CENTRAL BANK OF THE BAHAMAS Page 1/7

Size: px
Start display at page:

Download "CENTRAL BANK OF THE BAHAMAS Page 1/7"

Transcription

1 Page 1/7 CUMULATIVE WARNING LIST UPDATED: March 13, 2017 The Central Bank of The issues warnings about dealing with named persons, whether these are individuals or companies, to alert the public and the financial services sector, that where such persons offer banking or other financial services from the addresses listed below, they may be operating in breach of the Banks and Trust Companies Regulation Act, 2000 and/or other laws of The. The entities listed below are not licensed under the Banks and Trust Companies Regulation Act, 2000 to conduct banking and/or trust business in or from within The. Members of the public who transact business with these entities, do so at their own risk. The public are invited to contact the Central Bank of The with any other available information. 1 st Nassau Merchant Bank 1 st Nassau Merchant Bank Blg. West Bay Street & Sea View Drive P.O. Box CB Nassau, New Providence Alliance Central Bank Allied Chartered Banks Alpha Credit Union Alpha Trust Group Argo Capital Trust Banco Cafetero (Nassau) Ltd Thompson Bl. 728 The Plaza Mackay P.O. Box SS Frederick Street P.O. Box CB Bay Street East Hill Street The Financial Center 3rd Floor P.O. Box N-3926 P.O. Box N7768 Nassau, N.P. The 24/Aug/10 13/Sep/02 01/Aug/02 06/Jun/02 22/Jan/16 Banco de 2 28/Sep/09 Banco de Nova Scotia Internacional 3 12/Apr/11 Banco de Paribas a.k.a. Banque de Paribas P.O. Box SS-5539 Nassau, N.P /Sep/13 Central Bank of The Fax. No.: (242)

2 Page 2/7 Banque de Bogota 4 Banque de Paribas a.k.a. Banco de Paribas Brent Bank Brent Bank & Trust Company Caribbean International Bank Central Credit Unions [CCU] Business Office P.O. Box N-4883 Savings Plaza 36 Shirley Street P.O. Box N-6002 Solomon s Bldg P.O. Box N Thompson Bl ALSO: 511 The Plaza Mackay P.O. Box SS Century Bank & Trust Ltd. 5 P.O. Box N-1262 Nassau, N.P. The Century Financial Trust Services Colina Financial Trust Services 6 Continental Credit Union Bank [CCUB] Continental Trust Bank Crown Choice Financial Crubank Corporation Deltec Financial & Trust Services 7 Centerville House 2 Terraces Collins Avenue 3 rd Floor Goodman s Bay Corporate Center West Bay Street P.O. Box CB Beaumont House P.O. Box SS-6236 Central Park King Road Lucaya, Freeport Beaumont House P.O. Box SS-6236 Deltec House Lyford Cay P.O. Box N /Oct/05 10/Sep/13 10/Jan/07 10/Jun/05 23/Nov/06 16/Nov/06 16/Feb/04 06/Jun/02 10/Jan/07 Central Bank of The Fax. No.: (242)

3 Page 3/7 Equitorial Capital Trust First Atlantic Offshore Banking Corporation First Capital Financial & Trust First Citizen Trust Bank First National Bank () Ltd. First National Private Bank () Ltd. First Pacific Financial Corp First Standard Finance Globenet Finance & Trust Gonet Trust Company Greenefield International Bank Ltd. 8 Greenefield International Private Bank Guyana Finance and Trust Highland Bank HSBC Premier Banking 9 HSBC Premier Worldwide Icon Trust Bank 8 Greenspan Road Greenway Plaza Frederick Street P.O. Box N-4858 FCTB Building East Bay Street P.O. Box N Nassau, N.P. The 421 The Plaza Mackey Market Plaza Bay Street P.O. Box N-5676 ALSO: Frederick Street P.O. Box N Mermaid Blvd. West Nassau Old Providence 242 Market Plaza Bay Street P.O. Box N-3701 P.O. Box N-1262 Nassau, N.P., P.O. Box N-4928 Nassau 421 The Plaza Mackay Lyford Cay House Nassau, The 74 Shirley & Charlotte Sts. P.O. Box N /Jul/05 24/Nov/05 22/Mar/11 15/Oct/03 29/Feb/08 19/Aug/05 16/Oct/02 18/Apr/13 19/Apr/05 Central Bank of The Fax. No.: (242)

4 Page 4/7 Imperial Finance & Credit Nominees Imperial StrongHold [ISH] International Credit Union International Investment Banking Corp. [IIBC] International Investments Bank [Group] Beaumont Hse 4 th Floor Bay Street P.O. Box N-4883 Nassau, New Providence Kings Court 18 Bay Street P.O. Box CD Rawson Square P.O. Box N The Plaza Mackey P.O. Box SS IIB Plaza East Bay Street P.O. Box N /Sep/06 23/Feb/04 16/Feb/04 15/Oct/03 International Investments Clearing S.A. Jyske Bank Lloyds Trust Bank Lloyds Trust Bank (), Ltd. 10 Meridian Trust Banking Corp. Nassau Finances Nassau Trust Ltd Bay Street P.O. Box N-7148 East Bay Street P.O. Box SS-6289 First Floor 312 Point Road Nassau, SG Hambros Building West Bay Street P.O. Box N Exchange Square EC2A 2JL 17/Jul/07 21/Oct/15 15/Aug/03 National Trust Bank Noble Finance Company P.O. Box N-7529 Noble Trust Services Co. Promoter: James A. DiLullo 11 Pacific Union Trust And Finance Ltd. Pinnacle Investment Bankers Freeport, Grand Bahama 323 Bay Street East Hill Street 421 The Plaza Mackey Street 19/Aug/02 05/08/08 17/Mar/06 06/Jun/02 Central Bank of The Fax. No.: (242)

