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The longer it lasts however, the more pronounced the upfront effects. I have found that when a sector is on the precipice of meaningful disruption that it is best to not fight the trend. As a result, for now, I am a seller on strength in the area. However, as leases expire, there may be less need for space, resulting in higher vacancy rates, lower pricing and eventually lower construction activity.
Traditional work offices will still exist given the need for face-to-face meetings, social interaction, collaborative working environments and maintaining a flagship head office presence. BAM owns about 55 per cent of BP. BAM is well-positioned in the growing alternative asset management sector.
BP is a diversified global property owner and developer with a portfolio of high-quality assets. Its office property portfolio has an average lease term of nine years. As you know we have pushed technology to the front and centre in order to work from home. Many people are getting comfortable with this. In one way, productivity is higher, according to a recent Chinese study — around five per cent more productive.
But at the same time, creativity and collaboration must be impacted. As an investor, our ownership of real estate is all about multi-dwelling apartments and industrial and grocery anchored. We are not touching office or retail.
Brian Madden, senior vice president and portfolio manager, Goodreid Investment Counsel. Undoubtedly more knowledge-industry workers will choose to work remotely some or all of the time post-pandemic. Their offices will not be eradicated altogether though, as meeting spaces will still be needed. Canada's main stock index moved to within about five percentage points of its record high Friday on a broad-based rally involving technologies along with cyclical sectors like materials and energy.
Are you looking for a stock? Nooruddin Rudy S. Veerjee Year of birth The following information is added to the section on the Aggressive Growth Portfolio:. The following information replaces the section on the Diversified Research Portfolio:. The following information on Eric H. Wilson is added to the section on the Equity Portfolio:. The following information is added to the section on the Mid-Cap Value Portfolio:.
The following information is added to the section on the International Value Portfolio:. The following information is added below the section on the International Value Portfolio:. The following information is added to the section on the High Yield Bond Portfolio:. Wilson replaces the information in the section on the Diversified Research Portfolio and is added to the section on the Equity Portfolio:. The following information is added below the section on the Concentrated Growth Portfolio:.
OFI provides significant investment advisory or other services to a company whose management is soliciting proxies or OFI is seeking to provide such services;. OFI and the company have a lending or other financial-related relationship. If the proposal that gives rise to a material conflict is specifically addressed in the Guidelines, OFI will vote the portfolio proxy in accordance with the Guidelines, provided that the Guidelines do not provide discretion to OFI on how to vote on the matter i.
Records of written client requests for proxy voting information and any written responses of OFI to such requests; and. Any written materials prepared by OFI that were material to making a decision in how to vote, or that memorialized the basis for the decision. An auditor has a financial interest in or association with the company, and is therefore not independent. Corporate governance provisions and takeover activity. Long-term company performance relative to a market index. These instances include directors who:.
Implement or renew a dead-hand or modified dead-hand poison pill. Ignore a shareholder proposal that is approved by a majority of the shares outstanding. Ignore a shareholder proposal that is approved by a majority of the votes cast for two consecutive years.
Failed to act on takeover offers where the majority of the shareholders tendered their shares. Are inside directors or affiliated outsiders; and sit on the audit, compensation, or nominating committees or the company does not have one of these committees. Are audit committee members; and the non-audit fees paid to the auditor are excessive.
Enacted egregious corporate governance policies or failed to replace management as appropriate. Are inside directors or affiliated outside directors; and the full board is less than majority independent. Votes should be based on how reasonable the criteria are and to what degree they may preclude dissident nominees from joining the board.
This should include all of the following:. Designated lead director, elected by and from the independent board members with clearly delineated and comprehensive duties. Performance will be measured according to shareholder returns against index and peers from the performance summary table. Vote WITH Management on shareholder proposals that mandate a minimum amount of stock that directors must own in order to qualify as a director or to remain on the board.
While stock ownership on the part of directors is favored, the company should determine the appropriate ownership requirement. Vote WITH Management on shareholder proposals asking that the company adopt a holding or retention period for its executives for holding stock after the vesting or exercise of equity.
OFI views as management decision. Long-term financial performance of the target company relative to its industry. Evaluation of what each side is offering shareholders as well as the likelihood that the proposed objectives and goals can be met. In cases, which OFI recommends in favor of the dissidents, OFI also recommends voting for reimbursing proxy solicitation expenses.
If a proxy solicitor loses the right to inspect individual proxy cards in advance of a meeting, this could result in many cards being voted improperly wrong signatures, for example or not at all, with the result that companies fail to reach a quorum count at their annual meetings, and therefore these companies to incur the expense of second meetings or votes.
Votes on advance notice proposals are determined on a CASE-BY-CASE basis, generally giving support to those proposals which allow shareholders to submit proposals as close to the meeting date as reasonably possible and within the broadest window possible. In the case of items that are conditioned upon each other, examine the benefits and costs of the packaged items.
If the combined effect is positive, support such proposals. When evaluating these proposals, the investor should review the dilution to existing shareholders, the conversion price relative to the market value, financial issues, control issues, termination penalties, and conflicts of interest. Changes to the articles of incorporation or bylaws of the company. Increases in common or preferred stock in excess of the allowable maximum as calculated by the ISS Capital Structure Model.
