debt mutual fund option that inves...



bond traders calm as us rates poised to rise




the world's biggest bond traders see no reason to shy away from long-term treasuries as the federal reserve is on the brink of its most aggressive round of rate hikes in more than a decade.tightening cycles have historically spurred outperformance in long-maturity debt, and managers of more than $us...



news digest: market volatility, oil prices, fiscal slippage, and more




market volatility to continue on hardening of us bond yields: sebi chief securities and exchange board of india (sebi) chairman ajay tyagi on saturday said the volatility in stocks was likely to continue but added there were no issues with the risk-management systems. he said the ongoing turbulence ...



market volatility to continue on hardening of us bond yields: sebi chief




securities and exchange board of india (sebi) chairman ajay tyagi on saturday said the volatility in stocks was likely to continue but added there were no issues with the risk-management systems. he said the ongoing turbulence in the market was due to external factors, such as hardening of us bond y...



goldman sachs says low vol strategy is failing to capture beta




a low-volatility strategy that has seen goldman sachs rake in an average yearly 15 per cent return since 1996 has almost run its course, according to the investment bank's quantitative strategists.the team's strategy has been to take a long position on the 40 asx 200 stocks with the lowest four-year...



goldman sachs says low vol strategy is failing to capture beta




a low-volatility strategy that has seen goldman sachs rake in an average yearly 15 per cent return since 1996 has almost run its course, according to the investment bank's quantitative strategists.the team's strategy been to take a long position on the 40 asx200 stocks with the lowest 4-year histori...



market volatility to continue on hardening of us bond yields: sebi chief




securities and exchange board of india (sebi) chairman ajay tyagi on saturday said the volatility in stocks was likely to continue but added there were no issues with the risk-management systems. he said the ongoing turbulence in the market was due to external factors, such as hardening of us bond y...



goldman sachs says safe defensives are not as safe as you think




traditionally safe stocks, like westfield and sydney airport, are becoming increasingly risky, as low volatility and market focus on interest rate direction dominate investor thinking. a low-volatility strategy that has seen goldman sachs rake in an average yearly 15 per cent return since 1996 has ...



greece plans three new bond sales to build post-bailout buffer | business




greece wants to create a cash buffer of up to 19 billion euros ($23 billion) to cover debt repayments after it exits its current bailout program and plans three new bond issues by august, government officials told reuters on tuesday.the debt-burdened country, which has relied on rescue funds since 2...



india's external debt stands at $496 bn in september




india's july-september external debt rose 2.1 per cent from end-june to $495.7 billion, the finance ministry said in a statement on friday. on a residual maturity basis, short-term debt constituted 41.7 per cent of total external debt at the end of september, slightly up from 41.1 per cent at the en...



greek bond yields dip on bond swap announcement | business




greece’s borrowing costs dipped on wednesday after the country announced a debt swap plan that analysts said would be significant for the country’s bond market.greece on wednesday invited private holders of about 30 billion euros in greek debt to swap 20 small bonds for five new ones of longer m...



china external debt rises to $1.56 trn at june-end on short-term borrowing




china's outstanding external debt continued to grow in the second quarter, totaling to $1.56 trillion.the debt settled at $1.56 trillion at the end of june, up 8.7 per cent from a quarter earlier, the regulator state administration of foreign exchange (safe) said in a statement.the majority of china...



tata teleservices in talks with indian lenders to repay debt early




tata teleservices is in talks with indian lenders to repay its debt before its maturity so that it can cut its finance cost and shut down its loss-making wireless telephony business. the board of the company is meeting on december 20 to take a call on repaying its non-convertible bonds worth at leas...



greek debt swap offer is debt neutral, source close to process tells reuters | b




a greek offer to swap 20 bonds with 5 new ones will have no impact on the country’s debt levels, a source close to the process said on wednesday.greece has invited private bondholders – holders of debt issued in 2012 in a haircut scheme – to trade them in for 5 new benchmark ones. the cut off ...



give your fund manager time to ride out current volatility




currently, dynamic bond funds are displaying wide divergence in their average maturity, in the range of 1.60-13.52 years. with the benchmark 10-year government bond (g-sec) yield having touched a high of 7.19 per cent recently (compared to 6.41 per cent on july 24), one would expect managers of dyna...



jpmorgan's simple theory on low volatility




investors may have been justly lulled to sleep by a stream of steady economic data.



positive open in store for asx




a light session in us trade on friday it may have been, with volumes running some 25 per cent below the 30-day average through the s&p 500. however, one can still make money in a low volume environment and new highs have been seen and we should see asian markets open on somewhat of a firmer footing....



titan to raise 250 mln euros from new issue to refinance debt | business




greek cement maker titan plans to raise 250 million euros ($290.05 million) from issuing new notes to refinance debt and pay back bank and other commercial loans, the company said on monday.the bond will be issued by titan global finance and will have a seven-year maturity, ifr reported on monday. h...



sebi, exchanges beef up surveillance mechanism amid market meltdown




securities and exchange board of india (sebi) and stock exchanges beefed up their surveillance mechanism amid spike in volatility in the market following a rout in the global markets. according to the sources, regulator and bourses are also keeping a close tab on the market manipulator who may take ...



greece doing necessary work to facilitate market access, finmin says | business




greece is taking the necessary steps to facilitate liquidity for its future market forays, finance minister euclid tsakalotos said on wednesday.“we are doing the necessary spade work to ensure appropriate liquidity conditions for future exits to the market,” tsakalotos told reuters, asked to com...



presstv-us tightens sanctions on russian energy firms, banks




the us treasury department has announced tighter financial sanctions on russian banks and energy companies because of what washington calls moscow's continued interference in ukraine.the us treasury on friday cut the length of maturity of bonds issued by russia's top financial institutions and oil a...



rba holds rates steady, warns on housing




the reserve bank has held the cash rate steady at 1.50 per cent and sounded a warning on borrowing levels in the housing market. the reserve bank has held its benchmark interest rate at 1.50 per cent while voicing concern over debt levels in australia's housing market.the rba says maintaining rates ...



in 2018, market volatility could rise as at least eight states go to polls




the next key battle the market will watch out for will be in congress-ruled karnataka



despite rebound, wall st posts worst week in 2 yrs; more volatility likely




us stocks ended a wild week with a burst of buying, pushing the s&p 500 up 1.5 percent on friday, but still recorded their worst week in two years, and investors braced for more volatile trading days ahead. the sharp falls of the week confirmed the market was in a correction, down more than 10 perce...



crude price volatility to stay




india remains a hot favourite among foreign investors: jigar shahmany high-priced stocks beat market in past yearbusiness standardanother possible rate increase from federal reserve by mid-year may boost dollar, impact oil pricespeter mcguire  march 26, 2017 last updated at 23:24 isthttp://mybs.in/...