Currently, there is an excess of 1600 cryptocurrencies, tokens, ICOs and other blockchain related projects doing rounds
in various financial markets.
The VUL allows the policy holder to invest
in various financial markets, and those markets are not guaranteed.
The VUL allows the policy holder to invest
in various financial markets, and those markets are not guaranteed.
There are signs of froth
in various financial markets.
To hear many investment advisers tell it, there's little reason to shift gears — regardless of what's going on
in the various financial markets — as long as your long - term strategy makes sense.
Not exact matches
At
various points
in the Clinton, Bush, Obama, and Trump administrations, new stock
market records and historically low unemployment rates were used as a synonym for a booming economy, or after the
financial crisis, to signal that the economy was recovering — even though many workers and households experienced stagnating or steadily declining incomes for years or even decades.
The
various startups
in their portfolio help to ensure compliance for hedge funds and other types of investments, billing,
financial services
marketing and more.
Such risks, uncertainties and other factors include, without limitation: (1) the effect of economic conditions
in the industries and
markets in which United Technologies and Rockwell Collins operate
in the U.S. and globally and any changes therein, including
financial market conditions, fluctuations
in commodity prices, interest rates and foreign currency exchange rates, levels of end
market demand
in construction and
in both the commercial and defense segments of the aerospace industry, levels of air travel,
financial condition of commercial airlines, the impact of weather conditions and natural disasters and the
financial condition of our customers and suppliers; (2) challenges
in the development, production, delivery, support, performance and realization of the anticipated benefits of advanced technologies and new products and services; (3) the scope, nature, impact or timing of acquisition and divestiture or restructuring activity, including the pending acquisition of Rockwell Collins, including among other things integration of acquired businesses into United Technologies» existing businesses and realization of synergies and opportunities for growth and innovation; (4) future timing and levels of indebtedness, including indebtedness expected to be incurred by United Technologies
in connection with the pending Rockwell Collins acquisition, and capital spending and research and development spending, including
in connection with the pending Rockwell Collins acquisition; (5) future availability of credit and factors that may affect such availability, including credit
market conditions and our capital structure; (6) the timing and scope of future repurchases of United Technologies» common stock, which may be suspended at any time due to
various factors, including
market conditions and the level of other investing activities and uses of cash, including
in connection with the proposed acquisition of Rockwell; (7) delays and disruption
in delivery of materials and services from suppliers; (8) company and customer - directed cost reduction efforts and restructuring costs and savings and other consequences thereof; (9) new business and investment opportunities; (10) our ability to realize the intended benefits of organizational changes; (11) the anticipated benefits of diversification and balance of operations across product lines, regions and industries; (12) the outcome of legal proceedings, investigations and other contingencies; (13) pension plan assumptions and future contributions; (14) the impact of the negotiation of collective bargaining agreements and labor disputes; (15) the effect of changes
in political conditions
in the U.S. and other countries
in which United Technologies and Rockwell Collins operate, including the effect of changes
in U.S. trade policies or the U.K.'s pending withdrawal from the EU, on general
market conditions, global trade policies and currency exchange rates
in the near term and beyond; (16) the effect of changes
in tax (including U.S. tax reform enacted on December 22, 2017, which is commonly referred to as the Tax Cuts and Jobs Act of 2017), environmental, regulatory (including among other things import / export) and other laws and regulations
in the U.S. and other countries
in which United Technologies and Rockwell Collins operate; (17) the ability of United Technologies and Rockwell Collins to receive the required regulatory approvals (and the risk that such approvals may result
in the imposition of conditions that could adversely affect the combined company or the expected benefits of the merger) and to satisfy the other conditions to the closing of the pending acquisition on a timely basis or at all; (18) the occurrence of events that may give rise to a right of one or both of United Technologies or Rockwell Collins to terminate the merger agreement, including
in circumstances that might require Rockwell Collins to pay a termination fee of $ 695 million to United Technologies or $ 50 million of expense reimbursement; (19) negative effects of the announcement or the completion of the merger on the
market price of United Technologies» and / or Rockwell Collins» common stock and / or on their respective
financial performance; (20) risks related to Rockwell Collins and United Technologies being restricted
in their operation of their businesses while the merger agreement is
in effect; (21) risks relating to the value of the United Technologies» shares to be issued
in connection with the pending Rockwell acquisition, significant merger costs and / or unknown liabilities; (22) risks associated with third party contracts containing consent and / or other provisions that may be triggered by the Rockwell merger agreement; (23) risks associated with merger - related litigation or appraisal proceedings; and (24) the ability of United Technologies and Rockwell Collins, or the combined company, to retain and hire key personnel.