Votes on mergers and acquisitions should be considered on a CASE-BY-CASE basis, determining whether the transaction enhances shareholder value by giving consideration to the following:. Prospects of the combined company, anticipated financial and operating benefits. When evaluating these proposals the invest should review:. Votes on a CASE-BY-CASE basis on shareholder proposals seeking to maximize shareholder value by hiring a financial advisor to explore strategic alternatives, selling the company or liquidating the company and distributing the proceeds to shareholders.
These proposals should be evaluated based on the following factors: prolonged poor performance with no turnaround in sight, signs of entrenched board and management, strategic plan in place for improving value, likelihood of receiving reasonable value in a sale or dissolution and whether the company is actively exploring its strategic options, including retaining a financial advisor. Vote proposals to adopt fair price provisions on a CASE-BY-CASE basis, evaluating factors such as the vote required to approve the proposed acquisition, the vote required to repeal the fair price provision, and the mechanism for determining the fair price.
Review on a CASE-BY-CASE basis proposals to opt in or out of state takeover statutes including control share acquisition statutes, control share cash-out statutes, freezeout provisions, fair price provisions, stakeholder laws, poison pill endorsements, severance pay and labor contract provisions, anti-greenmail provisions, and disgorgement provisions.
It is intended for financing purposes with minimal or no dilution to current shareholders. It is not designed to preserve the voting power of an insider or significant shareholder. In evaluating proposals on preemptive right, consider the size of a company, the characteristics of its shareholder base, and the liquidity of the stock.
Votes on the creation of tracking stock are determined on a CASE-BY-CASE basis, weighing the strategic value of the transaction against such factors as: adverse governance changes, excessive increases in authorized capital stock, unfair method of distribution, diminution of voting rights, adverse conversion features, negative impact on stock option plans, and other alternatives such as spinoff. In general, OFI considers compensation questions such as stock option plans and bonus plans to be ordinary business activity.
OFI analyzes stock option plans, paying particular attention to their dilutive effect. A decrease in performance is based on negative one-and three-year total shareholder returns. In general, OFI considers compensation questions such as cash bonus plans to be ordinary business activity. While we generally support management proposals, we oppose compensation proposals we believe are excessive. The proposal is overly restrictive e. The company demonstrates that it is using a substantial portion of performance-based awards for its top executives.
An acceptable parachute should include the following:. The parachute should be less attractive than an ongoing employment opportunity with the firm. The triggering mechanism should be beyond the control management. The amount should not exceed three times base salary plus guaranteed benefits. Instruments Defining Rights of Holders of Securities 1. Amended and Restated Investment Advisory Agreement Custody and Investment Accounting Agreement 9.
Amendment to Custody and Investment Accounting Agreement Amendment to Expense Limitation Agreement 9. Amendment to Expense Limitation Agreement Pacific Life. Director of Asset Management Finance Corp. December to May Formerly, President of Capital International, Inc. Senior Vice President of Corporate Communications. Van Kampen. Executive Director and U. Director of Compliance.
He has been working in the industry since Prior to , Mr. Carroll joined Lazard in Previously Mr. Carroll was First Vice President and Consulting Services Director with Shearson Lehman Brothers and was instrumental in training Financial Consultants as well as managing institutional account relationships. He has been in the industry since Carroll attended the University of Utah.
Equity, U. Mid Cap, U. Strategic, and U. Equity Select products. He also has a BA from Wesleyan University. Reinsberg is a Deputy Chairman of Lazard Asset Management responsible for international and global products. He speaks German, French, and Spanish. DeConcini is Chairman for the U. He has been working in the investment field since Prior to joining Lazard in , he was a vice president with M. Boyle is a Senior Managing Director of Lazard.
She joined Lazard in and has been working in the investment field since Previously Ms. Boyle worked with Royal Insurance Asset Management. She is a member of the Institute of Investment Management and Research. Charlton has a BA from Wesleyan University. S Equity management and overseeing the day-to-day operations of the U. Kigner holds an MBA as well as an undergraduate degree in Economics and Finance from New York University, and has been working in the investment field since He has an M.
He has been in the investment industry since Equities from Prior to that, Mr. Prior to joining the firm in , Mr. Bennett served as an international equity analyst with General Electric Investment Corporation.
He is fluent in French and reads German. Burgdorf began working in the investment field in Prior to joining Lazard in January of , Mr. Burgdorf was affiliated with Fred Alger Management, Inc. He has a B. Before joining that group, Mr. Cleary spent nine years as a fixed income portfolio manager for the firm. Cleary began working in the investment field in Cook has been working in the investment field since Before moving into her management role, Ms.
Cook spent seven years as a Senior Equity Analyst covering broadcasting, cable, entertainment, and publishing industries at Prudential. Previous to joining Prudential in , Ms. Prior to joining Lazard in , he was a senior analyst at Newgate Investment Management. He has also completed his Ph. Deng speaks Chinese and French.
