DOC - Investor Relations
... Notes to the Consolidated Financial Statements For the years ended December 31, 2012 and 2011 (Expressed in thousands of United States dollars, except share amounts) For contracts and policies written on a losses occurring basis, the risk period is generally the same as the contract or policy term. ...
... Notes to the Consolidated Financial Statements For the years ended December 31, 2012 and 2011 (Expressed in thousands of United States dollars, except share amounts) For contracts and policies written on a losses occurring basis, the risk period is generally the same as the contract or policy term. ...
FORM 10-Q - corporate
... A provision of the new law relates to the elimination of the deduction for the Medicare Part D subsidy. We provide qualifying prescription drug coverage to Medicare-eligible retirees and as a result we receive a nontaxable subsidy from the U.S. government. As a result of the new health care legislat ...
... A provision of the new law relates to the elimination of the deduction for the Medicare Part D subsidy. We provide qualifying prescription drug coverage to Medicare-eligible retirees and as a result we receive a nontaxable subsidy from the U.S. government. As a result of the new health care legislat ...
Euromoney Institutional Investor PLC acquires Total Derivatives
... paid on completion of the acquisition was £6.7 million. In addition, the management team will stay with the business and have options to sell their remaining shares to Euromoney at prices linked to profits for the financial years 2007, 2008 and 2009. For the year to 31 December 2005, Total Derivativ ...
... paid on completion of the acquisition was £6.7 million. In addition, the management team will stay with the business and have options to sell their remaining shares to Euromoney at prices linked to profits for the financial years 2007, 2008 and 2009. For the year to 31 December 2005, Total Derivativ ...
2012 FINANCIAL REPORT TO SHAREHOLDERS
... number of ordinary shares on issue during the period. The weighted average number of shares on issue has been calculated in accordance with Accounting Standard AASB 133 Earnings per Share 14 The current year figure represents the dividend value given the shares on issue as at reporting date. This f ...
... number of ordinary shares on issue during the period. The weighted average number of shares on issue has been calculated in accordance with Accounting Standard AASB 133 Earnings per Share 14 The current year figure represents the dividend value given the shares on issue as at reporting date. This f ...
Quarterly Bulletin - Central Bank of Ireland
... balance sheets of banks and their borrowers are gradually being repaired. Although, with overall lending volumes still low, bank credit has not been the main driver of the recent surge in Dublin property prices, lenders will need to exercise prudence in mortgage lending standards. Turning to competi ...
... balance sheets of banks and their borrowers are gradually being repaired. Although, with overall lending volumes still low, bank credit has not been the main driver of the recent surge in Dublin property prices, lenders will need to exercise prudence in mortgage lending standards. Turning to competi ...
risk measurement for hedge fund portfolios
... Two different approaches to measure the risk of a sample hedge fund portfolio were used. In the first approach, based on information from each manager data, manager returns are mapped to basic asset class using multivariate regressions and the portfolio is built as the collection of managers. In the ...
... Two different approaches to measure the risk of a sample hedge fund portfolio were used. In the first approach, based on information from each manager data, manager returns are mapped to basic asset class using multivariate regressions and the portfolio is built as the collection of managers. In the ...
UNITED STATES SECURITIES AND EXCHANGE COMMISSION
... In the food processing business, an end of year sales order backlog is not considered meaningful. Traditionally, larger customers provide tentative bookings for their expected purchases for the upcoming season. These bookings are further developed as data on the expected size of the related national ...
... In the food processing business, an end of year sales order backlog is not considered meaningful. Traditionally, larger customers provide tentative bookings for their expected purchases for the upcoming season. These bookings are further developed as data on the expected size of the related national ...
Canadian Imperial Bank of Commerce
... This short form prospectus, including the documents that are incorporated by reference in this short form prospectus, contains forward-looking statements within the meaning of certain securities laws. These statements include, but are not limited to, statements about the operations, business lines, ...
... This short form prospectus, including the documents that are incorporated by reference in this short form prospectus, contains forward-looking statements within the meaning of certain securities laws. These statements include, but are not limited to, statements about the operations, business lines, ...