5 Page 5/7 Prime Bank & Trust Ltd. Progressive Investment Bank Prudence Trust and Finance Reddington Capital Trust Royal Bank Mutual 12 Royal Pacific Trust Royal Swiss Bank Sabadell Atlántico Private Offshore Bank 13 Sherbourne Financial, Ltd. Simplon Corporation Trust 14 Caves Village P. O. Box N-3917 N.A.T. House Banklane P.O. Box N Frederick Street P.O. Box CB East Bay St. P.O. Box N-3242 Financial Centre N.A.T. House Banklane P.O. Box N-7757 Financial Centre 18 East Bay Street Nassau, New Providence Island 55 Frederick St. P.O. Box CB Carmichael Road P.O. Box N-7549 Nassau, New Providence 13/Mar/17 01/Aug/02 17/Jul/07 25/Jan/11 25/May/10 08/May/12 Sky Private Bank & Trust () Ltd. 10/Nov/08 Standard Financial Trust 3124 Thompson Bl 13/Dec/02 Standard National Bank & Trust The 16/Feb/04 Sun Bank Offshore, Jersey (Channel Islands) Branch Trinity Savings Bank, Ltd. Uniglobe Investment Banking Marlboro House Cumberland Street P.O. Box N The Plaza Mackay 07/Jul/11 17/Mar/06 18/Mar/03 Central Bank of The Fax. No.: (242)

6 Page 6/7 Union Center National Bank [UCNB] United Alliance Trust United Bank of Universal Alliance Company Western Plaza Saint Martins 2425 Shirley Street 74 P.O. Box N-1662 Levy Building [East Bay St.] P.O. Box N /Mar/03 06/May/03 Universal Credit Union Bank 09/Aug/04 1 There is no connection between this entity and Banco Cafetero (Nassau) Ltd. which was previously licensed to operate in The. 2 "Banco de " has no relationship, whatsoever, to Bank of The Ltd. which is duly licensed to operate in The. 3 "Banco de Nova Scotia Internacional" has no relationship whatsoever to Bank of Nova Scotia International Ltd. which is duly licensed to operate in The or to the Scotiabank Group of companies. 4 There is no apparent connection between this entity and "Banco de Bogota (Nassau) Ltd." which was licensed in The on 12/July/78, or its related companies. 5 There is no apparent connection between this entity and "Century Bank & Trust Ltd." which was licensed in The on 01/Sep/94 and revoked by Order dated 17/Nov/95. 6 "Colina Financial Trust Services" has no relationship to the Colina Group of Companies which are duly authorized to operate in The. 7 "Deltec Financial & Trust Services" has no relationship, whatsoever, to Deltec Bank & Trust Ltd which is duly licensed to operate in The. 8 There is no apparent connection between this entity and the Greenefield International Bank Ltd. which was licensed in The on 23/Jul/92, which name was later changed in 1997 and which licence was subsequently revoked by Order dated 06/Aug/00. 9 These are not legally incorporated entities and this brand of service is not offered by the HSBC Group in or from within The. 10 These are not legally incorporated entities and there is no relationship to Lloyds Group of companies previously licenced to operate in The. 11 The United States Department of Justice, Tax Division, has obtained a judgement from the Nevada Federal Court permanently barring James A. DiLullo from promoting a fraudulent tax scheme that concealed his customers' funds through the creation of sham trusts. Details may be found at the website Central Bank of The Fax. No.: (242)

7 Page 7/7 12 "Royal Bank Mutual" has no relationship, whatsoever, to RBC Royal Bank of Canada or its affiliate companies. 13 "Sabadell Atlántico Private Offshore Bank " has no relationship, whatsoever, to Banco Atlantico () Bank & Trust Ltd. which is duly licensed to operate in The and is presently in Voluntary Liquidation. 14 Simplon Corporation Trust has no relationship whatsoever to Banca del Sempione (Overseas) Ltd. which is duly licensed to operate in The or its affiliate companies. Central Bank of The Fax. No.: (242)

CENTRAL BANK OF THE BAHAMAS Page 1/6

CENTRAL BANK OF THE BAHAMAS Page 1/6 Page 1/6 CUMULATIVE WARNING LIST UPDATED: October 21, 2015 The Central Bank of The issues warnings about dealing with named persons, whether these are individuals or companies, to alert the public and

More information

Spheria Australian Smaller Companies Fund

Spheria Australian Smaller Companies Fund 29-Jun-18 $ 2.7686 $ 2.7603 $ 2.7520 28-Jun-18 $ 2.7764 $ 2.7681 $ 2.7598 27-Jun-18 $ 2.7804 $ 2.7721 $ 2.7638 26-Jun-18 $ 2.7857 $ 2.7774 $ 2.7690 25-Jun-18 $ 2.7931 $ 2.7848 $ 2.7764 22-Jun-18 $ 2.7771

More information

Quarterly Statistical Digest

Quarterly Statistical Digest Quarterly Statistical Digest August Volume 27, No. 3 The Statistical Digest is a quarterly publication of the Central Bank of The Bahamas, prepared by the Research Department for issue in February, May,

More information

REGISTRATION INFORMATION FOR COLLECTIVE INVESTMENT SCHEMES (CISs) TRINIDAD AND TOBAGO FOR THE PERIOD

REGISTRATION INFORMATION FOR COLLECTIVE INVESTMENT SCHEMES (CISs) TRINIDAD AND TOBAGO FOR THE PERIOD Date of AIC TT (US$) Income Fund AIC Financial Group Limited 3-Aug-04 1-May-13 AIC TT Income Fund AIC Financial Group Limited 3-Aug-04 1-May-13 AIC TT Income and Growth Fund AIC Financial Group Limited

More information

XML Publisher Balance Sheet Vision Operations (USA) Feb-02

XML Publisher Balance Sheet Vision Operations (USA) Feb-02 Page:1 Apr-01 May-01 Jun-01 Jul-01 ASSETS Current Assets Cash and Short Term Investments 15,862,304 51,998,607 9,198,226 Accounts Receivable - Net of Allowance 2,560,786

