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2024-01-24 06:35:00 ET Summary Blue Tower Asset Management is an investment advisory which provides separately managed accounts. Blue Tower's approach to value investing combines proprietary screening algorithms which identify potentially attractive investments with fundamental resear...
Blue Tower Asset Management provides portfolio management services to individuals, financial advisers, and institutions. With Q2 2022, the Blue Tower Global Value strategy composite returned 12.09% net of fees in the second quarter (12.41% gross) against a decline of -15.66% in the MS...
Since the invasion, my funds in Russia have been frozen. I don’t believe central banks really have the will to have very high levels of bankruptcy/unemployment/social conflict. The main concern with oil/gas companies is that the managements insist on reinvestment/growth and...
Blue Tower Asset Management provides portfolio management services to individuals, financial advisers, and institutions. Our strategy composite returned -15.87% net of fees in the first quarter (-15.62% gross). We plan on liquidating our Russian portfolio companies as soon as they...
Baron is an asset management firm focused on delivering growth equity investment solutions known for a long-term, fundamental, active approach to growth investing. The Baron WealthBuilder Fund (the “Fund”) declined 13.37% (Institutional Shares). The current investmen...
Baron is an asset management firm focused on delivering growth equity investment solutions known for a long-term, fundamental, active approach to growth investing. Baron International Growth Fund (the “Fund”) declined 14.64% (Institutional Shares) during the first quarte...
Baron is an asset management firm focused on delivering growth equity investment solutions known for a long-term, fundamental, active approach to growth investing. Baron Emerging Markets Fund (the “Fund”) declined 14.11% (Institutional Shares) during the first quarter of...
Praetorian Capital is a “global-micro” hedge fund managed by Harris “Kuppy” Kupperman. The fund is dedicated to seeking non-correlated, asymmetric returns. During the first quarter of 2022, the fund appreciated by 15.55% net of fees. As commodities tend...
The Miller Income Strategy returned -10.08% for Q1 2022. As of the middle of April, the market is telling us the economy is still strong, though the rate of growth is now slowing due to overheating and inflation. Red-hot inflation now looks like it is weighing on growth. There...
In a new round of sanctions, the U.S. is imposing full blocking on Russia's largest financial institution, Sberbank (OTCPK:SBRCY) (OTCPK:AKSJF), and Alfa Bank, Russia's largest private bank and prohibits any new investment in the country, according to a White House statement made on Wedn...