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He practiced law in the firm of Ansary, Kirkpatrick & Rosse and was chairman of the board of JPMorgan Value Opportunities Fund, Inc. He was affiliated with Washington Mutual Investors Fund, Inc. from 1983, [3] and served on the boards of First American Bank of Maryland, [4] Krupp GmbH, Deutsche Babcock and Wilcox. [3]
Washington Mutual, Inc. (often abbreviated to WaMu) was an American savings bank holding company based in Seattle. It was the parent company of WaMu Bank , which was the largest savings and loan association in the United States until its collapse in 2008.
William H. Miller III (born 1950) is an American investor, fund manager, and philanthropist. He served as the chairman and chief investment officer of Legg Mason Capital Management as well as the principal portfolio manager of the Legg Mason Capital Management Value Trust. He is the portfolio manager of the former Legg Mason Opportunity Trust ...
Vanguard Institutional Index 1 (VINIX) $269.6 billion. 0.035%. 12.7%. American Funds Growth Fund of America (CGFFX) $267.5 billion. 0.73%. 12.6%. These mutual funds are all index funds, a category ...
The other six funds were managed by Buffett's business associates or people otherwise well-known to Buffett. The seven investment partnerships demonstrated average long-term returns with a double-digit lead over the market average, while the two pension funds, bound to more conservative portfolio mixes, showed 5% and 8% leads.
Russell Indexes. Russell indexes are a family of global stock market indices from FTSE Russell that allow investors to track the performance of distinct market segments worldwide. Many investors use mutual funds or exchange-traded funds based on the FTSE Russell Indexes as a way of gaining exposure to certain portions of the U.S. stock market.
Sharpe ratio. In finance, the Sharpe ratio (also known as the Sharpe index, the Sharpe measure, and the reward-to-variability ratio) measures the performance of an investment such as a security or portfolio compared to a risk-free asset, after adjusting for its risk. It is defined as the difference between the returns of the investment and the ...
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