EQUITIES / BONDS / ETPs / S.P.s Mode de ouverture cotation Paris

Size: px
Start display at page:

Download "EQUITIES / BONDS / ETPs / S.P.s Mode de ouverture cotation Paris"

Transcription

1 Groupe de EQUITIES / BONDS / ETPs / S.P.s ouverture Paris négociation Fixing de clôture Phase TAL 10 Euronext Access - shares DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 11 Equities SRD C 09:00 09:00-17:30 17:35 17:35-17:40 12 Foreign Equities SRD C 09:00 09:00-17:30 17:35 17:35-17:40 13 Equities DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 14 Equities SRD Long C 09:00 09:00-17:30 17:35 17:35-17:40 16 Equities C 09:00 09:00-17:30 17:35 17:35-17:40 17 Equities C 09:00 09:00-17:30 17:35 17:35-17:40 18 ETFs FR Blue Chip CAC40 -FTSE100 - SR = 2% C 09:05 09:05-17:30 17:35 19 Equities - Non regulated DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 21 Foreign Equities SRD C 09:00 09:00-17:30 17:35 17:35-17:40 22 Foreign Equities C 09:00 09:00-17:30 17:35 17:35-17:40 23 Foreign Equities DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 30 Euronext Access - Ancillary shares DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 31 Ancillary Shares C 09:00 09:00-17:30 17:35 17:35-17:40 33 Ancillary Shares DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 35 Convertible Bonds C 09:00 09:00-17:30 17:35 17:35-17:40 37 Convertible Bonds DA 12:00 12:00 & 17:00 17:00 12:00-12:30 // 17:00-17:30 39 Ancillary shares - Non regulated DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 40 Euronext Access - Convertible Bonds SA 15:30 15:30 15:30-44 Other Bonds ( ) DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 47 ETFs - Alternate Trading Hours SR = 2% C 14:30 14:30-17:30 17:35 49 ETV C 09:05 09:05-17:30 17:35 50 Equities - Foreign currencies C 09:00 09:00-17:30 17:35 17:35-17:40 51 Equities - Foreign currencies DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 52 ETFs - FOR CCY - SR=2% C 09:05 09:05-17:30 17:35 53 ETVs C 09:05 09:05-17:30 17:35 54 Euronext Access - Equities - Foreign currencies DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 57 TCN/Certificates of Deposit - Treasury Bills - TCS 07:00-19:00 58 Convertible Bonds - Foreign currencies C 09:00 09:00-17:30 17:35 17:35-17:40 59 ETFs FR Blue Chip ESTX50 - DAX - SR = 2% C 09:05 09:05-17:30 17:35 60 Bonds FMT - Foreign Currency - TCS 07:00-19:00 62 Bonds UNT - Non guaranteed - TCS 07:00-19:00 63 Lending/ Borrowing QA 10:30 10:30 / 11:00 /11:30 / 14:30 / 65 Compulsory Buy-out Offer C 09:00 09:00-17:30 17:35 17:35-17:40 66 ETFs FR Alternate trad - FOR CCY - SR=2% C 14:30 14:30-17:30 17:35 68 Bonds Special Box UNT DA 12:00 12:00 & 17:00 17:00 12:00-12:30 // 17:00-17:30 97 Primary Market Bonds Paris 98 Euronext Access - Equities - Shiva - IPOs 05 Equities IPO C 09:00 09:00-17:30 17:35 17:35-17:40 08 ETFs FR Equity SR = 2% C 09:05 09:05-17:30 17:35 2A ETFs FR BLUE CHIP SR3 C 09:05 09:05-17:30 17:35 2B CERTIF - PROF COMP - FIX - Euronext Access SA 17:00 2C STRUCT PDTS - PROF COMP - PCT - FIX - Euronext Access SA - 16:30 2D CERTIF - PROF COMP - FIX - FOR CCY - Euronext Access SA 17:00 2E STRUCT PDTS - PROF COMP - PCT - FIX -FOR CCY - Euronext Access SA - 16:30 2F STRUCT PDTS - PROF COMP - PCT - CONTINUOUS - Euronext Access C 09:05 09:05-17:30 2H ETF FR - ALL CCY - EB - SR3 C 09:05 09:05-17:30 17:35 2I ETF FR - ALL CCY - EB - SR2 C 09:05 09:05-17:30 17:35 2J ETV - FOR CCY C 09:05 09:05-17:30 17:35 2K ETFS - LOW CCY - SR3 - CONTINUOUS C 09:05 09:05-17:30 17:35 4A Bonds - Public/ Semi-public - FMT C 09:00 09:00-17:30 17:35 17:35-17:40 4B State Bonds - FMT C 09:00 09:00-17:30 17:35 17:35-17:40 4C Corporate Bonds - FMT C 09:00 09:00-17:30 17:35 17:35-17:40 4D Other Bonds - FMT DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 4E State Bonds for retail - FMT C 09:00 09:00-17:30 17:35 17:35-17:40 4F Corporate bonds FMT minimum trade amount C 09:00 09:00-17:30 17:35 17:35-17:40 4G Euronext Access - Bonds - Fixing - FMT SA 15:00 15:00 15:00-15:30 4H Euronext Access - Bonds - Foreign currencies - FMT SA 15:00 15:00 15:00-15:30 4I Corporate bonds - CT - minimum trade amount - FMT C 09:00 09:00-17:30 17:35 17:35-17:40 4J Bonds tradable in units - Non clearable - Double Fixing DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 4M Bonds - Foreign currencies - FMT C 09:00 09:00-17:30 17:35 17:35-17:40 4N Bonds - Foreign currencies - FMT DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 4R Euronext Growth - Bonds - FMT SA 16:30 16:30 16:30-17:00 4S Euronext Growth - Bonds - Foreign currencies - FMT SA 16:30 16:30 16:30-17:00 4T Euronext Growth - Bonds - Continnuous - FMT C 09:00 09:00-17:30 17:35 17:35-17:40 4U Euronext Growth Bonds Recovery Box - Fixing SA 16:30 16:30 16:30-17:00 4V Euronext Growth Bonds Penalty Box - Fixing SA 16:30 16:30 16:30-17:00 4W Structured products (%) - FMT C 09:05 09:05-17:30 4X Structured products (%) - FMT SA - 16:30 4Z Structured products (%) - FMT DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 69 Euronext Growth - Bonds UNT - TCS 07:00-19:00 8A ETFs FR NAV 1 C 09:05 09:05-17:30 17:35 8B ETFs FR NAV 2 C 09:05 09:05-17:30 17:35 E1 Euronext Growth - Equities DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 E2 Euronext Growth - Equities C 09:00 09:00-17:30 17:35 17:35-17:40 E3 Euronext Growth - Ancillary shares DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30

