Remove 2011 Remove Economics Remove Portfolio Management
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TEDxWilmington | Jump to the New S Curve: Unleash the Power of Inclusion

Brown Advisory

Dune Thorne is a partner, portfolio manager and head of the Boston office at Brown Advisory, where she helps families and nonprofits develop financial and investment plans to align with their long-term goals.

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Transcript: Michael Rockefeller

The Big Picture

There are about 13 different portfolio managers each focused on a different sub-sector. And to the credit of the portfolio manager that I was working with Josh Fisher, we were actually up that year. You have 13 portfolio managers plus including you and Carl. Since then, it’s grown to about $7 billion.

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Off the Beaten Trail

Brown Advisory

Investor concerns about slowing growth have sprung up here and there since 2011 but had yet to set back equities until this year. We believe this group of alternative assets to be less vulnerable than stocks to the risk of flagging economic growth, and less vulnerable than bonds to rising interest rates. From April 7, 2011, until Sept.

Economy 52
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Balancing Act | A Stroll Down Hindsight Lane

Brown Advisory

Even if investors discard the notion of broadly timing the market, they still may have questions about staying invested in actively managed strategies during what they perceive as a risky market. Well, we believe that broader economic fundamentals are important for long-term stock valuations. This data makes sense intuitively.

Economy 52
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Balancing Act | A Stroll Down Hindsight Lane

Brown Advisory

Even if investors discard the notion of broadly timing the market, they still may have questions about staying invested in actively managed strategies during what they perceive as a risky market. Well, we believe that broader economic fundamentals are important for long-term stock valuations. This data makes sense intuitively.

Economy 52
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Transcript: Antti Ilmanen

The Big Picture

You began as a central bank portfolio manager in Finland. And when I was studying in university economics, I did not really get the passion. So, that relationship actually already started when I was a portfolio manager, right? Really, what I would think is getting to my natural home and that happened in 2011. !

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Investment Perspectives | Liquidity & Volatility

Brown Advisory

In the ensuing six years, this measure of volatility steadily declined, except for brief spikes in mid-2010 and late 2011. At the risk of oversimplification, it seemed like most of the economic debate during the post-crisis period centered on two main concerns: the strength and durability of the U.S. Multiple Risks.