She began her investment experience upon joining the firm in , and has held several positions at Lazard. Dixon is fluent in French and Italian. Donald worked at Mercury Asset Management, which he joined in At Mercury Asset Management he was on the emerging markets team between and and worked on the international equity team between and He is fluent in French and Spanish.
Hunsberger began working in the investment field in Herold, Inc. Previously, he was associated with Hunt Oil Company as a senior geologist. Earlier in his career he worked at Lear Siegler Avionics. Previously, Mr. He began his investment experience upon joining the firm in Prior to joining Lazard, Mr. Meretab received a Ph.
He is fluent in Tigringa and Amharic. He began working in the investment field when he joined Lazard, in Previous to joining the firm in , he was a vice president for Chemco Technologies. Reese is a Limited Managing Director of Lazard Asset Management and is primarily responsible for private clients investment management. Robert began working in the investment industry in and is based in London. Schweiger is a native German speaker, and he is also fluent in French and English.
Sokol is co-Director of the Equity Trading group. Sokol has both his Series 7 and 3 certifications. Balanced team. He is a native German and fluent in English. Prior to that Mr. Willis gained a degree in Philosophy, Politics and Economics from Oxford in Zagoreos is a Managing Director of Lazard Asset Management whose primary area of responsibility is emerging-market closed-end investment companies.
Diversified Investment Advisors Inc. Thomas, 32, will specialize in defined contribution and defined benefit plans. Paul Mazzacano has been promoted to succeed Mr. Previously, Mr. Mazzacano, 27, was manager of the client integration team. Ervin counsel in its Washington headquarters. Orbitex Management, Inc. Fidelity Investments of Boston has appointed Stephen A. He had been an executive vice president and chief marketing officer at KeyCorp in Cleveland. Stern, chairman, president and chief executive officer of Financial Guaranty Insurance Co.
Stern, 45, succeeds James E. Also elected to two-year terms were Robert P. Penn Mutual Life Insurance Co. White, 42, had been manager in Houston while it was under the jurisdiction of the Dallas regional office. The company also has hired Sean Y. Scharf left late last year to become an independent agent for the company. Institute for Investment Management Consultants of Washington elected five new officers and three directors at its recent annual meeting.
Leon G. Spheeris, 45, a vice president in Minneapolis-based Dain Rauscher, Inc. The president-elect is Lewis J. Charles K. William R. Robert M. Foretich heads an investment management consulting firm known as Banner Investment Management Consultants in Seattle. In addition to the five officers, the three directors of the institute include Jerry W.
Caswell, 54, who was reelected. Petersburg, Fla. Kern as director of financial advisor services for its fund group. Prior to this work, Jim designed and operated a geochemical exploration database for Lundin Mining North Atlantic Natural Resources , a gold and base metal exploration firm in Uppsala, Sweden, after graduating from Salem State College with a degree in geological sciences. Contact Jim - jdasilva gwwade. She has also worked in sales and marketing performing new product development and implementation, and identifying and managing key business alliances at companies such as IBM and several software technology companies.
Phil advises clients in Boston and across the country, specializing in investment management and income and estate tax planning. He provides a range of investment, tax, and estate planning advice geared toward developing pragmatic, comprehensive financial plans for clients and their families. John brings expertise in investment management, tax planning and preparation, and financial counseling. Heather has been working in the financial services industry for more than 15 years. LLC, where she worked cross-functionally to solve complex business problems, interface with the board of the directors, and execute on other matters of firm wide importance.
He works with many types of clients including corporate executives, technology entrepreneurs, retirees, and young families. John has over twenty years of investment, tax, and financial services experience. Darren is also Co-Chair of the firm's Investment Committee. Darren formerly practiced law as an estate planning and probate litigation attorney at a Plymouth, Massachusetts law firm.
He began his financial counseling career in , providing tax and financial counseling services for corporate executives. Tim specializes in tax and retirement planning. Navy Judge Advocate General Corps, and also advised retired naval officers on tax and retirement planning. Gerry went on to establish his own tax and financial counseling practice, providing tax and investment services for individuals and corporate clients. During his long career in financial services, Gene worked with both regional and national brokerage firms.
He also co-founded a successful independent investment advisory firm and a successful, venture-backed start-up that revolutionized money management platforms for independent broker-dealers, banks and investment advisory companies. Contact Gene - gsinclair gwwade. As CCO and Counsel, Matt is responsible for overseeing regulatory compliance for the organization and assisting General Counsel with legal matters.
Roger has specialized in tax and financial counseling services since , helping senior corporate executives, private business owners and other professionals achieve their financial goals. He currently provides tax, investment, estate planning and retirement advice to a wide range of clients including startup professionals, executives of more established firms and retirees. Quarterly Commentary Blog Events Resources.
Client Login. Kelli A. Ryan J. Bartholomew, JD, LL. M Counselor. Robert F. Bodio, Jr. David L. Carol W. Bryan J. Ciborowski VP of Client Development. History from Bowdoin College Contact Bryan - bciborowski gwwade.
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