2 E4 Euronext Growth - Ancillary shares C 09:00 09:00-17:30 17:35 17:35-17:40 E9 Euronext Growth - Equities - Foreign currencies DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 EA Euronext Growth - Equities - Private investment DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 EI Euronext Growth - Private investment C 09:00 09:00-17:30 17:35 17:35-17:40 EU Euronext Growth - Convertible Bonds - Single Auction SA - 16:30 EV Euronext Growth - Convertible Bonds - Continuous C 09:00 09:00-17:30 17:35 17:35-17:40 F1 Equities CAC40 - Group 1 C 09:00 09:00-17:30 17:35 17:35-17:40 F2 Equities CAC40 - Group 2 C 09:00 09:00-17:30 17:35 17:35-17:40 F3 Equities - Penalty box - Cont. C 09:00 09:00-17:30 17:35 17:35-17:40 F4 Equities - Penalty box - Fixing DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 F5 Euronext Growth Shares Recovery Box - Continuous C 09:00 09:00-17:30 17:35 17:35-17:40 F6 Euronext Growth Shares Penalty Box - Continuous C 09:00 09:00-17:30 17:35 17:35-17:40 F7 Euronext Access - Equities - Non clearable DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 F8 Euronext Access - Ancillary shares - Non clearable DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 F9 Shares - Euronext access + DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 G0 Equities recovery box - Continuous C 09:00 09:00-17:30 17:35 17:35-17:40 G1 Equities recovery box - Fixing DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 G2 ETFs FR Fixed Income - Commo - SR = 2% C 09:05 09:05-17:30 17:35 G3 ETFs FR ALTERNATE - SR = 3% C 14:30 14:30-17:30 17:35 G5 ETFs - FOR CCY SR = 3% C 09:05 09:05-17:30 17:35 G6 ETFs FR Blue chip EST50 SR3 C 09:05 09:05-17:30 17:35 G7 ETFs FR ALTERNATE FOR CCY - SR = 3% C 14:30 14:30-17:30 17:35 G8 ETFs FR FIXED INCOME - COMMO - SR = 3% C 09:05 09:05-17:30 17:35 G9 ETFs FR EQUITY SR = 3% C 09:05 09:05-17:30 17:35 H0 Certificates C 09:05 09:05-17:30 H8 Certificates SA 17:00 HI Certificates Calyon C 09:05 09:05-17:30 HQ Certificates Barclays Compartiment Prof. Foreign Currency SA 17:00 HS Structured Products - Barclays - Comp. Professionnel SA 17:00 HU Structured Products Barclays - Comp. Professionnel C 09:05 09:05-17:30 HV Tracking Certificates BNP Paribas - Comp. Professionnel C 09:05 09:05-17:30 HX Tracking Certificates - BNP Paribas C 09:05 09:05-17:30 HY Tracking Certificates - BNP Paribas Foreign Currency C 09:05 09:05-17:30 HZ Structured products (%) FMT Barclays - Comp. Professionnel C 09:05 09:05-17:30 I7 Structured products Foreign Currency (%) DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 I8 Structured Products - (%) - comp. professionnel C 09:05 09:05-17:30 I9 Structured Products - ( ) - comp. professionnel C 09:05 09:05-17:30 T6 DUMMY GROUP 3 T9 DUMMY GROUP 4 TS DUMMY GROUP 1 TU DUMMY GROUP 5 TW DUMMY GROUP 2 T7 DUMMY GROUP 6 T8 DUMMY GROUP 7 Bruxelles 95 Primary Market Bonds - NBB 96 Equities Regulated Market - IPOs A0 Equities BEL20 C 09:00 09:00-17:30 17:35 17:35-17:40 A1 Equities C 09:00 09:00-17:30 17:35 17:35-17:40 A2 Equities - Trading Facility - Double Fixing DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 A3 Foreign Equities C 09:00 09:00-17:30 17:35 17:35-17:40 A4 Equities - Trading facility - Continuous C 09:00 09:00-17:30 17:35 17:35-17:40 A5 Equities DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 A6 Equities - Trading facility- Foreign currencies - Continuous C 09:00 09:00-17:30 17:35 17:35-17:40 A7 Foreign Equities DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 A8 Equities Temporary listing DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 A9 Real Estate certificates DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 AA Scripts - fixing DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 AB Equities - Foreign currencies C 09:00 09:00-17:30 17:35 17:35-17:40 AC Equities - Trading Facility - Foreign currencies - Double Fixing DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 AD Equities - Foreign currencies DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 AE Equities recovery box - Continuous C 09:00 09:00-17:30 17:35 17:35-17:40 AF Equities recovery box - Fixing DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 AG Equities- Penalty box - Continuous C 09:00 09:00-17:30 17:35 17:35-17:40 AH Equities - Penalty box - Fixing DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 AI Euronext Growth Shares Recovery Box - Fixing DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 AJ Euronext Growth Shares Penalty Box - Fixing DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 AK Shares - BRS - Non clearable - Continuous C 09:00 09:00-17:30 17:35 17:35-17:40 AL Shares - BRS - Non clearable - Double Fixing DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 B0 Structured products C 09:05 09:05-17:30 B1 SICAV SA 15:00 15:00 15:00-15:30 B2 ETFs BE - SR = 2% C 09:05 09:05-17:30 17:35 B4 Euronext Access - Equities DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 B5 Euronext Access - Bonds SA 16:30 16:30 16:30-17:00 B6 ETFs BE - SR = 2% C 09:05 09:05-17:30 17:35 B7 Ancillary Shares C 09:00 09:00-17:30 17:35 17:35-17:40 B8 Ancillary Shares DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 B9 Strips SA 15:00 15:00 15:00-15:30 BA Euronext Access - Ancillary shares DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 BB Euronext Access - Equities - IPOs - SHIVA BC ETFs BE - SR = 3% C 09:05 09:05-17:30 17:35 BD ETFs BE - SR = 3% C 09:05 09:05-17:30 17:35 BE ETF BE - ALL CCY - EB - SR3 C 09:05 09:05-17:30 17:35 BF ETF BE - ALL CCY - EB - SR2 C 09:05 09:05-17:30 17:35 BG Equities - Euronext Access + DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30

3 C1 Convertible bonds C 09:00 09:00-17:30 17:35 17:35-17:40 C2 Convertible bonds DA 12:00 12:00 & 17:00 17:00 12:00-12:30 // 17:00-17:30 C3 Corporate bonds - NBB settlement DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 C5 Bonds - Foreign currencies C 09:00 09:00-17:30 17:35 17:35-17:40 C6 Bonds - Foreign currencies DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 C7 Corporate bonds DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 C8 State bonds - NBB settlement (weekly) SA 14:30 (Thursday) C9 State bonds - Physical delivery (weekly) SA 14:30 (Thursday) CA State bonds - NBB settlement C 09:00 09:00-17:30 17:35 17:35-17:40 CB Convertible bonds - NBB settlement DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 CC Convertible bonds DA 12:00 12:00 & 17:00 17:00 12:00-12:30 // 17:00-17:30 CD Real Estate certificates C 09:00 09:00-17:30 17:35 17:35-17:40 CE Treasury Certificates - NBB Settlement C 09:00 09:00-17:30 17:35 17:35-17:40 CF Corporate bonds FMT - Minimum trade amount C 09:00 09:00-17:30 17:35 17:35-17:40 CG Corporate Bonds - NBB Settlement - Continuous C 09:00 09:00-17:30 17:35 17:35-17:40 CH Corporate bonds - FMT - Minimum trade amount - Foreign currencies - CT C 09:00 09:00-17:30 17:35 17:35-17:40 CI Euronext Growth Bonds Recovery Box - Fixing SA 16:30 16:30 16:30-17:00 CJ Euronext Growth Bonds Penalty Box - Fixing SA 16:30 16:30 16:30-17:00 EC Euronext Growth - Equities DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 ED Euronext Growth - Equities C 09:00 09:00-17:30 17:35 17:35-17:40 EE Euronext Growth - Equities - Private investment DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 EF Euronext Growth - Ancillary shares DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 EG Euronext Growth - Ancillary shares C 09:00 09:00-17:30 17:35 17:35-17:40 EQ Euronext Growth - Equities - Foreign currencies DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 ER Euronext Growth - Bonds - NBB Settlement SA 16:30 16:30 16:30-17:00 ET Euronext Growth - Bonds - Foreign currencies SA 16:30 16:30 16:30-17:00 EX Euronext Growth - Bonds C 09:00 09:00-17:30 17:35 17:35-17:40 EY Euronext Growth - Bonds - BNB Continuous C 09:00 09:00-17:30 17:35 17:35-17:40 Amsterdam 94 Primary Market Bonds - Amsterdam 8C ETF NL - NAV 1 C 09:05 09:05-17:30 17:35 J0 Equities AEX C 09:00 09:00-17:30 17:35 17:35-17:40 J1 Equities C 09:00 09:00-17:30 17:35 17:35-17:40 J2 Foreign Equities C 09:00 09:00-17:30 17:35 17:35-17:40 J3 Equities DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 J7 Foreign Equities C 09:00 09:00-17:30 17:35 17:35-17:40 J8 Foreign Equities DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 J9 Equities C 09:00 09:00-17:30 17:35 17:35-17:40 JA Equities Trading facility C 09:00 09:00-17:30 17:35 17:35-17:40 JB Equities Trading facility DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 JC Equities recovery box - Continuous C 09:00 09:00-17:30 17:35 17:35-17:40 JD Equities recovery box - Fixing DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 JE Equities - Foreign currencies C 09:00 09:00-17:30 17:35 17:35-17:40 JF Equities - Foreign currencies DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 JG Equities - Penalty Box - Continuous C 09:00 09:00-17:30 17:35 17:35-17:40 JH Equities - Penalty Box Fixing DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 K0 Ancillary Shares C 09:00 09:00-17:30 17:35 17:35-17:40 K1 Ancillary Shares DA 11:30 11:30 & 16:30 16:30 11:30-15:00 // 16:30-17:30 K2 ETFs NL - SR = 2% C 09:05 09:05-17:30 17:35 K3 ETFs - FOR CCY - CONTINUOUS - SR = 2% C 09:05 09:05-17:30 17:35 K4 Investment funds Low Volatility C 09:30 09:30-17:30 K5 Investment funds High Volatility C 09:30 09:30-17:30 K6 Investment funds DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 K7 Investment funds SA 09:30 KA Investment funds low vol - Foreign currencies C 09:30 09:30-17:30 KB Investment funds low vol - Foreign Currenies DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 KC ETFs Alternate trading hours - SR = 2% C 14:30 14:30-17:30 17:35 KD ETFs - Alternate trad - FOR CCY - SR = 2% C 14:30 14:30-17:30 17:35 KE ETFs NL - SR = 3% C 09:05 09:05-17:30 17:35 KF ETFs - FOR CCY - SR = 3% C 09:05 09:05-17:30 17:35 KG ETFs ALTERNATE - SR = 3% C 14:30 14:30-17:30 17:35 KH ETFs ALTERNATE - FOR CCY - SR = 3% C 14:30 14:30-17:30 17:35 KI ETF NL - ALL CCY - EB - SR3 C 09:05 09:05-17:30 17:35 KJ ETF NL - ALL CCY - EB - SR2 C 09:05 09:05-17:30 17:35 KK ETFS - LOW CCY - SR3 - CONTINUOUS C 09:05 09:05-17:30 17:35 L0 State Bonds C 09:00 09:00-17:30 17:35 17:35-17:40 L1 Corporate bonds Non guaranteed C 09:00 09:00-17:30 17:35 17:35-17:40 L2 Corporate bonds Guaranteed C 09:00 09:00-17:30 17:35 17:35-17:40 L3 Convertible Bonds C 09:00 09:00-17:30 17:35 17:35-17:40 L4 Other bonds DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 L5 Convertible Bonds DA 12:00 12:00 & 17:00 17:00 12:00-12:30 // 17:00-17:30 L6 Bonds - Foreign currencies C 09:00 09:00-17:30 17:35 17:35-17:40 L7 Bonds - Foreign currencies DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 L8 Corporate Bonds - Non guaranteed -Foreign Currency C 09:00 09:00-17:30 17:35 17:35-17:40 L9 Convertible Bonds - Foreign currencies C 09:00 09:00-17:30 17:35 17:35-17:40 LA Corporate bonds - Non guaranteed DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 LB Corporate Bonds - Non guaranteed -Foreign Currency DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 LC State Bonds - Foreign currencies C 09:00 09:00-17:30 17:35 17:35-17:40 LD Corporate bonds - Special box - guaranteed C 09:00 09:00-17:30 17:35 17:35-17:40 LE Bonds - Special box - guaranteed DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 LF Corporate bonds - guaranteed - minimum trade amount C 09:00 09:00-17:30 17:35 17:35-17:40 LG Corporate bonds - For CCY - minimum trade amount - FMT C 09:00 09:00-17:30 17:35 17:35-17:40 LI Corporate bonds Non clearable - Continuous C 09:00 09:00-17:30 17:35 17:35-17:40 LJ Bonds others - Non clearable - Double Fixing DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 LK Bonds - Non clearable - Foreign Currency - Fixing DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 LL Bonds - Min trade amount - Non clearable - Continuous C 09:00 09:00-17:30 17:35 17:35-17:40 LM Bonds - Min trade amount - Non clearable - foreign currency - Continuous C 09:00 09:00-17:30 17:35 17:35-17:40 LN Bonds Min Dem restriction - EUR C 09:00 09:00-17:30 17:35 17:35-17:40 LO Bonds Min Dem restriction Foreign currencies C 09:00 09:00-17:30 17:35 17:35-17:40 M8 Structured products (%) - Double Fixing - Non clearable DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 N0 Structured products (%) C 09:05 09:05-17:30 N1 Structured products ( ) C 09:05 09:05-17:30 N2 Structured products (%) DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00

