Invesco High Yield Municipal Fund fact sheet
... Junk bonds have greater risk of default or price changes due to changes in the issuer’s credit quality. Junk bond values fluctuate more than high quality bonds and can decline significantly over a short time. Interest rate risk refers to the risk that bond prices ...
... Junk bonds have greater risk of default or price changes due to changes in the issuer’s credit quality. Junk bond values fluctuate more than high quality bonds and can decline significantly over a short time. Interest rate risk refers to the risk that bond prices ...
Information Disclosure and Market Quality
... must disclose material information to all investors at the same time. The regulation sought to stamp out selective disclosure. Regulation FD changed fundamentally how companies communicate with investors, by bringing better transparency and more frequent and timely communications, perhaps more t ...
... must disclose material information to all investors at the same time. The regulation sought to stamp out selective disclosure. Regulation FD changed fundamentally how companies communicate with investors, by bringing better transparency and more frequent and timely communications, perhaps more t ...
Circular of the State Council Concerning Further Strengthening the
... Chinese-holding listed company which has entered into registration overseas applies overseas for issuing and listing shares with its overseas assets or its domestic assets which are formed from its overseas assets invested in China and have been in its actual possession for over three years. However ...
... Chinese-holding listed company which has entered into registration overseas applies overseas for issuing and listing shares with its overseas assets or its domestic assets which are formed from its overseas assets invested in China and have been in its actual possession for over three years. However ...
CEE macro outlook: is Emerging Europe on the way to a
... In the United Kingdom, this publication is being communicated on a confidential basis only to clients of UniCredit Markets & Investment Banking Division (acting through Bayerische Hypo- und Vereinsbank, London Branch ("HVB London") and/or CA IB International Markets Limited and/or CAIB Corporate Fin ...
... In the United Kingdom, this publication is being communicated on a confidential basis only to clients of UniCredit Markets & Investment Banking Division (acting through Bayerische Hypo- und Vereinsbank, London Branch ("HVB London") and/or CA IB International Markets Limited and/or CAIB Corporate Fin ...
Calamos Total Return Bond Fund
... Performance data quoted represents past performance, which is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The principal value and return of an investment will fluctuate so that your shares, when redeemed, may be worth more or less than thei ...
... Performance data quoted represents past performance, which is no guarantee of future results. Current performance may be lower or higher than the performance quoted. The principal value and return of an investment will fluctuate so that your shares, when redeemed, may be worth more or less than thei ...
METLIFE FIDELITY CORPORATE BOND FUND 16 YEAR
... Past performance is not a guide to future performance. The value of investments and the income from them can fall as well as rise and is not guaranteed. You may not get back the amount originally invested. Credit and fixed interest securities are the debts of governments and companies. These can be ...
... Past performance is not a guide to future performance. The value of investments and the income from them can fall as well as rise and is not guaranteed. You may not get back the amount originally invested. Credit and fixed interest securities are the debts of governments and companies. These can be ...
Negotiable/Transferable Instruments Conventions
... 2.2. Bills of Exchange (bank accepted/endorsed bill)...................................................................... 3 2.3. Negotiable Certificates of Deposit (NCD) ................................................................................. 3 2.4. Promissory Notes ....................... ...
... 2.2. Bills of Exchange (bank accepted/endorsed bill)...................................................................... 3 2.3. Negotiable Certificates of Deposit (NCD) ................................................................................. 3 2.4. Promissory Notes ....................... ...
relevant aspects of management of banks investment activities on
... WSPÓŁPRACA EUROPEJSKA NR 1(1) 2015 / EUROPEAN COOPERATION Vol. 1(1) 2015 ...
... WSPÓŁPRACA EUROPEJSKA NR 1(1) 2015 / EUROPEAN COOPERATION Vol. 1(1) 2015 ...
lecture-notes-2-1
... mutual funds allow shareholders to hold more diversified portfolios than they otherwise would. Shareholders can sell (redeem) shares at any time, but the value of these shares will be determined by the value of the mutual fund’s holdings of securities. Because these fluctuate greatly, the value of ...
... mutual funds allow shareholders to hold more diversified portfolios than they otherwise would. Shareholders can sell (redeem) shares at any time, but the value of these shares will be determined by the value of the mutual fund’s holdings of securities. Because these fluctuate greatly, the value of ...
Islamic Finance Review 2009/10
... a range of retail bonds throughout the trading day and all other registered member participants are also able to enter orders into the book, the market model means that private investors will be able to see prices on-screen and trade in bonds in a similar way as they currently do for shares. The new ...
... a range of retail bonds throughout the trading day and all other registered member participants are also able to enter orders into the book, the market model means that private investors will be able to see prices on-screen and trade in bonds in a similar way as they currently do for shares. The new ...
Bombay Stock Exchange Limited
... The company which has received in-principle approval from the recognised stock exchange for listing of its specified securities on the institutional trading platform shall be deemed to have been waived by the Board under sub-rule (7) of rule 19 from clause (b) of sub-rule (2) of rule 19 of Securitie ...
... The company which has received in-principle approval from the recognised stock exchange for listing of its specified securities on the institutional trading platform shall be deemed to have been waived by the Board under sub-rule (7) of rule 19 from clause (b) of sub-rule (2) of rule 19 of Securitie ...
