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60/40.60?

Random Roger's Retirement Planning

Actually allocating 60% to some sort of diversifier seems like poor risk management. The exact scenario I have been describing for years, clients are forced to wait in these bonds until they mature in the 2030's with below market yields between now and then. That caused a lot of the funds in the space to go down close to 10%.

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Investing for Purpose: A Governance Perspective on Mission-Aligned Investment Strategy

Brown Advisory

s 2030 Agenda for Sustainable Development , which underlies the 17 SDGs, is widely recognized around the world, including in the investment industry. An important part of the process is securing stakeholder buy-in.

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Top Growth Stocks in India – Financials And Growth Prospects

Trade Brains

RBI’s liquidity risk management framework 2019 ensures the liquidity management for NBFC which is a major concern for NBFC. Adani Green has focused on becoming one of the biggest solar energy companies by 2025 and the biggest renewable energy company by 2030. Higher scope. Liquidity Framework. Latest Financials.