4 N3 Structured products ( ) DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 N5 ETVs C 09:05 09:05-17:30 17:35 N6 Structured products percent - Foreign Currency C 09:05 09:05-17:30 N7 Structured products euro - Foreign Currency C 09:05 09:05-17:30 N8 Structured products percent - Foreign Currency DA 11:30 11:30 & 16:30 16:30 11:30-12:00 // 16:30-17:00 NZ Fixed Income - TCS 07:00-19:00 WARRANTS / CERTIFICATES Groupe de ouverture négociation D0 Exotic certificates Commerzbank C 08:00 08:00-18:30 D1 EXO WAR -SOC GEN-08h00/18h30 C C 08:00 08:00-18:30 D2 EXO WAR - SOC GEN -09h05/17h30 C C 09:05 09:05-17:30 Fixing de clôture Phase TAL D3 Warrants DA 12:00 12:00 // 17:00 17:00 12:00-12:30 // 17:00-17:30 D4 Warrants - KBC Ifima C 09:05 09:05-17:30 D6 Warrants Commerzbank C 09:05 09:05-17:30 DC Certificates Commerzbank C 08:00 08:00-18:30 DE Structured Products Commerzbank (%) C 09:05 09:05-17:30 M0 Structured products RBS ( ) C 09:05 09:05-17:30 M1 Warrants RBS C 09:05 09:05-17:30 M2 Structured products RBS/BNP (%) C 09:05 09:05-17:30 M4 Structured products ING (%) C 09:05 09:05-17:30 M5 Exotic certificates ING C 09:05 09:05-17:30 M6 Warrants Commerzbank C 08:00 08:00-18:30 M7 Certificates ING C 09:05 09:05-17:30 MA Exotic certificates RBS/BNP 09h05/17h30 C 09:05 09:05-17:30 MB Exotic certificates ABN AMRO C 09:05 09:05-17:30 MC Exotic certificates Commerzbank C 09:05 09:05-17:30 MD Exotic certificates Citigroup C 09:05 09:05-17:30 MH Certificates UBS C 09:05 09:05-17:30 MI Certificates - BNP C 09:05 09:05-17:30 MJ Certificates - Société Générale - 08h00/18h30 C 08:00 08:00-18:30 MK Exotic Certificates RBS/BNP 08h00/18h30 C 08:00 08:00-18:30 ML Exotic Certificates RBS/BNP 09h05/18h30 C 09:05 09:05-18:30 MM EXO CERTIF -ABN -08h00/18h30 C 08:00 08:00-18:30 MN EXO CERTIF -ABN -09h05/18h30 C 09:05 09:05-18:30 MO Exotic Warrants - Citigroup - 08h00/18h30 C 08:00 08:00-18:30 MP Exotic Warrants - Citigroup - 09h05/18h30 C 09:05 09:05-18:30 MQ Exotic Warrants Commerzbank - 08h00/18h30 C 08:00 08:00-18:30 MR Exotic Warrants Commerzbank - 09h05/18h30 C 09:05 09:05-18:30 MS Exotic Certificates - ING - 08h00/18h30 C 08:00 08:00-18:30 MT TURBOS WAR ING 09h05/18h30 C 09:05 09:05-18:30 MU Structured products -Vontobel - 08h00/18h30 C 08:00 08:00-18:30 MV Structured products - Vontobel C 09:05 09:05-17:30 NA Structured products Commerzbank (%) C 09:05 09:05-17:30 NB Structured products Commerzbank ( ) C 09:05 09:05-17:30 NC Structured products other issuers (%) C 09:05 09:05-17:30 ND Certificates - Société Générale - 09h05/17h30 C 09:05 09:05-17:30 NE Structured products ABN AMRO (%) C 09:05 09:05-17:30 NF Structured products ABN AMRO ( ) C 09:05 09:05-17:30 NG Structured products Rabobank (%) C 09:05 09:05-17:30 NH Structured products Rabobank ( ) C 09:05 09:05-17:30 NJ Structured products Morgan Stanley (%) C 09:05 09:05-17:30 NK Structured products Morgan Stanley ( ) C 09:05 09:05-17:30 NL Structured products ABN AMRO Foreign Currency C 09:05 09:05-17:30 NM Structured products ABN AMRO Foreign Currency (%) C 09:05 09:05-17:30 NP Structured products BNP (%) C 09:05 09:05-17:30 24 Warrants BNP C 09:05 09:05-17:30 26 Warrants Société Générale C 09:05 09:05-17:30 27 Warrants Commerzbank C 09:05 09:05-17:30 29 Certificates Société Générale C 09:05 09:05-17:30 36 Warrants Citigroup C 09:05 09:05-17:30 4Y Structured Produits Commerzbank (%) - FMT C 09:05 09:05-17:30 GA Exotic certificates - ING C 08:00 08:00-18:30 GG Warrants - BNP C 08:00 08:00-18:30 GH Exotic Certificates - BNP C 08:00 08:00-18:30 GI Certificates - BNP C 08:00 08:00-18:30 GM Structured products BNP Foreign Currency (%) C 09:05 09:05-17:30 GN Structured Products (%) Compartiment Professionnel C 09:05 09:05-17:30 GO Structured products - Vontobel - 08h00/18h30 C 08:00 08:00-18:30 GP Structured products - Vontobel C 09:05 09:05-17:30 H1 Exotic certificates Commerzbank C 09:05 09:05-17:30 H2 Exotic warrants Citigroup C 09:05 09:05-17:30 H3 Exotic certificates RBS C 09:05 09:05-17:30 H4 Exotic warrants Société Générale C 09:05 09:05-17:30 H5 Exotic certificates BNP C 09:05 09:05-17:30 H6 Exotic warrants Commerzbank C 09:05 09:05-17:30 H7 Certificates - Barclay C 09:05 09:05-17:30 HB Certificates - Société Générale Foreign Currency C 09:05 09:05-17:30 HC ETNs Continuous C 09:05 09:05-17:30 HD Certificates Continuous C 09:05 09:05-17:30 HE Certificates - 09h05/17h30 C 09:05 09:05-17:30 HF Certificates - BNP C 09:05 09:05-17:30 HG Certificates - BNP C 09:05 09:05-17:30 HJ Certificates - RBS C 09:05 09:05-17:30 HK Certificates - Unicredit - 09h05/18h30 C 09:05 09:05-18:30 HL Exotic warrants Unicredit - 09h05/18h30 C 09:05 09:05-18:30 HM Certificates Goldman Sachs C 09:05 09:05-17:30 HN Certificates BNP Compartiment Professionnel C 09:05 09:05-17:30 HO Certificates - Société Genérale C 09:05 09:05-17:30 HP Exotic warrants - Barclays C 09:05 09:05-17:30 HR Exotic certificates - ING C 09:05 09:05-17:30 HT Structured Produits Société Générale - Delayed opening C 14:30 14:30-17:30 HW Certificates - Barclays - Foreign Currency C 09:05 09:05-17:30 I2 Warrants Unicredit - 09h05/18h30 C 09:05 09:05-18:30