More information

PHOENIX ENERGY MARKETING CONSULTANTS INC. HISTORICAL NATURAL GAS & CRUDE OIL PRICES UPDATED TO July, 2018

PHOENIX ENERGY MARKETING CONSULTANTS INC. HISTORICAL NATURAL GAS & CRUDE OIL PRICES UPDATED TO July, 2018 Jan-01 $12.9112 $10.4754 $9.7870 $1.5032 $29.2595 $275.39 $43.78 $159.32 $25.33 Feb-01 $10.4670 $7.8378 $6.9397 $1.5218 $29.6447 $279.78 $44.48 $165.68 $26.34 Mar-01 $7.6303 $7.3271 $5.0903 $1.5585 $27.2714

More information

Sprott Short-Term Bond Fund

Sprott Short-Term Bond Fund Sprott Short-Term Bond Fund SEMI-ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE JUNE 30 The interim management report of fund performance is an analysis and explanation that is designed to complement and

More information

Friday 23 May 2014 Afternoon

Friday 23 May 2014 Afternoon Friday 23 May 2014 Afternoon GCSE ECONOMICS A592/01 How the Economy Works *1095673855* Candidates answer on the Question Paper. OCR supplied materials: None Other materials required: Calculators may be

More information

RBC TARGET 2017 CORPORATE BOND INDEX ETF

RBC TARGET 2017 CORPORATE BOND INDEX ETF FIXED-INCOME ETF RBC TARGET 2017 CORPORATE BOND INDEX ETF December 31, 2016 Portfolio Manager RBC Global Asset Management Inc. ( RBC GAM ) The Board of Directors of RBC Global Asset Management Inc. approved

More information

Employers Compliance with the Health Insurance Act ANNUAL REPORT. Bermuda. Health Council

Employers Compliance with the Health Insurance Act ANNUAL REPORT. Bermuda. Health Council Employers Compliance with the Health Insurance Act 1970 2016 ANNUAL REPORT Bermuda ea Health Council Employers Compliance with the Health Insurance Act 1970 2016 Annual Report Contact us: If you would

More information

Dividend Report. December 2018

Dividend Report. December 2018 Warning: Aberdeen Global has the discretion to determine the and rate of dividend to be distributed. The dividends are not guaranteed and may be investment income, gains or at the discretion of the Board

More information

Quarterly Statistical Digest

Quarterly Statistical Digest Quarterly Statistical Digest February 2019 Volume 28, No. 1 The Statistical Digest is a quarterly publication of the Central Bank of The Bahamas, prepared by the Research Department for issue in February,

More information

Review of Registered Charites Compliance Rates with Annual Reporting Requirements 2016

Review of Registered Charites Compliance Rates with Annual Reporting Requirements 2016 Review of Registered Charites Compliance Rates with Annual Reporting Requirements 2016 October 2017 The Charities Regulator, in accordance with the provisions of section 14 of the Charities Act 2009, carried

More information

2014 Semi-Annual Management Report of Fund Performance

2014 Semi-Annual Management Report of Fund Performance (the Fund ) For the period ended March 31, 2014 Manager: BMO Investments Inc. (the Manager ) Portfolio manager: BMO Asset Management Inc., Toronto, Ontario (the portfolio manager ) 2014 Semi-Annual Management

More information

2015 Semi-Annual Management Report of Fund Performance

2015 Semi-Annual Management Report of Fund Performance (the Fund ) For the six-month period ended March 31, 2015 (the period ) Manager: BMO Investments Inc. (the Manager or BMOII ) Portfolio manager: BMO Asset Management Inc., Toronto, Ontario (the portfolio

More information

Scotia Private Short Term Income Pool

Scotia Private Short Term Income Pool Scotia Private Short Term Income Pool (formerly Pinnacle Short Term Income Fund) Annual Management Report of Fund Performance For the period ended December 31, 2011 AM 100 E This annual management report

More information

LIST OF BANKS AND TRUST COMPANIES LICENSED UNDER THE BANKS AND TRSUT COMPANIES REGULATION ACT as at 30th September, 2018

LIST OF BANKS AND TRUST COMPANIES LICENSED UNDER THE BANKS AND TRSUT COMPANIES REGULATION ACT as at 30th September, 2018 Page 1/6 PUBLIC LICENSEES AUTHORIZED AGENTS LIC0001 24.0 Ansbacher (Bahamas) Ltd. Resident Bank & Trust N-7768 326-5020 322-1161 LIC0007 13.0 Bank of Nova Scotia Trust Co. (Bahamas) Ltd., The Resident

More information

2015 Semi-Annual Management Report of Fund Performance

2015 Semi-Annual Management Report of Fund Performance (the Fund ) For the six-month period ended March 31, 2015 (the period ) Manager: BMO Investments Inc. (the Manager or BMOII ) Portfolio manager: BMO Asset Management Inc., Toronto, Ontario (the portfolio

More information

AUDITED ANNUAL FINANCIAL STATEMENTS EDUCATORS FINANCIAL GROUP INC.

AUDITED ANNUAL FINANCIAL STATEMENTS EDUCATORS FINANCIAL GROUP INC. AUDITED ANNUAL FINANCIAL STATEMENTS EDUCATORS FINANCIAL GROUP INC. EDUCATORS MONEY MARKET FUND EDUCATORS MORTGAGE & INCOME FUND EDUCATORS BOND FUND EDUCATORS BALANCED FUND EDUCATORS MONTHLY INCOME FUND

More information

SELF-STORAGE FOR SALE

SELF-STORAGE FOR SALE PURCHASE PRICE: $495,000 CAP RATE: 8.68% OCCUPANCY: 86.4% NOI: $42,973 LOT SIZE: 1.462ac (combined) BLDG CLASS: C OVERVIEW Multi-building storage facility in a rapidly growing area. The land offers over

More information

2017 Interim Financial Statements

2017 Interim Financial Statements PHILLIPS, HAGER & NORTH FUNDS Interim Financial Statements Phillips, Hager & North Investment Management is a division of RBC Global Asset Management Inc., the Manager of the Funds and an indirect wholly

