portfolios
Mars has not offered remedies to EU for kellanova deal, EU website shows
Sanofi to buy US biopharma group blueprint for up to $9.5 billion
Allianz's property portfolio shrinks again in 2024
FinanceRussian banker kim boosts car leasing, finance portfolio with VW bank buy
Britain's metro bank sells 584 million pounds unsecured personal loan book
Date: February 26, 2025
(Reuters) -British lender Metro Bank on Wednesday said it has signed an agreement to sell a portfolio of about 584 million pounds ($738.88 million) of unsecured personal loans. A spokesperson of the...

Metro bank in early talks to sell performing consumer loan portfolio
Date: January 29, 2025
(Reuters) -Britain's Metro Bank said on Wednesday it was in early discussions about a potential sale of its performing consumer loan portfolio, as it shifts focus to high-yielding commercial,...

Estee lauder is reviewing portfolio amid management change, Bloomberg news reports
Date: January 27, 2025
(Reuters) - Estee Lauder is reviewing its portfolio of beauty brands, which could potentially lead to the sale of some of the labels, as the cosmetics company attempts to turn around under a new...

Thyssenkrupp CEO predicts decisive year in company's transformation
Date: January 27, 2025
DUESSELDORF (Reuters) - The CEO of German industrial group Thyssenkrupp said on Monday that 2025 would be a decisive year for the group's ongoing transformation. "The current business year will be a...

Fortum to buy renewable power portfolio for $9.4 million
Date: December 19, 2024
COPENHAGEN (Reuters) – Finland’s Fortum said on Thursday it had agreed to buy a project development portfolio for renewable power from Finnish energy company Enersense for around 9 million euros ($9.37 million). The portfolio includes 2.6 gigawatt (GW) of early-stage onshore wind development projects in Finland, Fortum said in a statement. It said it expects...

Navigating market volatility with a dynamic portfolio strategy
Date: December 17, 2024
By Surajit Saha Investors and asset managers seek strategies that balance risk and growth during market volatility. Traditional portfolio models, like the 60/40 equity bond asset allocation, have been decades-long staples but are increasingly challenged by prolonged low interest rates, inflation, and unpredictable market shifts. Innovative portfolio strategies, such as those incorporating the Dragon Portfolio,...