5 IA Certificates - Unicredit - 08h00/18h30 C 08:00 08:00-18:30 IB Exotic warrants Unicredit C 08:00 08:00-18:30 IC Warrants Unicredit C 08:00 08:00-18:30 ID Certificates Unicredit - 08h00/18h30 CT C 08:00 08:00-18:30 IG Warrants Commerzbank C 08:00 08:00-18:30 IH Exotic warrants Commerzbank C 08:00 08:00-18:30 II Certificates Commerzbank C 08:00 08:00-18:30 IM Warrants Citigroup C 08:00 08:00-18:30 IN Exotic warrants Citigroup C 08:00 08:00-18:30 IQ Certificates - Barclay C 08:00 08:00-18:30 IR Exotic warrants - Barclays C 08:00 08:00-18:30 IS Certificates - Barclays C 09:05 09:05-18:30 IT Exotic warrants - Barclays C 09:05 09:05-18:30 IU Warrants - Société Générale - 09h05/18h30 C 09:05 09:05-18:30 IV Certificates - Société Générale - 08h00/18h30 C 08:00 08:00-18:30 IW Exotic Warrants - Société Générale - 09h05/18h30 C 09:05 09:05-18:30 IX Warrants - Société Générale - 08h00/18h30 C 08:00 08:00-18:30 IY Certificates Société Générale C 09:05 09:05-18:30 IZ Exotic warrants Société Générale - 08h00/18h30 C 08:00 08:00-18:30 T1 Certificates - BCP C 09:05 09:05-17:30 T2 Certificates - BCP C 09:05 09:05 18:30 T3 Certificates Commerzbank C 09:05 09:05 17:30 T4 Certificates Commerzbank C 09:05 09:05 18:30 U2 Warrants BCP C 09:05 09:05 18:30 U3 Warrants Citigroup C 09:05 09:05-18:30 U4 Exotic warrants Citigroup C 09:05 09:05-18:30 U5 Exotic warrants Citigroup C 09:05 09:05-17:30 U6 Warrants - Commerzbank C 09:05 09:05-17:30 U8 Warrants - Commerzbank C 09:05 09:05-18:30 U9 Exotic Warrants - Commerzbank C 09:05 09:05-18:30 UB Exotic Warrants - BC C 09:05 09:05-18:30 FUNDS Groupe de Auction Time KM Funds NL (monthly auction) - TCS SA KN Funds NL (weekly auction) - Foreign Currency - TCS SA KP Funds NL (daily auction) - Foreign Currency - TCS SA KQ Funds NL (quarterly auctions) - TCS SA KR Funds NL (daily auction) - Professional Compartment - TCS SA KU Funds NL (daily auction -2 days cycle) - TCS SA KW Funds NL (weekly auction) - TCS SA KX Funds NL NAV 2 (daily auction) - TCS SA KZ Funds NL (daily auction) - TCS SA 2Z Funds FR (daily auction) - TCS - no decimalisation SA 8C ETF NL - NAV 1 SA 8A ETFs FR NAV 1 SA 8B ETFs FR NAV 2 SA 8D ETFs PT NAV 1 SA 8E ETFs PT NAV 2 SA 2O 2P 2Q 2R 2S 2T 2U 2V 2W 2X 2Y EFS PAR-DEC-1 PRICE-ENX PAR-PROF COMP-BPSS EFS PARIS-DEC-1 PRICE-ACCESS-BPSS EFS PAR-DEC-1 PRICE-ENX PAR-PROFESSIONAL COMPARTMENT EFS PARIS-DEC-1 PRICE-ACCESS EFS PARIS-NODEC-1PRICE-ACCESS EFS PARIS-DEC-2PRICE-ACCESS EFS PARIS-NODEC-2PRICE-ACCESS EFS PARIS-DEC-1 PRICE-ENX PAR EFS PARIS-NODEC-1PRICE-ENX PAR EFS PARIS-DEC-2PRICE-ENX PAR EFS PARIS-NODEC-2PRICE-ENX PAR Cut-off Time 10:00 10:00 18:15 16:30 12:00 12:00 11:00 15:00 17:00 15:00 15:00 Marchés actions étrangers : Pays négociation - HEURES LOCALES NB : Allemagne 09:00-17:30 Afrique du Sud 09:00-16:50 Autriche 09:01-17:30 Danemark 09:00-16:55 Espagne 09:00-17:30 Etats-Unis 09:30- Canada 09:30- Finlande 10:00-18:25 Grande-Bretagne 08:00-16:30 Grèce 10:30-17:00 Italie 09:10-17:25 Norvège 09:00-16:20 Portugal 08:00-16h30 Suède 09:30-17:25 Suisse 09:00-17:20 Les ordres ne sont plus transmis sur les marchés américains et canadiens après 20h00 ( heure française)

Student Loan Backed Reporting - Private Loans Monthly/Quarterly Distribution Report. Notes/Bonds. Issuer Deal Name Report Date Collection Period

Student Loan Backed Reporting - Private Loans Monthly/Quarterly Distribution Report. Notes/Bonds. Issuer Deal Name Report Date Collection Period Monthly/Quarterly Distribution Report Issuer Deal Name Contact Email Website Vermont Student Assistance Corporation 2012A Master Indenture 10/1/18 - investorrelations@vsac.org www.vsac.org Notes/Bonds

More information

CODES FOR PHARMACY ONLINE CLAIMS PROCESSING

CODES FOR PHARMACY ONLINE CLAIMS PROCESSING S FOR PHARMACY ONLINE CLAIMS PROCESSING The following is a list of error and warning codes that may appear when processing claims on the online system. The error codes are bolded. CODE AA AB AI AR CB CD

More information

ANNEX. to the Commission decision on the reimbursement of personnel costs of beneficiaries of the Connecting Europe Facility

ANNEX. to the Commission decision on the reimbursement of personnel costs of beneficiaries of the Connecting Europe Facility EUROPEAN COMMISSION Brussels, 3.2.2016 C(2016) 478 final ANNEX 1 ANNEX to the Commission decision on the reimbursement of personnel costs of beneficiaries of the Connecting Europe Facility [ ] EN EN ANNEX

More information

2013 Proposed Non-Ad Valorem Recap

2013 Proposed Non-Ad Valorem Recap BL BELMONT LAKES CDD $ 4,200.00 42 42 $ 176,400.00 0 0 42 42 1 BROWARD COUNTY GARBAGE - 1 $ 270.00 182 190 $ 51,300.00 0 0 182 190 4 BROWARD COUNTY GARBAGE - 4 $ 270.00 653 858 $ 231,660.00 2 0 655 858

More information

$396,605,328 Freddie Mac. Multiclass Certificates, Series 4066

$396,605,328 Freddie Mac. Multiclass Certificates, Series 4066 Offering Circular Supplement (To Offering Circular Dated June 1, 2010) $396,605,328 Freddie Mac Multiclass Certificates, Series 4066 Offered Classes: REMIC Classes shown below and MACR Classes shown on

More information

TO : Approved Participants May 27, 2002 Registered Options Principals Options Traders Sales Managers NEW EQUITY OPTION CLASSES

TO : Approved Participants May 27, 2002 Registered Options Principals Options Traders Sales Managers NEW EQUITY OPTION CLASSES TO : Approved Participants May 27, Registered Options Principals Options Traders Sales Managers NEW EQUITY OPTION CLASSES Bourse de Montréal Inc. and Canadian Derivatives Clearing Corporation (CDCC) hereby

More information

Inpatient. Hospital 2. Urgent Care ER. Spec. N/A $5, % 80% $3,500 $12,000 $30 $45 $75 $150 $500 Admit $250 $250 $30 $75 $75 Embedded

Inpatient. Hospital 2. Urgent Care ER. Spec. N/A $5, % 80% $3,500 $12,000 $30 $45 $75 $150 $500 Admit $250 $250 $30 $75 $75 Embedded Health Plan Product Offering Please be advised that this guide is for informational purposes only. Premium rates and/or product forms included herein have been filed and are subject to approval by regulators.

More information

Questions and Answers. Fund Accounting and Support Services RFP

Questions and Answers. Fund Accounting and Support Services RFP Questions and Answers Fund Accounting and Support Services RFP Date Question OPERS Response 4/11 Page 13 of the RFP requests flexibility to provide minimum services with or without custody of the assets.