More information

Key IRS Interest Rates After PPA

Key IRS Interest Rates After PPA Key IRS Rates - After PPA - thru 2011 Page 1 of 10 Key IRS Interest Rates After PPA (updated upon release of figures in IRS Notice usually by the end of the first full business week of the month) Below

More information

HUD NSP-1 Reporting Apr 2010 Grantee Report - New Mexico State Program

HUD NSP-1 Reporting Apr 2010 Grantee Report - New Mexico State Program HUD NSP-1 Reporting Apr 2010 Grantee Report - State Program State Program NSP-1 Grant Amount is $19,600,000 $9,355,381 (47.7%) has been committed $4,010,874 (20.5%) has been expended Grant Number HUD Region

More information

Performance Report October 2018

Performance Report October 2018 Structured Investments Indicative Report October 2018 This report illustrates the indicative performance of all Structured Investment Strategies from inception to 31 October 2018 Matured Investment Strategies

More information

Financial & Business Highlights For the Year Ended June 30, 2017

Financial & Business Highlights For the Year Ended June 30, 2017 Financial & Business Highlights For the Year Ended June, 17 17 16 15 14 13 12 Profit and Loss Account Operating Revenue 858 590 648 415 172 174 Investment gains net 5 162 909 825 322 516 Other 262 146

More information

Sprott Short-Term Bond Class

Sprott Short-Term Bond Class Sprott Short-Term Bond Class Sprott Corporate Class Inc. ANNUAL MANAGEMENT REPORT OF FUND PERFORMANCE December 31 The annual management report of fund performance is an analysis and explanation that is

More information

Canadian Scholarship Trust Family Savings Plan

Canadian Scholarship Trust Family Savings Plan Canadian Scholarship Trust Family Savings Plan Semi-Annual Financial Statements April 30, 2009 Unaudited Contents Statements of Net Assets Available for Education Assistance Payments 1 Statements of Investment

More information

Big Walnut Local School District

Big Walnut Local School District Big Walnut Local School District Monthly Financial Report for the month ended September 30, 2013 Prepared By: Felicia Drummey Treasurer BIG WALNUT LOCAL SCHOOL DISTRICT SUMMARY OF YEAR TO DATE FINANCIAL

More information

U.S. Natural Gas Storage Charts

U.S. Natural Gas Storage Charts U.S. Natural Gas Storage Charts BMO Capital Markets Commodity Products Group November 26, 214 Total U.S. Natural Gas in Storage 5, Total Stocks This Week 3432 4, 3, 2, 1, Reported On: November 26, 214

More information

Florida Prime Holdings Report

Florida Prime Holdings Report ABN Amro Bank NV, Amsterdam TD TIME DEPOSIT 1.21 09/05/17 400,000,000 1.23 $400,000,000 $400,000,000 ASB Finance Ltd., Jun 05, 2018 VARIABLE RATE COMMERCIAL PAPER - 4-2 1.35 06/05/18 09/07/17 50,000,000

More information

WESTWOOD LUTHERAN CHURCH Summary Financial Statement YEAR TO DATE - February 28, Over(Under) Budget WECC Fund Actual Budget

WESTWOOD LUTHERAN CHURCH Summary Financial Statement YEAR TO DATE - February 28, Over(Under) Budget WECC Fund Actual Budget WESTWOOD LUTHERAN CHURCH Summary Financial Statement YEAR TO DATE - February 28, 2018 General Fund Actual A B C D E F WECC Fund Actual Revenue Revenue - Faith Giving 1 $ 213 $ 234 $ (22) - Tuition $ 226

More information

RBC INSTITUTIONAL CASH FUNDS Semi-Annual Report

RBC INSTITUTIONAL CASH FUNDS Semi-Annual Report RBC INSTITUTIONAL CASH FUNDS 2013 Semi-Annual Report TABLE OF CONTENTS Management Report of Fund Performance RBC Institutional Government Plus Cash Fund 2 RBC Institutional Cash Fund 9 RBC Institutional

More information

TERMS OF REFERENCE FOR THE INVESTMENT COMMITTEE

TERMS OF REFERENCE FOR THE INVESTMENT COMMITTEE I. PURPOSE The purpose of the Investment Committee (the Committee ) is to recommend to the Board the investment policy, including the asset mix policy and the appropriate benchmark for both ICBC and any

More information

The Canadian Retail Real Estate Market

The Canadian Retail Real Estate Market The Canadian Retail Real Estate Market Presented at: 2013 Land & Development Conference Presented by: John G. Crombie National Retail Director Cushman & Wakefield Ltd. john.crombie@ca.cushwake.com 416-756-5448

More information

EMPLOYER S MUNICIPAL INCOME TAX WITHHOLDING FORMS INSTRUCTIONS FOR FILING FORM LW-1

EMPLOYER S MUNICIPAL INCOME TAX WITHHOLDING FORMS INSTRUCTIONS FOR FILING FORM LW-1 CITY TAX DEPT 50 TOWN SQUARE P.O. BOX 155 LIMA, OHIO 45802 PHONE (419) 221-5245 FAX (419) 998-5527 (MONTHLY OR QUARTERLY STATEMENT) FORM LW-3 (ANNUAL RECONCILIATION) EMPLOYER S MUNICIPAL INCOME TAX WITHHOLDING

More information

2014 Annual Management Report of Fund Performance

2014 Annual Management Report of Fund Performance (the Fund ) For the 12-month period ended September 30, 2014 (the period ) Manager: BMO Investments Inc. (the Manager or BMOII ) Portfolio manager: BMO Asset Management Inc., Toronto, Ontario (the portfolio

More information

Isle Of Wight half year business confidence report

Isle Of Wight half year business confidence report half year business confidence report half year report contents new company registrations closed companies (dissolved) net company growth uk company share director age director gender naming trends sic

More information

BMO Mutual Funds 2017

BMO Mutual Funds 2017 BMO Mutual Funds 2017 Annual Financial Statements BMO Preferred Share Fund Independent Auditor s Report To the Unitholders and Trustee of: BMO Canadian Equity Fund BMO Canadian Small Cap Equity Fund BMO