The Performance of Norwegian Investment Grade
... performance, net of expenses. To our knowledge, Gjerde and Sættem (1996) is the only paper providing evidence from the Norwegian market. Compared to the BRIX-‐index,3 they conclude on non-‐superior performance ...
... performance, net of expenses. To our knowledge, Gjerde and Sættem (1996) is the only paper providing evidence from the Norwegian market. Compared to the BRIX-‐index,3 they conclude on non-‐superior performance ...
Dreyfus Variable Investment Fund: International Value Portfolio
... The fund seeks long-term capital growth. To pursue its goal, the fund normally invests at least 80% of its net assets, plus any borrowings for investment purposes, in stocks. The fund normally invests substantially all of its assets in the stocks of foreign companies, including those located in emer ...
... The fund seeks long-term capital growth. To pursue its goal, the fund normally invests at least 80% of its net assets, plus any borrowings for investment purposes, in stocks. The fund normally invests substantially all of its assets in the stocks of foreign companies, including those located in emer ...
empresa de transporte de pasajeros metro sa and subsidiary
... Cash flow s from (used in) investing activities Acquisition of property, plant and equipment Acquisition of intangible assets Other receipts (payments) made for the sale of other entities' equity or debt securities Interest paid Net cash flow s used in investing activities ...
... Cash flow s from (used in) investing activities Acquisition of property, plant and equipment Acquisition of intangible assets Other receipts (payments) made for the sale of other entities' equity or debt securities Interest paid Net cash flow s used in investing activities ...
Bonds, Stocks, and Sources of Mispricing
... Our sample of corporate bonds contains 3.02 million dealer-quote (Lehman, DataStream, Bloomberg) and transaction based (TRACE) bond-month return observations on 72,019 US corporate bonds (an average of 9,857 per month) by 9,096 issuers (an average of 2,206 per month) from January 1986 to June 2011. ...
... Our sample of corporate bonds contains 3.02 million dealer-quote (Lehman, DataStream, Bloomberg) and transaction based (TRACE) bond-month return observations on 72,019 US corporate bonds (an average of 9,857 per month) by 9,096 issuers (an average of 2,206 per month) from January 1986 to June 2011. ...
Limits to arbitrage: bubbles, financial crises, and systemic risk
... Delegated investment Most people do not manage their own investments Shleifer and Vishny (1997): temporary losses may lead to fund outflow, so managers often have to liquidate positions when mispricing is the largest managers are induced to focus on short term gains and often forgo long-term opport ...
... Delegated investment Most people do not manage their own investments Shleifer and Vishny (1997): temporary losses may lead to fund outflow, so managers often have to liquidate positions when mispricing is the largest managers are induced to focus on short term gains and often forgo long-term opport ...
Regulating Consumer Financial Products: Evidence from Credit Cards
... 2008 to December 2012. We observe fees at a disaggregated level, allowing us to isolate effects on categories such as over limit and late fees. Our data cover 160 million consumer and small business accounts and a significant share of total industry assets during our period of study. We estimate the ...
... 2008 to December 2012. We observe fees at a disaggregated level, allowing us to isolate effects on categories such as over limit and late fees. Our data cover 160 million consumer and small business accounts and a significant share of total industry assets during our period of study. We estimate the ...
161128 APS 210 FINAL clean
... Board and senior management responsibilities ............................................... 4 Liquidity risk management framework .............................................................. 6 Management of liquidity risk ........................................................................... ...
... Board and senior management responsibilities ............................................... 4 Liquidity risk management framework .............................................................. 6 Management of liquidity risk ........................................................................... ...
New Trends in Mortgage Fraud - National Crime Prevention Council
... Financial institutions sought to increase profits by adding features to their loans, including adjustable interest rates and prepayment penalties, which increased costs for borrowers. ...
... Financial institutions sought to increase profits by adding features to their loans, including adjustable interest rates and prepayment penalties, which increased costs for borrowers. ...