…r-informed decision making by patients, providers, and pharmaceutical marketing teams. e Investment Theme - Patient Engagement / Shift to Low-Cost Setting: As incentives move away from procedural volume and towards cost-effective quality and outcomes, providers and care deliver...
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…nd will be required to indemnify, among others, the General Partner, the general partner of the General Partner, the Management Company, the Fund Managers, their respective partners, members, employees, venture partners and affiliates, the Fund’s other agents and members of the A...
Exhibit 76: Emerging Market Currency Valuation Despite the recent rally, emerging market currencies remain undervalued against the US dollar. Average Deviation from Fair Value vs. US Dollar (%) 20 4 EM Currencies Overvalued on Average “25 2008 2008 2010 2011 2012 2013-2014 =....
…ructure transactions. In 2016 alone, the BRIDGE team has achieved financial close for 11 infrastructure deals in Europe aggregating ca. €390m. When benchmarked against other similar funds, the investment team has succeeded in deploying faster and with credit spreads well above th...
… to his home on 71st Street. We hung out. We reminisced. He was the same Jeffrey. A gentleman." The two never did speak again, but to this day Beverly sym- pathizes with her high school sweetheart. "I feel so bad for him," Beverly says. "That's how much I liked him." Gary Grossbe...
…1.3 trillion of capital has flowed out of China since August 2015, when it broadened the trading range for its currency against the US dollar. The outflows averaged $64 billion per month in According to the Center for Strategic and International Studies, China has installed anti...
…nding team consists of 8 members, including 5 investment professionals who have worked (with Jos Shaver as Portfolio Manager) at SAC Capital and the original Electron Capital for an average of 6 years. In addition, 4 of the 5 investment professionals have lived outside the US, a...
…f TIIC Group is to bring an operational approach to infrastructure investments in Europe, drawing upon the extensive management and financial skills of its team members. These skills have been developed over many years at some of Europe’s leading infrastructure operators and proj...
…US financial conditions had stayed at those levels for over a year, US GDP growth would have slowed by about one percentage point, all else being equal. Financial conditions are the mechanism by which shocks from China would have the most immediate impact on key developed econom...
…ist policies by the incoming US administration could staunch the flow of trade—an outcome that would be particularly damaging to emerging markets. And in Europe, a victory of the far right in the French presidential election could unleash fears about France exiting the European U...
212.573.8412 [email protected] Alex Gelinas Partner 212.573.8159 ag[email protected] Please feel free to discuss any aspect of this Alert with your regular Sadis & Goldberg contact or with any of the partners whose names and contact information can be found at the end...
MEDICAL DEVICES RETURNS SUMMARY: The Fund Managers have been an active investor in the medical device sector across the New Leaf and Sprout Funds. Combined, the Fund Managers have invested $371 million in 29 medical device companies, and have gross realizations of $394 million a...
… old ones. Figure 5 shows an evolutionary dis- count function from my earlier paper on time preference. In the figure, “age at investment” refers to the age at which a decision is made between an immediate and a delayed benefit. Ages beyond the age at investment are “future ages....
…s report was produced at February 25, 2019, 22:19 ET. and disseminated at February 25, 2019, 22:19 ET. Copyright, User Agreement and other general information related to this report © 2019 Cowen and Company, LLC. All rights reserved. Member NYSE, FINRA and SIPC. This research r...
…ce of previous default cycles. Third, the commodity sectors of the high yield universe—which collectively generated a staggering 85% of last year’s defaults—are recovering along with oil prices. Keep in mind that the par-weighted default rate excluding these sectors was just 0.5%...