Remove 2008 Remove Financial Market Remove Portfolio Management
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Market Extra: Government bonds held at banks may be so-called ‘toxic asset’ of next financial crisis, fund manager says

MarketWatch

Under a best-case scenario, investors’ fears would be calmed as California’s Silicon Valley Bank and Signature Bank in New York are reorganized “in an orderly fashion,” according to Chris Crawford, the Boston-based portfolio manager of the firm’s Strategic Long Short Fund. The flip-side scenario is that the U.S. All three major U.S.

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Transcript: Luis Berruga, Global X ETFs

The Big Picture

First of all, I think the amount of investors that participate in the financial markets is much smaller than it is in the U.S. And I think that the financial advisors are used, but not as widely used as they are in the U.S. And definitely, their retail market participation is significantly lower than you can see in the U.S.

Clients 162
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Anchoring Expectations

Brown Advisory

During periods of market volatility, investors overly focused on shortterm gyrations in stock prices may fall prey to emotional swings that can ultimately prove more detrimental to their financial wellbeing than a bear market. Therefore, it is essential that we structure client portfolios to be tax efficient.

Taxes 52
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The Advisory | June 2015

Brown Advisory

No central bank has ever wound down such massive stimulus, so the potential impact on the economy and financial markets is not clear. The easing helped stabilize financial markets, reduced the risk of deflation and resuscitated the economy and job growth. By Mick Dillon, Portfolio Manager, Global Leaders Strategy.

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Transcript: Antti Ilmanen

The Big Picture

So, first, I found the book to be quite fascinating, very in depth and you managed to take some of the more technical arcana and make it very understandable. You began as a central bank portfolio manager in Finland. So, that relationship actually already started when I was a portfolio manager, right? ILMANEN: Yes.

Investing 130
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Transcript: Jawad Mian

The Big Picture

MIAN: So Stray Reflections is a macro advisory and community that works with portfolio managers, CIOs around the world. So you’ve seen this dynamic where millennials are increasingly taking participation in financial markets and home ownership. When you think about the regional banking crisis, you think about 2008.

Marketing 130
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Transcript: Mike Green, Simplify Asset Management

The Big Picture

We ended up buying, this is one of the wonderful things about financial markets and degrees of completeness. The second thing that it ultimately does is it creates conditions under which there’s a transition from cash rich portfolios that are ultimately option like in their characteristics. That’s amazing leverage.

Assets 173