More information

Cost Estimation of a Manufacturing Company

Cost Estimation of a Manufacturing Company Cost Estimation of a Manufacturing Company Name: Business: Date: Economics of One Unit: Manufacturing Company (Only complete if you are making a product, such as a bracelet or beauty product) Economics

More information

1Q of FY ending December 31, (0.2) (1.9) 11.3 (0.2) (0.2) (0.2) (0.2) (1.2) (89.2) 0.1

1Q of FY ending December 31, (0.2) (1.9) 11.3 (0.2) (0.2) (0.2) (0.2) (1.2) (89.2) 0.1 August 6, ISEKI & CO., LTD. Supplementary Information to Consolidated Financial Results (April 1, June 30, ) I. Consolidated business results for the three months ended June 30, (Billions of yen, %) Year-on

More information

RBC SHORT TERM INCOME CLASS

RBC SHORT TERM INCOME CLASS FIXED-INCOME FUND Portfolio Manager RBC Global Asset Management Inc. ( RBC GAM ) The Board of Directors of RBC Corporate Class Inc. approved this annual management report of fund performance on June 13,

More information

Ripley Corp. May st Quarter 2016 Results

Ripley Corp. May st Quarter 2016 Results Ripley Corp May 2016 1st Quarter 2016 Results 1Q16 HIGHLIGHTS Ripley Colombia: Closing of operations progressing according to plan Increase in Inmobiliaria Mall Viña del Mar share: Real estate assets at

More information

Beginning Date: January 2016 End Date: June Managers in Zephyr: Benchmark: Morningstar Short-Term Bond

Beginning Date: January 2016 End Date: June Managers in Zephyr: Benchmark: Morningstar Short-Term Bond Beginning Date: January 2016 End Date: June 2018 Managers in Zephyr: Benchmark: Manager Performance January 2016 - June 2018 (Single Computation) 11200 11000 10800 10600 10400 10200 10000 9800 Dec 2015

More information

Beginning Date: January 2016 End Date: September Managers in Zephyr: Benchmark: Morningstar Short-Term Bond

Beginning Date: January 2016 End Date: September Managers in Zephyr: Benchmark: Morningstar Short-Term Bond Beginning Date: January 2016 End Date: September 2018 Managers in Zephyr: Benchmark: Manager Performance January 2016 - September 2018 (Single Computation) 11400 - Yorktown Funds 11200 11000 10800 10600

More information

BSCI Invesco BulletShares 2018 Corporate Bond ETF

BSCI Invesco BulletShares 2018 Corporate Bond ETF Invesco BulletShares 2018 Corporate Bond ETF ETF.com segment: Fixed Income: U.S. - Corporate Investment Grade Ultra-Short Term Competing ETFs: IBDH Related ETF Channels: Fixed Income, Corporate, Bullet,

More information

Consumer Price Index (Base year 2014) Consumer Price Index

Consumer Price Index (Base year 2014) Consumer Price Index Consumer Price Index December 2017 (Base year 2014) Consumer Price Index 1 Release Date: January 2018 Detailed by: Expenditure groups Household welfare levels Household type Regions Briefing This publication

More information

Factor Leave Accruals. Accruing Vacation and Sick Leave

Factor Leave Accruals. Accruing Vacation and Sick Leave Factor Leave Accruals Accruing Vacation and Sick Leave Factor Leave Accruals As part of the transition of non-exempt employees to biweekly pay, the UC Office of the President also requires standardization

More information

Semi-Annual Financial Statements

Semi-Annual Financial Statements Semi-Annual Financial Statements BMO Private Portfolios June 30, 2015 BMO Private Canadian Short-Term Bond Portfolio (formerly BMO Harris Canadian Short-Term Bond Portfolio) NOTICE OF NO AUDITOR REVIEW

More information

Vanguard ETFs. Annual Financial Statements December 31, Contents

Vanguard ETFs. Annual Financial Statements December 31, Contents Annual Financial Statements December 31, 2017 Vanguard ETFs Contents Independent Auditor s Report 1 Vanguard Canadian Aggregate Bond Index ETF 2 Vanguard Canadian Corporate Bond Index ETF 18 Vanguard Canadian

More information

Consumer Price Index (Base year 2014) Consumer Price Index

Consumer Price Index (Base year 2014) Consumer Price Index Consumer Price Index December 2016 (Base year 2014) Consumer Price Index 1 Release Date: January 2017 Detailed by: Expenditure groups Household welfare levels Household type Regions Briefing This publication

More information

(WEBSITE ONLY) EMPLOYEE SHARE PLANS

(WEBSITE ONLY) EMPLOYEE SHARE PLANS (WEBSITE ONLY) EMPLOYEE SHARE PLANS 31 December HIGHLY RESTRICTED Employee Share Plans In accordance with the terms of a waiver granted by the Hong Kong Stock Exchange on 24 December 2010, full details

More information

Common stock prices 1. New York Stock Exchange indexes (Dec. 31,1965=50)2. Transportation. Utility 3. Finance

Common stock prices 1. New York Stock Exchange indexes (Dec. 31,1965=50)2. Transportation. Utility 3. Finance Digitized for FRASER http://fraser.stlouisfed.org/ Federal Reserve Bank of St. Louis 000 97 98 99 I90 9 9 9 9 9 9 97 98 99 970 97 97 ""..".'..'.."... 97 97 97 97 977 978 979 980 98 98 98 98 98 98 987 988

More information

BANK OF GUYANA. BANKING SYSTEM STATISTICAL ABSTRACT Website:

BANK OF GUYANA. BANKING SYSTEM STATISTICAL ABSTRACT Website: BANK OF GUYANA BANKING SYSTEM STATISTICAL ABSTRACT Website: www.bankofguyana.org.gy RESEARCH DEPARTMENT November 2010 STATISTICAL ABSTRACT TABLES CONTENTS 1. MONETARY AUTHORITY 1.1 Bank of Guyana: Assets