More information

Below are the current active months, active strike prices, and their codes for FINISAR CORPORATION (NEW)

Below are the current active months, active strike prices, and their codes for FINISAR CORPORATION (NEW) CBOE Research Circular #RS09-555 DATE: December 4, 2009 TO: Members RE: New Listings On 12/7/2009 the CBOE will begin trading options on the following equity securities. CBOE will trade in all existing

More information

Claims Equalisation Reserves information for aligned members

Claims Equalisation Reserves information for aligned members market bulletin Ref: Y4340 Title Purpose Type From Claims Equalisation Reserves information for aligned members To explain the operation of Claims Equalisation Reserves and clarify the information which

More information

Total $64,130,000 $57,560,000 $717,113 $0 $57,560,000 $57,560, % (a) Footnotes (b) Footnotes

Total $64,130,000 $57,560,000 $717,113 $0 $57,560,000 $57,560, % (a) Footnotes (b) Footnotes Monthly/Quarterly Distribution Report Issuer Deal Name Contact Email Website Vermont Student Assistance Corporation 2012A Master Indenture investorrelations@vsac.org www.vsac.org Notes/Bonds Class CUSIP

More information

MODEL ANNEX 2 FOR H2020 GENERAL MGA MULTI ESTIMATED BUDGET FOR THE ACTION. Total costs subcontracting. [F.2 Costs of ] 5

MODEL ANNEX 2 FOR H2020 GENERAL MGA MULTI ESTIMATED BUDGET FOR THE ACTION. Total costs subcontracting. [F.2 Costs of ] 5 i print format A4 landscape MODEL ANNEX 2 FOR H2020 GENERAL MGA MULTI ESTIMATED BUDGET FOR THE ACTION Estimated eligible 1 costs (per budget category) EU contribution Additional information B. Direct costs

More information

Compañía de Seguros. A.B. (#327) M 86 United of Omaha $ 1,000,000.00

Compañía de Seguros. A.B. (#327) M 86 United of Omaha $ 1,000,000.00 Sexo A.B. (#327) M 86 United of Omaha $ 1,000,000.00 A.B. (#430) - (#436) M 86 Metlife $ 2,000,000.00 A.G. #1 (#371), (#610), (#624) M Conseco Life $ 3,125,000.00 10/Apr/10 A.G. #2 (#380), (#381), (#627),

More information

Page 1 of 5. Principal. Maturity Date. Yield/Coupo. Issuer Category of Investment CUSIP

Page 1 of 5. Principal. Maturity Date. Yield/Coupo. Issuer Category of Investment CUSIP Rule 2a-7(c)(12) Schedule of Investments TIAA-CREF Money Market Fund Fund Information and Unaudited Holdings as of December 31, 2016 Weighted Average Maturity: 46.05 days Weighted Average Life: 86.16 days

More information

2018 June Non-Ad Valorem Recap 5/30/2018

2018 June Non-Ad Valorem Recap 5/30/2018 N BL IM BL BELMONT LAKES CDD $ 5,026.54 42 42 $ 211,114.68 - - 42 42 G 1 GB 1 BROWARD COUNTY GARBAGE $ 270.00 183 194 $ 52,380.00 - - 183 194 G 4 GB 4 BROWARD COUNTY GARBAGE $ 270.00 668 874 $ 235,980.00

More information

Manufacturing Questionnaire

Manufacturing Questionnaire Country: The Gambia (5) Questionnaire ID: Establishment ID Code: 1 idquest estid Supervisor Call Back callback 1303, Greene Ave., Suite 200, Montreal (Quebec) Canada H3Z 2A7 Tel. : (514) 939-2296 etecocon@eecgroup.com

More information

SUPPLEMENT DATED 31 MARCH 2017 TO THE BASE PROSPECTUS DATED 22 DECEMBER 2016 BPE FINANCIACIONES, S.A. and BANCO POPULAR ESPAÑOL, S.A.

SUPPLEMENT DATED 31 MARCH 2017 TO THE BASE PROSPECTUS DATED 22 DECEMBER 2016 BPE FINANCIACIONES, S.A. and BANCO POPULAR ESPAÑOL, S.A. SUPPLEMENT DATED 31 MARCH 2017 TO THE BASE PROSPECTUS DATED 22 DECEMBER 2016 BPE FINANCIACIONES, S.A. (incorporated with limited liability under the laws of the Kingdom of ) and BANCO POPULAR ESPAÑOL,

More information

Table of Contents. Sections. Tables. Appendices

Table of Contents. Sections. Tables. Appendices Table of Contents Sections 1. District Profile 1 2. Special Taxes 2 3. Property Ownership 3 4. Development Status and Absorption 4 5. Payment History 5 6. Bond Funds 6 7. Listed Events 8 Tables Table 2-1

More information

RULE 15c2-12 FILING COVER SHEET

RULE 15c2-12 FILING COVER SHEET RULE 15c2-12 FILING COVER SHEET This cover sheet is sent with all submissions to the Municipal Securities Rulemaking Board (the Nationally Recognized Municipal Securities Information Repository) and any

More information

RULE 15c2-12 FILING COVER SHEET

RULE 15c2-12 FILING COVER SHEET RULE 15c2-12 FILING COVER SHEET This cover sheet is sent with all submissions to the Municipal Securities Rulemaking Board (the Nationally Recognized Municipal Securities Information Repository) and any

More information

SOCIAL SECURITY (HOME CHILD CARE AND PARTNER ALLOWANCES) LEGISLATION AMENDMENT BILL 1993

SOCIAL SECURITY (HOME CHILD CARE AND PARTNER ALLOWANCES) LEGISLATION AMENDMENT BILL 1993 , ARTHUR ROBINSON & HEDDER\VICKS LIBRARY 1993 THE PARLIAMENT OF THE COMMONWEALTH OF AUSTRALIA HOUSE OF REPRESENTATIVES Presented and read a first time (Social Security) SOCIAL SECURITY (HOME CHILD CARE

More information

$496,195,000 COUNTY OF SACRAMENTO Airport System Senior Revenue Bonds Series 2008 $169,575,000 Series 2008A (Non-AMT)

$496,195,000 COUNTY OF SACRAMENTO Airport System Senior Revenue Bonds Series 2008 $169,575,000 Series 2008A (Non-AMT) NEW ISSUE; BOOK-ENTRY ONLY Ratings: See Ratings herein. In the opinion of Orrick, Herrington & Sutcliffe LLP, Bond Counsel to the County, based upon an analysis of existing laws, regulations, rulings and

More information

NOTICE TO MEMBERS No May 6, 2003 SYMBOL CONVERSION LONG-TERM EQUITY OPTIONS EXPIRING IN JANUARY 2004

NOTICE TO MEMBERS No May 6, 2003 SYMBOL CONVERSION LONG-TERM EQUITY OPTIONS EXPIRING IN JANUARY 2004 NOTICE TO MEMBERS No. 2003-025 May 6, 2003 SYMBOL CONVERSION LONG-TERM EQUITY OPTIONS EXPIRING IN JANUARY Bourse de Montréal Inc. (the Bourse) and (CDCC) hereby inform you that at the opening on Monday,

More information

$310,636,241. Freddie Mac. Multiclass CertiÑcates, Series 3127

$310,636,241. Freddie Mac. Multiclass CertiÑcates, Series 3127 OÅering Circular Supplement $310,636,241 (To OÅering Circular Dated June 1, 2003) Freddie Mac Multiclass CertiÑcates, Series 3127 OÅered Classes: OÅering Terms: Closing Date: March 30, 2006 REMIC Classes

More information

Capital and Risk Management Report 2016

Capital and Risk Management Report 2016 Capital and Risk Management Report 2016 Appendix C Nordea Bank Finland Capital and Risk Management Report Nordea 2016 Appendix C Nordea Bank Finland 2 Contents Table/Figure Table name Page C1 Mapping of

More information

Effective March 16, 2015

Effective March 16, 2015 Alberta Pricing and Schedule A Effective: March Code FG Resident Sportfishing $ 28.00 $ 29.40 $ 2.75 AA Resident Antelope Archery Draw $ 59.95 $ 62.95 $ 2.75 AC NRA Wildlife Certificate $ 68.22 $ 71.63

More information

Goldman, Sachs & Co.

Goldman, Sachs & Co. Offering Circular Supplement (To Offering Circular Dated August 1, 2014) $1,202,681,599 Freddie Mac Multiclass Certificates, Series 4386 Offered Classes: REMIC Classes shown below and MACR Classes shown

More information

2018 Proposed Non-Ad Valorem Recap 8/6/2018

2018 Proposed Non-Ad Valorem Recap 8/6/2018 N BL IM BL BELMONT LAKES CDD $ 5,686.03 42 42 $ 238,813.26 - - 42 42 G 1 GB 1 BROWARD COUNTY GARBAGE $ 270.00 183 194 $ 52,380.00 - - 183 194 G 4 GB 4 BROWARD COUNTY GARBAGE $ 270.00 668 874 $ 235,980.00

More information

Bank business models and regulation. 2 October 2013 Séminaire IEP-Banque de France Respondant : JB Bellon

Bank business models and regulation. 2 October 2013 Séminaire IEP-Banque de France Respondant : JB Bellon Bank business models and regulation 2 October 2013 Séminaire IEP-Banque de France Respondant : JB Bellon 1. Evolution of Bank Business models after regulation 2 World is changing again 3 and market darlings

More information

$695,824,164. Guaranteed REMIC Pass-Through Certificates Fannie Mae REMIC Trust Original Balance. Class

$695,824,164. Guaranteed REMIC Pass-Through Certificates Fannie Mae REMIC Trust Original Balance. Class Prospectus Supplement (To REMIC Prospectus dated May 1, 2010) $695,824,164 Guaranteed REMIC Pass-Through Certificates Fannie Mae REMIC Trust 2011-69 The Certificates We, the Federal National Mortgage Association

More information

$1,021,849,395 Freddie Mac. Multiclass Certificates, Series 3862

$1,021,849,395 Freddie Mac. Multiclass Certificates, Series 3862 Offering Circular Supplement (To Offering Circular Dated June 1, 2010) $1,021,849,395 Freddie Mac Multiclass Certificates, Series 3862 Offered Classes: REMIC Classes shown below and MACR Classes shown

More information

THE WORLD BANK Enterprise Survey Services Module (2011)