VIETJET AVIATION JOINT STOCK COMPANY Ha Noi City, 05
... The Resolution of General Investor Meeting of Vietjet Aviation Joint Stock Company has been effective from the day of signing. Shareholders of Vietjet Aviation Joint Stock Company, Board of Director, Board of Supervisors, Board of Management and all staffs will be responsible for the implementation ...
... The Resolution of General Investor Meeting of Vietjet Aviation Joint Stock Company has been effective from the day of signing. Shareholders of Vietjet Aviation Joint Stock Company, Board of Director, Board of Supervisors, Board of Management and all staffs will be responsible for the implementation ...
The Stanton Report Volume 1
... or liability whatsoever in respect thereof. The inventories of RBC Dominion Securities Inc. may from time to time include securities mentioned herein. Insurance products are offered through RBC DS Financial Services Inc., an insurance subsidiary of RBC Dominion Securities Inc. When discussing life i ...
... or liability whatsoever in respect thereof. The inventories of RBC Dominion Securities Inc. may from time to time include securities mentioned herein. Insurance products are offered through RBC DS Financial Services Inc., an insurance subsidiary of RBC Dominion Securities Inc. When discussing life i ...
Regulatory Notice 12-40
... firm or a control entity. FINRA also has previously provided guidance on the scope of a firm’s responsibility to conduct a reasonable investigation of private placement issuers in Regulatory Notice 10-22. Rule 5123 will provide FINRA with more timely and complete information about the private placem ...
... firm or a control entity. FINRA also has previously provided guidance on the scope of a firm’s responsibility to conduct a reasonable investigation of private placement issuers in Regulatory Notice 10-22. Rule 5123 will provide FINRA with more timely and complete information about the private placem ...
Volta Finance Limited : Net Asset Value(s)
... Financial Services and Markets Act 2000 (Financial Promotion) Order 2005 (the "Order") or (iii) high net worth companies, and other persons to whom it may lawfully be communicated, falling within Article 49(2)(a) to (d) of the Order (all such persons together being referred to as "relevant persons") ...
... Financial Services and Markets Act 2000 (Financial Promotion) Order 2005 (the "Order") or (iii) high net worth companies, and other persons to whom it may lawfully be communicated, falling within Article 49(2)(a) to (d) of the Order (all such persons together being referred to as "relevant persons") ...
amherst securities group and pierpont securities merge to create
... products, today announced that they have entered into a definitive agreement to merge in a transaction that will create a market-leading fixed-income broker-dealer. The combined company will be known as Amherst Pierpont Securities LLC (“Amherst Pierpont Securities”). Financial terms of the transacti ...
... products, today announced that they have entered into a definitive agreement to merge in a transaction that will create a market-leading fixed-income broker-dealer. The combined company will be known as Amherst Pierpont Securities LLC (“Amherst Pierpont Securities”). Financial terms of the transacti ...
URL Address
... institutions. The front system receives, processes, and executes orders on behalf of investors and also sometimes trades on its own account. Information on transactions that finished confirmation and notification to investors is passed to the back office system, where databases are updated, various ...
... institutions. The front system receives, processes, and executes orders on behalf of investors and also sometimes trades on its own account. Information on transactions that finished confirmation and notification to investors is passed to the back office system, where databases are updated, various ...
CCT-eu: a new type of nominal floating rate bonds, indexed to
... can consider other maturities based on the preferences expressed by the market. ...
... can consider other maturities based on the preferences expressed by the market. ...
Las Vegas Valley Water District Investment Policy
... investments shall be marked-to-market on a weekly basis and maintained by a custodian bank at an amount greater than a market value of 102 percent. Repos are acceptable using any of the authorized investments in this section as collateral, as long as such investment is negotiable, has a viable tradi ...
... investments shall be marked-to-market on a weekly basis and maintained by a custodian bank at an amount greater than a market value of 102 percent. Repos are acceptable using any of the authorized investments in this section as collateral, as long as such investment is negotiable, has a viable tradi ...
Emerging Market Repo
... Most bilateral repo agreements are based on the PSA/ISMA Global Master Repurchase Agreement (GMRA). When dealing with local emerging market counterparties or instruments, one must keep in mind restrictions imposed by local laws. For instance, in Mexico, certain types of counterparties are not permi ...
... Most bilateral repo agreements are based on the PSA/ISMA Global Master Repurchase Agreement (GMRA). When dealing with local emerging market counterparties or instruments, one must keep in mind restrictions imposed by local laws. For instance, in Mexico, certain types of counterparties are not permi ...
Global Markets: Prime Brokerage
... counterparties1 and finance long securities positions on a fully collaterized basis ...
... counterparties1 and finance long securities positions on a fully collaterized basis ...
restrictions on affiliate transactions
... requirements for so long as it is outstanding. Qualitative Safeguards The Dodd-Frank Act extends the prohibition on the acceptance of low-quality assets or securities issued by an affiliate as collateral for an extension of credit to or on behalf of an affiliate to derivatives and securities lending ...
... requirements for so long as it is outstanding. Qualitative Safeguards The Dodd-Frank Act extends the prohibition on the acceptance of low-quality assets or securities issued by an affiliate as collateral for an extension of credit to or on behalf of an affiliate to derivatives and securities lending ...