More information

BMO High Yield Bond Fund (the Fund )

BMO High Yield Bond Fund (the Fund ) (the Fund ) For the period ended June 30, 2014 Manager: BMO Investments Inc. (the Manager or BMOII ) Portfolio Manager: Guardian Capital LP (the portfolio manager ) 2014 Semi-Annual Management Report of

More information

Executive Summary. July 17, 2015

Executive Summary. July 17, 2015 Executive Summary July 17, 2015 The Revenue Estimating Conference adopted interest rates for use in the state budgeting process. The adopted interest rates take into consideration current benchmark rates

More information

Ch. 13 Practice Questions Solution

Ch. 13 Practice Questions Solution Buad 121 Ch. 13 Practice Questions Solution Exercise 13-9 (20 minutes) a. Mar. 10 Machinery... 60,000 Cash... 60,000 Purchased machinery for cash. b. Mar. 10 Machinery... Accounts Payable... 60,000 60,000

More information

EMPLOYER S MUNICIPAL INCOME TAX WITHHOLDING FORMS

EMPLOYER S MUNICIPAL INCOME TAX WITHHOLDING FORMS CITY TAX DEPT 50 TOWN SQUARE P.O. BOX 155 LIMA, OHIO 45802 PHONE (419) 221-5245 FAX (419) 998-5527 FORM LW-1 (MONTHLY OR QUARTERLY STATEMENT) FORM LW-3 (ANNUAL RECONCILIATION) EMPLOYER S MUNICIPAL INCOME

More information

Fourth Quarter 2016 Performance Summary

Fourth Quarter 2016 Performance Summary Fourth Quarter 2016 Performance Summary Operational and Financial Highlights - 2016 Net profit rises by +2.5% to Euros 545.5 million Recurring sales (excluding Raw Materials and Others) rise by +4.5% (+4.6%

More information

ICE LIBOR Holiday Calendar 2019

ICE LIBOR Holiday Calendar 2019 ICE LIBOR Holiday Calendar Date Day Holiday GBP CHF JPY 01-Jan- Tuesday New Year's Day O O O O O 21-Jan- Monday Martin Luther King's Birthday () P No O/N P P P 18-Feb- Monday President's Day () P No O/N

More information

OTHER DEPOSITS FINANCIAL INSTITUTIONS DEPOSIT BARKAT SAVING ACCOUNT

OTHER DEPOSITS FINANCIAL INSTITUTIONS DEPOSIT BARKAT SAVING ACCOUNT WEIGHTAGES JAN FEB MAR APR MAY JUN JUL AUG SEPT OCT NOV DEC ANNOUNCEMENT DATE 19.Dez.14 27.Jän.15 24.Feb.15 26.Mär.15 27.Apr.15 26.Mai.15 25.Jun.15 28.Jul.15 26.Aug.15 23.Sep.15 27.Okt.15 25.Nov.15 MUDARIB

More information

Tooele County. Financial Recovery Plan 3rd Quarter 2014 Update

Tooele County. Financial Recovery Plan 3rd Quarter 2014 Update Tooele County Financial Recovery Plan 3rd Quarter 2014 Update Original Projection 14,000,000 Tooele County Cash 2009-2015 12,000,000 10,000,000 8,000,000 6,000,000 4,000,000 2,000,000 - Ahead of Projection

More information

2016 Interim Management Report of Fund Performance

2016 Interim Management Report of Fund Performance PHILLIPS, HAGER & NORTH FUNDS 2016 Interim Management Report of Fund Performance Phillips, Hager & North Investment Management is a division of RBC Global Asset Management Inc., the Manager of the Funds

More information

FERC EL Settlement Agreement

FERC EL Settlement Agreement FERC EL05-121-009 Settlement Agreement Ray Fernandez Manager, Market Settlements Development Market Settlements Subcommittee June 14, 2018 Settlement Agreement Details Settlement Agreement Details FERC

More information

Economic Activity Index ( GDB-EAI ) For the month of May 2013 G O V E R N M E N T D E V E L O P M E N T B A N K F O R P U E R T O R I C O

Economic Activity Index ( GDB-EAI ) For the month of May 2013 G O V E R N M E N T D E V E L O P M E N T B A N K F O R P U E R T O R I C O Economic Activity Index ( GDB-EAI ) For the month of May 2013 General Commentary May 2013 GDB-EAI for the month of May registered a 3.4% year-over-year ( YOY ) reduction May 2013 EAI was 126.7, a 3.4%

More information

LOUISVILLE GAS AND ELECTRIC COMPANY Gas Rates 2018 Monthly Billing Adjustments

LOUISVILLE GAS AND ELECTRIC COMPANY Gas Rates 2018 Monthly Billing Adjustments 2018 Monthly Billing Adjustments GAS LINE TRACKER CHARGES GAS LINE TRACKER CHARGES DSM (2) PER MONTH PER METER PER MONTH PER CCF TAX CUTS AND JOBS ACT $ Per CCF Firm Trans. SURCREDIT ($ per ccf) (3) GAS

More information

2014 Annual Management Report of Fund Performance

2014 Annual Management Report of Fund Performance (the Fund ) For the 12-month period ended September 30, (the period ) Manager: BMO Investments Inc. (the Manager or BMOII ) Portfolio manager: BMO Asset Management Inc., Toronto, Ontario (the portfolio

More information

> 7. equity and Bankinter shares $ $ > 1 +

> 7. equity and Bankinter shares $ $ > 1 + hare p orman equity and shares 3 3 3 5 5 5 5 3 $ $ $ $ > > > > 8 88 8 3 3 5 > 8 8 Annual Report 3. Business. Innovation Equity and rating The Group has an efficient equity structure, with the creation

More information

Asset Manager Performance Comparison

Asset Manager Performance Comparison Cape Peninsula University of Technology Retirement Fund August 2017 DISCLAIMER AND WARNINGS: Towers Watson (Pty) Ltd, a Willis Towers Watson company, is an authorised financial services provider. Although

