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Seven ways to talk your financial execs out of jargon and bad writing

Investment Writing

For example, “A number of good things happened last year, but let’s first get the bad news out of the way,” he says on page 3 of his 2012 shareholder letter (PDF). He admits that the firm’s 2012 gains were “subpar.” ” On a similar note, “investors are no longer impressed with jargon.

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Investment Perspectives | Cool Change

Brown Advisory

Taylor is also an excellent communicator and regularly shares his thoughts with our balanced portfolio managers serving private clients, endowments and foundations. Technology has also enabled analysts, portfolio managers and traders to improve their productivity. In a word, the internet has changed everything.

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Investment Perspectives | Cool Change

Brown Advisory

Taylor is also an excellent communicator and regularly shares his thoughts with our balanced portfolio managers serving private clients, endowments and foundations. Technology has also enabled analysts, portfolio managers and traders to improve their productivity. Nate Silver, 2012. by Taylor Graff, CFA.

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Bogle’s Big Mistake

The Irrelevant Investor

Walter Cabot, the new portfolio manager, wrote: Times change. Portfolio managers would no longer rapidly trade these growth stocks, instead they would invest in blue chips like IBM and Disney, and no price was too rich. From 1976 to 2012, the Vanguard 500 returned 10.4%, compared to the 9.2% I know all about it.

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Rude Awakening

Brown Advisory

As recently as 2012 Puerto Rico was able to sell to investors public-sector bonds despite its bleak fiscal outlook and shrinking economy. By Mick Dillon, CFA, Portfolio Manager, Global Leaders Strategy; Priyanka Agnihotri, Equity Research Analyst. Rude Awakening. Thu, 09/03/2015 - 15:10. Europe's Slow Climb.

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Should the CFP Board police financial advisor “bad apples”? The debate continues! (Part Two)

Sara Grillo

I do believe it should be different regulated differently from portfolio management, which is the typical definition of the registered investment advisor, but that it shouldn’t be the CFP Board that is controlling the regulatory environment for financial planners. Securities and Exchange Commission. 2022, August 1).

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