THE WORLD BANK Enterprise Survey Services Module (2011) Manufacturing :Section D GPS Coordinates THE WORLD BANK Enterprise Survey Services Module (2011) SERIAL NUMBER [TO BE COMPLETED USING GOOGLE MAPS] Degrees North (Latitude) lat Degrees East (Longitude)

More information

THE WORLD BANK ENTERPRISE SURVEY Manufacturing Module (2016)

THE WORLD BANK ENTERPRISE SURVEY Manufacturing Module (2016) THE WORLD BANK ENTERPRISE SURVEY Manufacturing Module (2016) FIELDWORK SUPERVISORS AND MANAGEMENT ARE RESPONSIBLE FOR THE ACCURACY OF THIS SECTION. INFORMATION ACQUIRED PRIOR TO SCREENING: Sampling Information

More information

Social investment tax relief

Social investment tax relief Social investment tax relief Who is likely to be affected? Social enterprises and individuals who invest in such organisations. General description of the measure This measure will make available a range

More information

PRODUCER ANNUITY SUITABILITY TRAINING REQUIREMENTS BY STATE As of September 11, 2017

PRODUCER ANNUITY SUITABILITY TRAINING REQUIREMENTS BY STATE As of September 11, 2017 PRODUCER ANNUITY SUITABILITY TRAINING REQUIREMENTS BY STATE As of September 11, 2017 This document provides a summary of the annuity training requirements that agents are required to complete for each

More information

Wish List of Modifying National Statistical Infrastructures for Improved International Input-Output Databases

Wish List of Modifying National Statistical Infrastructures for Improved International Input-Output Databases Wish List of Modifying National Statistical Infrastructures for Improved International Input-Output Databases Satoshi INOMATA (IDE-JETRO) Norihiko YAMANO (OECD) Bo MENG (IDE-JETRO) Workshop on the Fragmentation

More information

$905,431,677 Freddie Mac. Multiclass Certificates, Series 4011

$905,431,677 Freddie Mac. Multiclass Certificates, Series 4011 Offering Circular Supplement (To Offering Circular Dated June 1, 2010) $905,431,677 Freddie Mac Multiclass Certificates, Series 4011 Offered Classes: REMIC Classes shown below and MACR Classes shown on

More information

UPDATED APPENDIX TO TRADING MANUAL: NEW TRADING GROUP ON EURONEXT CASH MARKETS NAV TRADING FACILITY

UPDATED APPENDIX TO TRADING MANUAL: NEW TRADING GROUP ON EURONEXT CASH MARKETS NAV TRADING FACILITY DATE: 18 DECEMBER 2013 MARKET: EURONEXT CASH MARKETS UPDATED APPENDIX TO TRADING MANUAL: NEW TRADING GROUP ON EURONEXT CASH MARKETS NAV TRADING FACILITY Executive Summary Two new trading groups have been

More information

Key Performance Indicators under the 2010 Standard Civil Contract:

Key Performance Indicators under the 2010 Standard Civil Contract: Key Performance Indicators under the 2010 Standard Civil Contract: Guidance document for Social Welfare Law, Low Volume Categories, Mental Health, and Immigration/Asylum Providers December 2010 1. Background

More information

] [ where, C t is the Cash Rate; T t is the Tom Rate; S Value Date is the Spot Settlement Date.

] [ where, C t is the Cash Rate; T t is the Tom Rate; S Value Date is the Spot Settlement Date. ESTIMATION OF RUPEE FORWARD PREMIA AND MIFOR CURVE 1 Methodology Document FBIL US DOLLAR / RUPEE FORWARD PREMIA AND MIFOR CURVE will be computed daily as per the following methodology: 1. Inter-bank Forex

More information

Massachusetts Large Group (51+) UnitedHealthcare Plans

Massachusetts Large Group (51+) UnitedHealthcare Plans 2018-2019 Large Group (51+) Plans Please be advised that this guide is for informational purposes only. Premium rates and/or product forms inclu herein have been filed and are subject to approval by regulators.

More information

is a registered trademark of Baldor Optimised Control Ltd.

is a registered trademark of Baldor Optimised Control Ltd. !"# "$ Baldor Baldor Baldor MINT is a registered trademark of Baldor Optimised Control Ltd.!"# "$%& '"(&) *+ -.((/-!/0"!1 $$ 234 -.((/-!/0"!1 $ ' -.((/-!/0"!1 $5 ' -.((/-!/0$!1(!$ 6# 7 (( " )& *!+!& $

More information

2018 Final Non-Ad Valorem Recap 10/9/2018

2018 Final Non-Ad Valorem Recap 10/9/2018 Authority List BCPA Code BCPA Name Rate # of Parcels Tax Base Taxes # of Ex Parcels Ex Base Total Total Base N BL IM BL BELMONT LAKES CDD $ 5,017.41 42 42.00 $ 210,731.22 - - 42 42.00 G 1 GB 1 BROWARD

More information

Coinsurance Deductible Out-of-Pocket Maximum Copay/Per Occurrence. Network Out of Network Network Out of Network

Coinsurance Deductible Out-of-Pocket Maximum Copay/Per Occurrence. Network Out of Network Network Out of Network Health Plan Product Offering UnitedHealthcare offers a wide variety of plan options that allow you to tailor your benefits to your business needs, choosing what you value in a health plan. / UnitedHealthcare

More information

tj;:m~ cec::: inženiring,d.o.o. 1 Project Sea/:

tj;:m~ cec::: inženiring,d.o.o. 1 Project Sea/: !""# Responsible Client Task Force Zoran Rubinjoni BSc Transport Eng, Executive Project Director Milan Kozlovic, BSc CE, Project Director Vladimir Depolo DSc Transport Eng, Project Director Tatjana Popovic,

More information

TO : Approved Participants February 5, 2003 Registered Options Principals Options Traders NEW EQUITY OPTION CLASSES

TO : Approved Participants February 5, 2003 Registered Options Principals Options Traders NEW EQUITY OPTION CLASSES TO : Approved Participants February 5, 2003 Registered Options Principals Options Traders NEW EQUITY OPTION CLASSES Bourse de Montréal Inc. (the Bourse) and Canadian Derivatives Clearing Corporation (CDCC)

More information

THE WORLD BANK ENTERPRISE SURVEY [Insert Country] Manufacturing Module (2018)

THE WORLD BANK ENTERPRISE SURVEY [Insert Country] Manufacturing Module (2018) THE WORLD BANK ENTERPRISE SURVEY [Insert Country] Manufacturing Module (2018) FIELDWORK SUPERVISORS AND MANAGEMENT ARE RESPONSIBLE FOR THE ACCURACY OF THIS SECTION. INFORMATION ACQUIRED PRIOR TO SCREENING:

More information

ISA Employee Application Form - Execution Only

ISA Employee Application Form - Execution Only ISA Employee Application Form - Execution Only This form is for investing in a Stocks and Shares ISA with Standard Life Investments (Mutual Funds) Limited. Before you sign this form you must read an up-to-date

More information

Mortgage Bankers Financial Reporting Form

Mortgage Bankers Financial Reporting Form Mortgage Bankers Financial Reporting Form Fannie Mae Form 1002 / Freddie Mac Form 1055 Ginnie Mae Form HUD 11750 Reporting Period: Second Quarter 2016 Data for the Period Ending: This form was generated

More information

Rewriting the Income Tax Act: Exposure Draft. Foreword

Rewriting the Income Tax Act: Exposure Draft. Foreword Foreword The Government welcomes the publication of this exposure draft of the rewritten Parts A to E of the Income Tax Act 1994. Legislation that is clear, written in plain language, and easy to use has

More information

THE WORLD BANK ENTERPRISE SURVEY Manufacturing Module (2018)

THE WORLD BANK ENTERPRISE SURVEY Manufacturing Module (2018) THE WORLD BANK ENTERPRISE SURVEY Manufacturing Module (2018) FIELDWORK SUPERVISORS AND MANAGEMENT ARE RESPONSIBLE FOR THE ACCURACY OF THIS SECTION. INFORMATION ACQUIRED PRIOR TO SCREENING: Sampling Information

More information

Catamaran 2441 Warrenville Rd. Suite 610 Lisle, IL PAYER SPECIFICATION SHEET. Non-Medicare Part D. Plan Information

Catamaran 2441 Warrenville Rd. Suite 610 Lisle, IL PAYER SPECIFICATION SHEET. Non-Medicare Part D. Plan Information Catamaran 2441 Warrenville Rd. Suite 610 Lisle, IL 60532 PAYER SPECIFICATION SHEET Non-Medicare Part D Plan Infmation Payer Name: Catamaran Date: 12/20/11 Plan Name: Catamaran (This payer sheet represents

More information

A. To maintain a balanced District budget in FY 2011, subordinate executive branch agencies shall abide by the following restrictions:

A. To maintain a balanced District budget in FY 2011, subordinate executive branch agencies shall abide by the following restrictions: GOVERNMENT OF THE DISTRICT OF COLUMBIA ADMINISTRATIVE ISSUANCE SYSTEM SUBJECT: Allocation of Spending (FY 2011) Mayor s Order 2010-160 October 4, 2010 ORIGINATING AGENCY: Office of the City Administrator

More information

Investment Bank Credit Report Q4 2017

Investment Bank Credit Report Q4 2017 Investment Bank Credit Report Q4 217 We produce a Quarterly Investment Bank Credit Report as part of our continual counterparty due diligence process. The Report includes summaries of the quarterly movements,