More information

Consumer Price Index (Base year 2014) Consumer Price Index

Consumer Price Index (Base year 2014) Consumer Price Index Consumer Price Index July 207 (Base year 204) Consumer Price Index Release Date: Augest 207 Detailed by: Expenditure groups Household welfare levels Household type Regions Briefing This publication provides

More information

BANK OF GUYANA. BANKING SYSTEM STATISTICAL ABSTRACT Website:

BANK OF GUYANA. BANKING SYSTEM STATISTICAL ABSTRACT Website: BANK OF GUYANA BANKING SYSTEM STATISTICAL ABSTRACT Website: www.bankofguyana.org.gy RESEARCH DEPARTMENT March 2010 STATISTICAL ABSTRACT TABLES CONTENTS 1. MONETARY AUTHORITY 1.1 Bank of Guyana: Assets

More information

Capturing equity gains whilst protecting portfolios

Capturing equity gains whilst protecting portfolios Capturing equity gains whilst protecting portfolios Edward Park Q2 2018 MSCI North America Total Return in USD (2017 Discrete Calendar Months) 4.00% 3.50% 3.00% 2.50% 2.00% 1.50% 1.00% 0% 0.00% Jan-17

More information

HIPIOWA - IOWA COMPREHENSIVE HEALTH ASSOCIATION Unaudited Balance Sheet As of July 31

HIPIOWA - IOWA COMPREHENSIVE HEALTH ASSOCIATION Unaudited Balance Sheet As of July 31 Unaudited Balance Sheet As of July 31 Total Enrollment: 407 Assets: Cash $ 9,541,661 $ 1,237,950 Invested Cash 781,689 8,630,624 Premiums Receivable 16,445 299,134 Prepaid 32,930 34,403 Assessments Receivable

More information

Asset Manager Performance Comparison

Asset Manager Performance Comparison Cape Peninsula University of Technology Retirement Fund September 2017 DISCLAIMER AND WARNINGS: Towers Watson (Pty) Ltd, a Willis Towers Watson company, is an authorised financial services provider. Although

More information

2014 MINIMUM WAGE RATE ANNUAL REPORT

2014 MINIMUM WAGE RATE ANNUAL REPORT DEPARTMENT OF JUSTICE 2014 MINIMUM WAGE RATE ANNUAL REPORT PREPARED BY: POLICY & PLANNING DIVISION DEPARTMENT OF JUSTICE BACKGROUND INFORMATION The Nunavut Labour Standards Act (the Act ) regulates employment

More information

HIPIOWA - IOWA COMPREHENSIVE HEALTH ASSOCIATION Unaudited Balance Sheet As of January 31

HIPIOWA - IOWA COMPREHENSIVE HEALTH ASSOCIATION Unaudited Balance Sheet As of January 31 Unaudited Balance Sheet As of January 31 Total Enrollment: 371 Assets: Cash $ 1,408,868 $ 1,375,117 Invested Cash 4,664,286 4,136,167 Premiums Receivable 94,152 91,261 Prepaid 32,270 33,421 Assessments

More information

Florida Prime Holdings Report

Florida Prime Holdings Report Albion Capital LLC CPABS4-2 COMMERCIAL PAPER - ABS- 4(2) 1/16/2019 67,393,000 2.64 $67,329,725 $67,333,741 Anglesea Funding LLC, May 15, 2019 VARIABLE RATE COMMERCIAL PAPER-ABS-4(2) 2.84 5/15/2019 1/16/2019

More information

Financial Report for the Month of SEPTEMBER

Financial Report for the Month of SEPTEMBER WILLOUGHBY, OH Financial Report for the Month of SEPTEMBER Month Ended SEPTEMBER 30, 2013 BOARD OF EDUCATION Mrs. Margaret Warner, President SUPERINTENDENT Mr. Steve Thompson Mrs. Sharon Scott, Vice President

More information

Review of Membership Developments

Review of Membership Developments RIPE Network Coordination Centre Review of Membership Developments 7 October 2009/ GM / Lisbon http://www.ripe.net 1 Applications development RIPE Network Coordination Centre 140 120 100 80 60 2007 2008

More information

Department of Public Welfare (DPW)

Department of Public Welfare (DPW) Department of Public Welfare (DPW) Office of Income Maintenance Electronic Benefits Transfer Card Risk Management Report Out-of-State Residency Review FISCAL YEAR 2014-2015 September 2014 (June, July and

More information

Nasdaq Victory International 500 Vol Wt TR

Nasdaq Victory International 500 Vol Wt TR 12/11 3/12 6/12 9/12 3/13 6/13 9/13 12/13 6/14 9/14 12/14 3/15 9/15 12/15 3/16 6/16 12/16 3/17 6/17 9/17 3/18 6/18 9/18 12/18 Nasdaq Victory International 500 Vol Wt TR The Nasdaq Victory International

More information

Asia s strongest brand in banking, banking the world s strongest economies

Asia s strongest brand in banking, banking the world s strongest economies Credit Suisse Investor Conference Peter Wong, Chief Executive, HSBC Asia-Pacific Asia s strongest brand in banking, banking the world s strongest economies 21 March 2011 www.hsbc.com Forward-looking statements

More information

Business & Financial Services December 2017

Business & Financial Services December 2017 Business & Financial Services December 217 Completed Procurement Transactions by Month 2 4 175 15 125 1 75 5 2 1 Business Days to Complete 25 Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec 217 Procurement

More information

2017 Non-Prospectused Funds Annual Financial Statements

2017 Non-Prospectused Funds Annual Financial Statements Non-Prospectused Funds Annual Financial Statements Phillips, Hager & North Investment Management is a division of RBC Global Asset Management Inc., the Manager of the Funds and an indirect wholly owned

More information

Security Analysis: Performance

Security Analysis: Performance Security Analysis: Performance Independent Variable: 1 Yr. Mean ROR: 8.72% STD: 16.76% Time Horizon: 2/1993-6/2003 Holding Period: 12 months Risk-free ROR: 1.53% Ticker Name Beta Alpha Correlation Sharpe