Important factors that could cause our actual results and
financial condition to differ materially from those indicated in the forward - looking statements include, among others, the following: our ability to successfully and profitably market our products and services; the acceptance of our products and services by patients and healthcare providers; our ability to meet demand for our products and services; the willingness of health insurance companies and other payers to cover Cologuard and adequately reimburse us for our performance of the Cologuard test; the amount and nature of competition from other cancer screening and diagnostic products and services; the effects of the adoption, modification or repeal of any healthcare reform law, rule, order, interpretation or policy; the effects of changes in pricing, coverage and reimbursement for our products and services, including without limitation as a result of the Protecting Access to Medicare Act of 2014; recommendations, guidelines and quality metrics issued by various organizations such as the U.S. Preventive Services Task Force, the American Cancer Society, and the National Committee for Quality Assurance regarding cancer screening or our products and services; our ability to successfully develop new products and services; our success establishing and maintaining collaborative, licensing and supplier arrangements; our ability to maintain regulatory approvals and comply with applicable regulations; and the other risks and uncertainties described in the Risk Factors and in Management's Discussion and Analysis of Financial Condition and Results of Operations sections of our most recently filed Annual Report on Form 10 - K and our subsequently filed Quarterly Reports on For
financial condition to differ materially from those indicated
in the forward - looking statements include, among others, the following: our ability to successfully and profitably
market our products and services; the acceptance of our products and services by patients and healthcare providers; our ability to meet demand for our products and services; the willingness of health insurance companies and other payers to cover Cologuard and adequately reimburse us for our performance of the Cologuard test; the amount and nature of competition from other cancer screening and diagnostic products and services; the effects of the adoption, modification or repeal of any healthcare reform law, rule, order, interpretation or policy; the effects of changes
in pricing, coverage and reimbursement for our products and services, including without limitation as a result of the Protecting Access to Medicare Act of 2014; recommendations, guidelines and quality metrics issued by
various organizations such as the U.S. Preventive Services Task Force, the American Cancer Society, and the National Committee for Quality Assurance regarding cancer screening or our products and services; our ability to successfully develop new products and services; our success establishing and maintaining collaborative, licensing and supplier arrangements; our ability to maintain regulatory approvals and comply with applicable regulations; and the other risks and uncertainties described
in the Risk Factors and
in Management's Discussion and Analysis of
Financial Condition and Results of Operations sections of our most recently filed Annual Report on Form 10 - K and our subsequently filed Quarterly Reports on For
Financial Condition and Results of Operations sections of our most recently filed Annual Report on Form 10 - K and our subsequently filed Quarterly Reports on Form 10 - Q.
A holding company that offers full - scale business process outsourcing and
financial services to companies
in various markets.
Melamed, one of the central players
in the creation and development of the
financial futures
markets, was CME chairman from 1968 until 1976 and held
various leadership positions at CME for more than three decades.
«Given the close resemblance,
in some respects, between ICOs / token - generating events and conventional
financial -
market transactions, one or more aspects of
financial market law may already cover ICO campaigns according to their
various models.
It was
in Kindleberger's book that I also first learned about the impact of the Franco - Prussian War of 1870 - 71 and the subsequent reparations payments on global
financial markets (which I discuss extensively
in a February blog entry) and
in unleashing the final stage of a global liquidity bubble that ended with the
various panics of 1873.
In the process, the Fed's actions and pronouncements can influence the expectations and confidence of consumers and businesses and, thereby, what they do in the various economic and financial market place
In the process, the Fed's actions and pronouncements can influence the expectations and confidence of consumers and businesses and, thereby, what they do
in the various economic and financial market place
in the
various economic and
financial market places.
Play a key role
in contributing to our deal evaluation process including competitive analysis,
financial analysis, pro forma modeling, capitalization table modeling,
market sizing and
various other investment related items pertaining to our Ag fund.
Important factors that may affect the Company's business and operations and that may cause actual results to differ materially from those
in the forward - looking statements include, but are not limited to, operating
in a highly competitive industry; changes
in the retail landscape or the loss of key retail customers; the Company's ability to maintain, extend and expand its reputation and brand image; the impacts of the Company's international operations; the Company's ability to leverage its brand value; the Company's ability to predict, identify and interpret changes
in consumer preferences and demand; the Company's ability to drive revenue growth
in its key product categories, increase its
market share, or add products; an impairment of the carrying value of goodwill or other indefinite - lived intangible assets; volatility
in commodity, energy and other input costs; changes
in the Company's management team or other key personnel; the Company's ability to realize the anticipated benefits from its cost savings initiatives; changes
in relationships with significant customers and suppliers; the execution of the Company's international expansion strategy; tax law changes or interpretations; legal claims or other regulatory enforcement actions; product recalls or product liability claims; unanticipated business disruptions; the Company's ability to complete or realize the benefits from potential and completed acquisitions, alliances, divestitures or joint ventures; economic and political conditions
in the United States and
in various other nations
in which we operate; the volatility of capital
markets; increased pension, labor and people - related expenses; volatility
in the
market value of all or a portion of the derivatives we use; exchange rate fluctuations; risks associated with information technology and systems, including service interruptions, misappropriation of data or breaches of security; the Company's ability to protect intellectual property rights; impacts of natural events
in the locations
in which we or the Company's customers, suppliers or regulators operate; the Company's indebtedness and ability to pay such indebtedness; the Company's ownership structure; the impact of future sales of its common stock
in the public
markets; the Company's ability to continue to pay a regular dividend; changes
in laws and regulations; restatements of the Company's consolidated
financial statements; and other factors.
