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en We took a big risk that investors would see the value of our approach and participate.
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en What we're doing at Dow falls very much in line with what the secretary was talking about. We approach security from a risk management perspective, and we try to identify the right level of risk and the right approach to reduce that risk at all of our sites.
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en Your action in these markets depends on your risk profile. Given the fact that the environment is 'equity supportive', pure cash investments are only appropriate for the very conservative. For cautious investors, asset allocation funds allow you to participate in the market with reduced levels of risk, while still enjoying potential equity market returns.
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en Today's ruling paves the way for individual investors to participate in capital raising in an orderly and sensible framework that does not require prospective investors to sit by their computers waiting night after night for a message indicating the transaction was about to occur. The SEC should be applauded for recognizing that the law was frustrating the clear intentions of online individual investors to directly participate in capital formation -- and moving to ease their frustration.
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en Across the board, risk management concerns did not vary significantly, with similar concerns surfacing in all markets. Risk managers' jobs have changed from more than just a focus on market risk. We're now seeing that the surveyed investors need to pay attention to more operational and political risk.
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en I really do believe that investors have to have a diversified approach. It will be very tough to pick stocks unless you have a big amount of money in your personal account so you can diversify on your own. So I would think you'd pick the premier technology funds and I'm not trying to sell myself, but I do think that it helps. And I also think that you need to have tech in your portfolio. Tech right now is about 30 percent of the weight of the S&P 500. I think investors are going to put themselves at substantial risk if they get too carried away with some of the companies and have too much in their portfolio. The appropriate weight in your portfolio is 30 percent, which is neutral the benchmark.
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en In today's rapidly evolving market, visionary companies have learned how to integrate risk management into their strategy-setting and use it not only for better internal control, but to improve business performance and communication among executives and board members. Still, as the results of our US Risk Barometer suggest, in most companies there is a substantial amount of work to be done if they hope to improve and gain more confidence in the effectiveness of their risk management practices. Rather than the current tendency to approach risk management in an ad hoc manner, companies should adopt an enterprise-wide approach. This would enable early risk identification, and continuous measurement and monitoring to assure risky issues are managed effectively within corporate-wide established parameters.
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en Our approach is a business approach, but the investors we've been able to attract are interested from a civic point of view.
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en It's a judicious approach to balancing the need for transplants, but also minimizing the risk. It's a very cautious approach, because the risks are very real.
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en Investors are looking for total return and a more conservative approach. Dividend stocks have a lot lower risk. The dividend acts like an anchor. In good times, the stock doesn't go up as much, but in bad times, it doesn't go down as much.
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en I've learned from doing both that we tend to get more benefit from a low-key approach. You run the risk with the high-profile approach of stressing parents and students, which can lead to test anxiety and choking.
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en Investors see nothing but sunny skies as far as the eye can see and therefore do not care one iota about risk. They are pursuing returns regardless of risk, and therefore the most speculative companies and investment classes are doing very well.
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en The takeaway was that everyone should be doing a much better job to taking a risk-based approach to monitoring. It's caused many institutions to come back to the table and rethink how they need to monitor high-risk groups. Firms have to be much more agile today than a few years ago.
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en The bonds were forecast to jump as their government backing means little risk to investors. As the country's stock markets still face policy uncertainties, these bonds provide a haven for investors.
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en For investors who aren't sure about how to select a fund appropriate for their time horizon, these funds really make it simple for you to do that and to get a lot of diversification in a single package. They help investors with the two things they have the most problems with. The first is arriving at an appropriate asset allocation, and the second is maturing that asset allocation as you approach your goal.
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