More information

NCPDP VERSION 5.Ø REJECT CODES FOR TELECOMMUNICATION STANDARD

NCPDP VERSION 5.Ø REJECT CODES FOR TELECOMMUNICATION STANDARD NCPDP VERSION 5.Ø REJECT CODES FOR TELECOMMUNICATION STANDARD Reject Code Explanation Field Number Possibly In Error ØØ ("M/I" Means Missing/Invalid) Ø1 M/I Bin 1Ø1 Ø2 M/I Version Number 1Ø2 Ø3 M/I Transaction

More information

$2,609,358,514 Freddie Mac. Multiclass Certificates, Series 3747

$2,609,358,514 Freddie Mac. Multiclass Certificates, Series 3747 Offering Circular Supplement (To Offering Circular Dated June 1, 2010) $2,609,358,514 Freddie Mac Multiclass Certificates, Series 3747 Offered Classes: REMIC Classes shown below and MACR Classes shown

More information

Australian Securities and Investments Commission Act 1989

Australian Securities and Investments Commission Act 1989 Australian Securities and Investments Commission Act 1989 TABLE OF PROVISIONS Long Title Part 1 Preliminary 1. Objects 1A. Short title 1B. Alternative citations of this Act and regulations under section

More information

$239,288,165. Guaranteed REMIC Pass-Through Certificates Fannie Mae REMIC Trust Original. Class. Balance

$239,288,165. Guaranteed REMIC Pass-Through Certificates Fannie Mae REMIC Trust Original. Class. Balance Prospectus Supplement (To REMIC Prospectus dated June 1, 2014) $239,288,165 Guaranteed REMIC Pass-Through Certificates Fannie Mae REMIC Trust 2016-5 The Certificates We, the Federal National Mortgage Association

More information

SECTION A APPENDIX J - COST-OF-LIVING INDEXES:

SECTION A APPENDIX J - COST-OF-LIVING INDEXES: THIS MESSAGE CONSTITUTES OFFICIAL NOTIFICATION OF BI-MONTHLY STATION ALLOWANCE REVIEWS EFFECTIVE 16 FEBRUARY 2010, FOR THE FOLLOWING COUNTRIES: AUSTRALIA, AUSTRIA, BANGLADESH, BELGIUM, BENIN, BOSNIA- HERZEGOVINA,

More information

Federal Register / Vol. 65, No. 69 / Monday, April 10, 2000 / Proposed Rules

Federal Register / Vol. 65, No. 69 / Monday, April 10, 2000 / Proposed Rules Federal Register / Vol. 65, No. 69 / Monday, April 10, 2000 / Proposed Rules 19213 VerDate 202000 22:49 Apr 07, 2000 Jkt 190000 PO 00000 Frm 00027 Fmt 4701 Sfmt 4725 E:\FR\FM\10APP4.SGM pfrm03 PsN:

More information

Investment performance and other important information

Investment performance and other important information For the year ending 30 June 2015 Investment performance and other important information Superannuation products available within the Colonial Super Retirement Fund. Other superannuation and ordinary products

More information

Full file at CHAPTER 3

Full file at   CHAPTER 3 CHAPTER 3 Adjusting the Accounts ASSIGNMENT CLASSIFICATION TABLE Study Objectives Questions Brief Exercises Exercises A Problems B Problems *1. Explain the time period assumption. 1, 2 *2. Explain the

More information

FY 2009 results Capital strengthening. Milan, 18 September 2009

FY 2009 results Capital strengthening. Milan, 18 September 2009 Capital strengthening Milan, 18 September 2009 Agenda 1. Full year 09 results 2. Capital strengthening 2 Solid through storm, ready to achieve further growth During these 12 months of unprecedented crisis,

More information

Country Classification System

Country Classification System Country Classification System December 2017 2016 S-Network Global Indexes, 267 Fifth Avenue, New York, NY 10016. S-Network Country Classification System 1. Criteria for Developed Market Status Per Capita

More information

4D3 4I5 . ) ) `!23! - 1,&U g- ;&' $) $ a: 9_' 1$).E L $ a 9- ab) 8 9' 4I *! +, )- 1 7)8 : M) ' * Z c,&< $

4D3 4I5 . ) ) `!23! - 1,&U g- ;&' $) $ a: 9_' 1$).E L $ a 9- ab) 8 9' 4I *! +, )- 1 7)8 : M) ' * Z c,&< $ (4) 8 1385 249-254: 0123 456& 7 "5 &'' ( )*"+,-. /)$% 8%!"# 3 2 1 Ph.D. * Ph.D. * M.Sc. * 1386/3/18 :4K5 K?,N >D.( EC9 (0.) ("C( ("B9 /% >?2. 5159

More information

$1,293,741,986. Guaranteed Pass-Through Certificates Fannie Mae Trust

$1,293,741,986. Guaranteed Pass-Through Certificates Fannie Mae Trust Supplement (To Prospectus Supplement dated May 23, 2013) $1,293,741,986 Guaranteed Pass-Through Certificates Fannie Mae Trust 2013-54 This is a supplement to the prospectus supplement dated May 23, 2013

More information

Athene Ascent Pro Bonus

Athene Ascent Pro Bonus SM Athene Ascent Pro Bonus Product Guide Rates effective October 7, 2017 State Availability Ascent 10 Bonus 2.0: Ages 35-80 Ascent Pro 10 Bonus Select: Ages 35-80 Ascent 10 Bonus 2.0: Ages 35-64 Ascent

More information

Counterparty Credit Default Swap Rates

Counterparty Credit Default Swap Rates Counterparty Credit Default Swap Rates 1 December 2017 This information is for financial advisers only and should not be presented to, or relied upon by, private investors. 1 Credit default swaps Bloomberg/Meteor

More information

PAYER SPECIFICATION SHEET. June 1, Bin #:

PAYER SPECIFICATION SHEET. June 1, Bin #: June 1, 2009 PAYER SPECIFICATION SHEET Bin #: States: National Destination: Integrated Prescription Management Accepting: Claim Adjudication, Reversals Fmat: Version 5.1 1. Segment And Requirements By

More information

The Lincoln National Life Insurance Company Term Portfolio

The Lincoln National Life Insurance Company Term Portfolio The Lincoln National Life Insurance Company Term Portfolio State Availability as of 7/16/2018 PRODUCTS AL AK AZ AR CA CO CT DE DC FL GA GU HI ID IL IN IA KS KY LA ME MP MD MA MI MN MS MO MT NE NV NH NJ

More information

Annex 1: Background: The Oil and Gas Sector in Somalia

Annex 1: Background: The Oil and Gas Sector in Somalia S/AC.29/2015/SEMG/OC.31 1 Annex 1: Background: The Oil and Gas Sector in Somalia Oil and Gas as a Threat to Peace and Security The SEMG discussed the threat to peace and security posed by the extractives

More information

2018 ONTARIO BUDGET Schedule of Debt

2018 ONTARIO BUDGET Schedule of Debt 2018 ONTARIO BUDGET Schedule of Debt - 1 - Outstanding Debt - Consolidated Summary Interim 2018 ($ Millions) Province OEFC 2017-18 2016-17 Debt Non-Public Debt Issued by the Province Guaranteed by the

More information

section 3 schedules of debt (unaudited)

section 3 schedules of debt (unaudited) section 3 schedules of debt () PUBLIC ACCOUNTS, 2016-2017 3-1 ISSUES OF LONG TERM DEBT For the year ended March 31, 2017 This schedule details the borrowing transactions during the year, which served

More information

Athene Performance Elite 10

Athene Performance Elite 10 Athene Performance Elite 10 Product Guide Rates effective January 14, 2019 State Availability WA MT ND VT ME CA # OR NV ID AZ UT WY NM CO SD NE KS OK MN WI IA IL MO^ AR MI OH IN KY TN PA WV VA NC SC NY

More information

THE WORLD BANK ENTERPRISE SURVEY Services Module (2018)

THE WORLD BANK ENTERPRISE SURVEY Services Module (2018) THE WORLD BANK ENTERPRISE SURVEY Services Module (2018) FIELDWORK SUPERVISORS AND MANAGEMENT ARE RESPONSIBLE FOR THIS SECTION. INFORMATION ACQUIRED PRIOR TO SCREENING: Sampling Information [CODES FROM

More information

2017 ONTARIO BUDGET Schedule of Debt

2017 ONTARIO BUDGET Schedule of Debt 2017 ONTARIO BUDGET Schedule of Debt - 1 - Outstanding Debt - Consolidated Summary Interim 2017 ($ Millions) Province OEFC 2016-17 2015-16 Debt Non-Public Debt Issued by the Province Guaranteed by the

More information

section 3 schedules of debt (unaudited)

section 3 schedules of debt (unaudited) section 3 schedules of debt () 3-1 ISSUES OF LONG TERM DEBT For the year ended March 31, 2018 This schedule details the borrowing transactions during the year, which served to increase the outstanding

More information

File No. SR-NASD Amendments to Rules Governing Member Communications with the Public

File No. SR-NASD Amendments to Rules Governing Member Communications with the Public May 17, 2000 Katherine A. England Assistant Director Division of Market Regulation Securities and Exchange Commission 450 Fifth Street, N.W. Washington, D.C. 20549 Re: File No. SR-NASD-00-12 Amendments

