portfolio

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portfolio

For UK doctors, a collection of documents that they assemble throughout their careers which provides evidence of ongoing learning achievements and addresses areas of weaknesses.

Model portfolio content for UK practice
• Personal details
• Contents page
• Mapping Document to GMC Domains of Good Medical Practice
• CV
• Certificates (degrees, CRB, Completion of Foundation training, etc.)
• Self-appraisal and personal development plan
• Posts held
• Appraisal meetings
• Review forms
• Assessments of competence (e.g., work-based assessments); if numerous, list and summarise
• Reflective practice
• Teaching (with feedback)
• Presentations (with feedback)
• Audit
• Research and Publications
• IT Skills
• Careers
• Extra-curricular activities
References in periodicals archive ?
If we manage our investment portfolio in a prudent manner and minimize interest rate risk by selling off some long-term assets to reduce maturity mismatches, we may have to write down the remainder of the portfolio to market.
This rating assignment reflects the insurer's position as a strategic subsidiary of Gerling- Konzern Versicherungs Beteiligungs AG, Cologne, Germany, as well as its strong capitalization, high-quality investment portfolio and improving levels of profitability.
Short-term debt comprised only 1 percent of total capitalization and the company maintained a substantial investment portfolio of about $22 million.
The Company estimates the improvement in yield on the total investment portfolio will be 35 to 40 basis points and will improve annualized diluted earnings per share by $.
During 1991, the company added to its investment portfolio more than $45 million of mortgage investments created through the purchase program.
This is the latest transaction undertaken by the Partnership to improve the overall quality of, and earnings from, the Partnership's investment portfolio.
Working with SunTrust, we were able to bring seven new banks into our credit facilities and believe that we are well positioned to make larger individual investments and to leverage the returns on our investment portfolio for the benefit of our shareholders.
These forward-looking statements include our 2006 guidance with respect to US Mortgage Insurance Operations' losses incurred and expense ratio, and our consolidated investment portfolio yield, stock based compensation expenses and tax rate.
The alternative investment portfolio consists of highly diversified and closely managed hedge funds.
In contrast to the approach taken by the SVO, in its analysis of capital requirements for hybrid securities held in an insurance company's investment portfolio, Fitch views the risk as more akin to preferred stock than to common stock.
The increase in market interest rates over the past two years created a unique opportunity for the Bank to reinvest approximately one quarter of its total investment portfolio in securities yielding on average about 3% higher than the securities sold.

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