More information

2009 Reassessment As Impacted by Senate Bill 711

2009 Reassessment As Impacted by Senate Bill 711 Saint Louis County 2009 Reassessment As Impacted by Senate Bill 711 Impacts of SB711 on the 2009 Reassessment Plan The County must notify property owners of changes in the projected tax liability resulting

More information

Item No Audit and Finance Standing Committee July 18, 2018

Item No Audit and Finance Standing Committee July 18, 2018 PO Box 1749 Halifax, Nova Scotia B3J 3A5 Canada Item No. 12.2.1 Audit and Finance Standing Committee July 18, 2018 TO: Chair and Members of Audit and Finance Standing Committee Original Signed SUBMITTED

More information

Audited Financial Statements and Management Report of Fund Performance. Semi-Annual Financial Statements April 30, Unaudited

Audited Financial Statements and Management Report of Fund Performance. Semi-Annual Financial Statements April 30, Unaudited Canadian Canadian Scholarship Trust Trust Founders Plan vings Plan 2001 Audited Financial Statements and Management Report of Fund Performance Semi-Annual Financial Statements April 30, 2013 Unaudited

More information

BMO Mortgage and Short-Term Income Fund (the Fund )

BMO Mortgage and Short-Term Income Fund (the Fund ) (the Fund ) For the six-month period ended March 31, 2015 (the period ) Manager: BMO Investments Inc. (the Manager or BMOII ) Portfolio manager: BMO Asset Management Inc., Toronto, Ontario (the portfolio

More information

QUESTION 2. QUESTION 3 Which one of the following is most indicative of a flexible short-term financial policy?

QUESTION 2. QUESTION 3 Which one of the following is most indicative of a flexible short-term financial policy? QUESTION 1 Compute the cash cycle based on the following information: Average Collection Period = 47 Accounts Payable Period = 40 Average Age of Inventory = 55 QUESTION 2 Jan 41,700 July 39,182 Feb 18,921

More information

2018 Financial Management Classes

2018 Financial Management Classes 2018 Financial Management Classes MONEY MANAGEMENT CLASS/BANKING OPERATONS (1ST & 3RD FRIDAY) INVESTING BASICS (2ND FRIDAY) CREDIT MANAGEMENT BLENDED RETIREMENT SYSTEM/THRIFT SAVINGS PLAN (4TH FRIDAY)

More information

THE B E A CH TO WN S O F P ALM B EA CH

THE B E A CH TO WN S O F P ALM B EA CH THE B E A CH TO WN S O F P ALM B EA CH C OU N T Y F LO R I D A August www.luxuryhomemarketing.com PALM BEACH TOWNS SINGLE-FAMILY HOMES LUXURY INVENTORY VS. SALES JULY Sales Luxury Benchmark Price : 7,

More information

Consolidated financial results for 3Q 2017

Consolidated financial results for 3Q 2017 Consolidated financial results for 3Q 2017 November 14 th, 2017 www.citihandlowy.pl Bank Handlowy w Warszawie S.A. 3Q 2017 Summary Positive trends continued: Build-up of client assets in Retail Banking

More information

MEETING OF CREDITORS AND REGISTERED SHAREHOLDERS 24 th June 2016

MEETING OF CREDITORS AND REGISTERED SHAREHOLDERS 24 th June 2016 Fairfield Sentry Limited Fairfield Sigma Limited Fairfield Lambda Limited (in Liquidation) MEETING OF CREDITORS AND REGISTERED SHAREHOLDERS 24 th June 2016 Cayman Islands British Virgin Islands (EC) Bahamas

More information

Statement Guide NEW STATEMENT ACTIVITY SUMMARY

Statement Guide NEW STATEMENT ACTIVITY SUMMARY Statement Guide Online Statement Access in Vantiv iq Starting today, your statements are available in a new location. As a Vantiv ISO merchant, you will benefit from the convenience of online statements

More information

BALKAN EMERGING FRONTIERS FUND

BALKAN EMERGING FRONTIERS FUND BALKAN EMERGING FRONTIERS FUND Why to invest in Western Balkans region? Most prospective region in Europe Huge short term as well as mid to long term potential Short term: Indices lagging behind most in

More information

1 Long Term Debt $ 9,298,554 $ (250,000) $ 9,048, Preferred Stock 30,450 30, % 5 Common Equity 250, %

1 Long Term Debt $ 9,298,554 $ (250,000) $ 9,048, Preferred Stock 30,450 30, % 5 Common Equity 250, % SUMMARY SCHEDULE ($000'S) Schedule 1 Page 1 of 1 Line Capitalization HISTORICAL YEAR ENDED 12/31/16 Hybrid Percent Equity Adjusted of Total Cost of Cost of Amount Adjustment Amount Capitalization Capital

More information

Scotia Short Term Bond Fund

Scotia Short Term Bond Fund Scotia Short Term Bond Fund Annual Management Report of Fund Performance For the period ended December 31, 2011 This annual management report of fund performance contains financial highlights, but does

More information

3rd Quarter, 2000 Investor Presentation

3rd Quarter, 2000 Investor Presentation Canadian Imperial Bank of Commerce 3rd Quarter, 2000 September 7, 2000 CIBC Overview John S. Hunkin Chairman and CEO Third Quarter, 2000 Financial Review Tom Woods Executive Vice-President Chief Financial

More information

Annual Financial Statements

Annual Financial Statements Annual Financial Statements BMO Private Portfolios December 31, 2017 BMO Private Diversified Yield Portfolio Independent Auditor s Report To the Unitholders of BMO Private Canadian Money Market Portfolio

More information

Interim results presentation 2017

Interim results presentation 2017 Interim results presentation 2017 Contents Key indicators Operating environment What differentiates us Highlights Bank Save Credit Continued focus Key indicators Key indicators Earnings 4 000 3 500 3 000

More information