More information

Prescription Item Report Glossary for Appliance Contractors

Prescription Item Report Glossary for Appliance Contractors Prescription Item Report Glossary for Appliance Contractors A OCS Code The code (beginning F) allocated by NHSBSA which is a unique identifier for an appliance contractor. B Dispensing Month The month

More information

An Act to provide for reconciliation pursuant to titles II and V of the concurrent resolution on the budget for fiscal year 2018

An Act to provide for reconciliation pursuant to titles II and V of the concurrent resolution on the budget for fiscal year 2018 An Act to provide for reconciliation pursuant to titles II and V of the concurrent resolution on the budget for fiscal year 2018 (Pub L 115-97, 131 Stat 2054) Internal Revenue Code Changes IRC Section

More information

Athene Ascent Pro Bonus

Athene Ascent Pro Bonus SM Athene Ascent Pro Bonus Product Guide Rates effective October 7, 2017 State Availability Ascent 10 Bonus 2.0: Ages 35-80 Ascent Pro 10 Bonus Select: Ages 35-80 Ascent 10 Bonus 2.0: Ages 35-64 Ascent

More information

S&P Year Point-to-Point Index Strategy (Cap) 6.00% Bailout Cap Rate 3.00% 1-Year Monthly Cap Index Strategy (Cap) 2.15%

S&P Year Point-to-Point Index Strategy (Cap) 6.00% Bailout Cap Rate 3.00% 1-Year Monthly Cap Index Strategy (Cap) 2.15% SM Athene Protector 5 Product Guide Rates effective March 12, 2018 State Availability Ages 0-85 Not available + Confinement Waiver is not available in MA # No Confinement or Terminal Illness Waiver WA

More information

SIGNIFICANT PROVISIONS OF STATE UNEMPLOYMENT INSURANCE LAWS JANUARY 2008

SIGNIFICANT PROVISIONS OF STATE UNEMPLOYMENT INSURANCE LAWS JANUARY 2008 U.S. DEPARTMENT OF LABOR EMPLOYMENT AND TRAINING ADMINISTRATION Office Workforce Security SIGNIFICANT PROVISIONS OF STATE UNEMPLOYMENT INSURANCE LAWS JANUARY 2008 AL AK AZ AR CA CO CT DE DC FL GA HI /

More information

Athene Ascent Accumulator 10

Athene Ascent Accumulator 10 SM Athene Ascent Accumulator 10 Product Guide Rates effective December 1, 2017 State Availability Ages 0-80 Not available + Base Confinement Waiver is not available in MA # Minimum Interest Credit is not

More information

Public Cash Flow Statements

Public Cash Flow Statements Public Cash Flow Statements 2014-2015 NACUBO Intermediate Accounting Learning Objectives Identify the GAAP guidance for the preparation of the cash flow statement List the components of the statement Describe

More information

The POLL WATCHER. Inside This Issue. October 22, 2015

The POLL WATCHER. Inside This Issue. October 22, 2015 VOLUME 1 ISSUE 19 The POLL WATCHER October 22, 2015 Inside This Issue 1 Message from the Directors 2 Miscellaneous Reminders 3 Provisional Ballots 4 Presiding Judge Check List 5 Calendar and Contact Info

More information

Product guide. Residential Second Charge Loans - available direct through Precise Mortgages. What s new?

Product guide. Residential Second Charge Loans - available direct through Precise Mortgages. What s new? Product guide The specialist lender you can bank on Residential Second Charge Loans - available direct through Precise Mortgages What s new? No assessment fee (when submitting direct) Improved products

More information

Counterparty Credit Default Swap Rates

Counterparty Credit Default Swap Rates Counterparty Credit Default Swap Rates 22 June 2018 This information is for financial advisers only and should not be presented to, or relied upon by, private investors. 1 Credit default swaps Bloomberg/Meteor

More information

42 USC 1395w-27. NB: This unofficial compilation of the U.S. Code is current as of Jan. 4, 2012 (see

42 USC 1395w-27. NB: This unofficial compilation of the U.S. Code is current as of Jan. 4, 2012 (see TITLE 42 - THE PUBLIC HEALTH AND WELFARE CHAPTER 7 - SOCIAL SECURITY SUBCHAPTER XVIII - HEALTH INSURANCE FOR AGED AND DISABLED Part C - Medicare+Choice Program 1395w 27. Contracts with Medicare+Choice

More information

ENTERPRISE SURVEY MANUFACTURING QUESTIONNAIRE GHANA

ENTERPRISE SURVEY MANUFACTURING QUESTIONNAIRE GHANA ENTERPRISE SURVEY MANUFACTURING QUESTIONNAIRE GHANA Questionnaire Type a0 (=1) Country: a1 (=Ghana) Questionnaire ID: serial Establishment ID Code: Is Establishment Panel? Panel ID Supervisor Call Back

More information

Measuring Costa Rica s participation in GVC s. Department of Macroeconomic Statistics ICMTEG, Aguascalientes, México Sep-Oct, 2014

Measuring Costa Rica s participation in GVC s. Department of Macroeconomic Statistics ICMTEG, Aguascalientes, México Sep-Oct, 2014 Measuring Costa Rica s participation in GVC s Department of Macroeconomic Statistics ICMTEG, Aguascalientes, México Sep-Oct, 2014 OUTLINE Costa Rica in GVC s Research goals based on international IOT Construction

More information

Athene Performance Elite 10

Athene Performance Elite 10 Athene Performance Elite 10 Product Guide Rates effective February 12, 2018 State Availability WA MT ND VT ME CA # OR NV ID AZ UT WY NM CO SD NE KS OK MN WI MI IA PA OH IN IL MO^ WV KY VA NC TN AR SC MS

More information

WIPO/IPR/JU/AMM/04/DOC.5B : ! " !"# $% * +, - ) " 4/ $ / 93 : 8; C:\WINNT\apsdoc\nettemp\1544\ $ASQDOC. 5B.doc (NA)

WIPO/IPR/JU/AMM/04/DOC.5B : !  !# $% * +, - )  4/ $ / 93 : 8; C:\WINNT\apsdoc\nettemp\1544\ $ASQDOC. 5B.doc (NA) : // : A! " () "#!"# $% '% ( ') /& '! * +, - ) +,,& */!( ' & $% % 12 :.% / "# 3 4 (56) 3 " 4/ 7 8-2 $ / 93 : 8; C:\WINNT\apsdoc\nettemp\1544\ $ASQDOC. 5B.doc (NA) - 2 -.........,...!" #$ %! &!' ( )"* +,...

More information

Counterparty Credit Default Swap Rates

Counterparty Credit Default Swap Rates Counterparty Credit Default Swap Rates 20 April 2018 This information is for financial advisers only and should not be presented to, or relied upon by, private investors. 1 Credit default swaps Bloomberg/Meteor

More information

Counterparty Credit Default Swap Rates

Counterparty Credit Default Swap Rates Counterparty Credit Default Swap Rates 27 April 2018 This information is for financial advisers only and should not be presented to, or relied upon by, private investors. 1 Credit default swaps Bloomberg/Meteor

More information

Counterparty Credit Default Swap Rates

Counterparty Credit Default Swap Rates Counterparty Credit Default Swap Rates 13 April 2018 This information is for financial advisers only and should not be presented to, or relied upon by, private investors. 1 Credit default swaps Bloomberg/Meteor

More information

Information Note 36/2016 of 14 March CADE SYSTEM FEES

Information Note 36/2016 of 14 March CADE SYSTEM FEES Information Note 36/2016 of 14 March CADE SYSTEM FEES Tax ID No.: A-82.695.677 - Companies Register of Madrid, Volume 15611, Book 0, Sheet 5, Page nº M-262.818, Entry 1 The purpose of this Information

More information

New Jersey Department of Transportation DATE : 01/10/08 PAGE : TABULATION OF BIDS CALL ORDER : 167 CONTRACT ID : COUNTIES : CAPE MAY

New Jersey Department of Transportation DATE : 01/10/08 PAGE : TABULATION OF BIDS CALL ORDER : 167 CONTRACT ID : COUNTIES : CAPE MAY PAGE : 167-1 CONTRACT TIME : 07/11/08 COMPLETION DATE CONTRACT DESCRIPTION : PROJECT(S) : STATE ROUTE 52 MALIBU BEACH CONSTRUCTION AND MITIGATION CONTRACT NO. 000088003 EGG HARBOR TOWNSHIP, ATLANTIC COUNTY

More information

Securities Lending Presentation. State Universities Retirement System of Illinois

Securities Lending Presentation. State Universities Retirement System of Illinois Securities Lending Presentation State Universities Retirement System of Illinois October 23, 2008 Table of Contents Table of Contents Pages Executive Summary 2 Market Update 3 6 Cash Collateral 7-10 Revenue

More information

$669,851,635. Guaranteed Pass-Through Certificates Fannie Mae Trust Original Class Balance

$669,851,635. Guaranteed Pass-Through Certificates Fannie Mae Trust Original Class Balance Prospectus Supplement (To REMIC Prospectus dated June 1, 2014) $669,851,635 Guaranteed Pass-Through Certificates Fannie Mae Trust 2017-30 The Certificates We, the Federal National Mortgage Association

More information