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2015 (in the case of Anatolia), the Exchange Ratio represents offer premia of: 29.1% based on each company’s most recent closing price prior to announcement of the Merger; 47.3% based on the 30 day VWAPs; 47.6% based on the 60 day VWAPs; and …
Stockhouse · 3 hours ago
Uranium Resources
Or, in the rare event of RBI cutting the repo rate by a much larger 50 bps, the net increase in the value of bank stock futures and premium gained from the sold put option would outweigh the rise in the call option premia, making sellers net gainers.
Economic Times · 1 day ago
In this environment of low interest rates and attractive risk premia, the value of properties in our portfolio ... £1.25 million of the £5 million outstanding 2018 debenture stock from Prudential Assurance Co. The total …
4 Traders · 5/26/2015
More from Bing News
so even if a mega cap stock looks attractive, it is hard to be meaningfully overweight without allocating an outsized amount of assets. This has created a world where mid-caps are trading at near all time premia to larger …
Moneyweb.co.za · 5/24/2015
Chinese stocks plunge, the Nikkei rallies and a FIFA probe rattles ... the risk of an upward adjustment of the risk premia demanded on vulnerable euro-area sovereigns could materialize." In plain English, if Greece …
Bloomberg · 5/28/2015
After a brief but sharp sell-off yesterday, Chinese mainland stock indices managed to edge tentatively higher ... the risk of an upward adjustment of the risk premia demanded on vulnerable euro-area sovereigns could materialise.” Specific comments ...
fxnewscall.com · 5/29/2015
GMI’s current risk premia forecasts remain substantially below the index ... here’s a chart of rolling three-year annualized risk premia for GMI, US stocks (Russell 3000 (NYSE:IWV)) and US Bonds (Barclays (LONDON:BARC) Aggregate Bond Index) …
investing.com · 5/4/2015
“The standard approach to gaining risk premia exposure is through ranking stocks based on quantifiable characteristics and then buying equal amounts of the top quintile whilst shorting the bottom. This roughly equates to zero market exposure whilst ...
Value Walk · 11/27/2013
In this environment of low interest rates and attractive risk premia, the value of properties in our portfolio should remain firm," said Sir Michael Heller, Chairman, and John Heller, Chief Executive.
Stock Market Wire · 5/26/2015
“This has created a world where mid-caps are trading at near all time premia to larger stocks.” For fear of being called out as closeted benchmark investors, active managers have added more smaller, idiosyncratic stocks to prove how “active” they ...
ETF Trends Setting The Pace · 5/26/2015