especially in developing countries, has additional risks such as currency, market volatility, and political and social instability. These risks, and other risks that particular funds may be subject to, such as specialized industry sectors or use of complex securities, are discussed in each fund's ...
BMO Mutual Funds 2014 SEMI-ANNUAL FINANCIAL STATEMENTS June 30, 2014 BMO Canadian Diversified Monthly Income Fund (formerly BMO Guardian Canadian Diversified Monthly Income Fund) NOTICE OF NO AUDITOR REVIEW OF THE SEMI-ANNUAL FINANCIAL STATEMENTS BMO Investments Inc., the Manager of the Fund, ...
Two things are worth noting about Klarman: (1) his hedge funds have posted returns in the high teens for over 30 years and (2) he’s willing to sit at 33-50% cash for a long time if that’s what it takes to generate big long-term returns. Few managers have Klarman’s record or...
Stimpunks recognizes that traditional systems often fail to adequately support marginalized communities, and they have taken it upon themselves to fill this gap. By creating their own education and care systems, they are empowering their community to thrive and take control of their own destinies...
MASNX seeks to achieve long-term returns with lower risk and lower volatility than the stock market, and with relatively low correlation to stock and bond market indexes. Relative to “moderate allocation” hybrid funds, the advisor’s goals are less volatility, better down market performance, fe...
As per the COT and Days to Cover discussion a bit further down, the Big 8 traders are still mega short gold and silver in the COMEX futures market -- and that situation hasn't changed from last week. But enough gold has now been brought into the COMEX that they could cover b...
to the main feature. The number for Tuesday, March 20th was 35. That represented the 35% increase in housing starts year over year that could be seen as an indicator that demand is once again stimulating supply in the housing market. The main feature of the podcast for Friday 23rd dealt ...