The underwriters and their respective affiliates are full service
financial institutions engaged
in various activities, which may include sales and trading, commercial and investment banking, advisory, investment management, investment research, principal investment, hedging,
market making, brokerage and other
financial and non-
financial activities and services.
In addition, Alessandro has a PhD in Economics and Mathematics from Vienna University and is the author of various articles on liquid fixed income, forex, monetary policy, market micro-structure and European financial regulation
In addition, Alessandro has a PhD
in Economics and Mathematics from Vienna University and is the author of various articles on liquid fixed income, forex, monetary policy, market micro-structure and European financial regulation
in Economics and Mathematics from Vienna University and is the author of
various articles on liquid fixed income, forex, monetary policy,
market micro-structure and European
financial regulations.
There's a tremendous amount of
financial anxiety
in various global
markets, whether it's economic issues with regard to trade or deficits, or concerns regarding foreign exchange policies and valuations.
To shore up those
markets, the Fed supplied over $ 1 trillion
in emergency credit, issued through
various emergency lending facilities, to
various sorts of
financial institutions, while extending a further $ 85 billion line of credit to AIG.
In my last post in this series, I observed that an economy's «base» money serves as the «raw material» that commercial banks and other private - market financial intermediaries employ in «producing» deposits of various kinds that can themselves serve as means of exchang
In my last post
in this series, I observed that an economy's «base» money serves as the «raw material» that commercial banks and other private - market financial intermediaries employ in «producing» deposits of various kinds that can themselves serve as means of exchang
in this series, I observed that an economy's «base» money serves as the «raw material» that commercial banks and other private -
market financial intermediaries employ
in «producing» deposits of various kinds that can themselves serve as means of exchang
in «producing» deposits of
various kinds that can themselves serve as means of exchange.
A graduate of the ICMA Centre
in Reading (UK), he has worked
in financial markets in various capacities since 2001: as a technical analyst, portfolio manager, trading system developer and consultant.
The site, run by Vishal Khandelwal, who has immense experience
in equity
markets gives tremendous insights
in various fields of personal finance like
financial planning, behavioural finance, traps and pitfalls
in investing as also the guiding principles on how to invest
in shares.
Prior to this, Adam was an Associate for Georgeson, Inc. (later acquired by Thomson
Financial), where he advised technology companies, predominately
in the semiconductor industry, on
various aspects of their equity capital
markets strategy.
We also post daily on Western and Chinese social media up - to - date articles on
various markets in China and we have been regularly quoted
in many media such as The
Financial Times, The Wall - Street Journal, South China Morning Post or China Daily.
A decade after having proclaimed the «end of history» and the arrival of a new world order of prosperity based on «democracy and the
market», globalised
financial capital has subjected the majority of the planet's working populations to the burden of international recession, which has spread out
in leaps and bounds, from Asia: recession and deflation
in the world's second economy, Japan; recession and even depression m
various east Asian countries, since the first quarter of 1997; the collapse of the Russian economy six years ago and
financial bankruptcy
in July 1998; brutal recession
in the leading economy of Latin America, Brazil; the beginning of the downturn
in the economies of the OECD countries.
It follows that, differently from what happened
in the US — where the
various states have imbalances comparable to that of the countries using the euro — the
financial market lost confidence
in the sustainability of the Eurozone but not
in the sustainability of the «dollar - zone».
The Economic and
Financial Crimes Commission on Monday intercepted huge sums of money
in various currencies totalling N250m at the popular Balogun
market in Lagos.
Native Juice Co started as a stand at
various Bay Area Farmer's
Markets and just recently opened
in the
Financial District.
The BMW Group
in the United States has grown to include
marketing, sales, and
financial service organizations for the BMW brand, the MINI brand, and the ROLLS - ROYCE brand of Motor Cars; DesignworksUSA, an industrial design firm
in California; a technology office
in Silicon Valley and
various other operations throughout the country.
The BMW Group
in the United States has grown to include
marketing, sales, and
financial service organizations for the BMW brand of motor vehicles, including motorcycles, the MINI brand, and the Rolls - Royce brand of Motor Cars; Designworks, a strategic design consultancy based
in California; a technology office
in Silicon Valley and
various other operations throughout the country.
The BMW Group
in the United States has grown to include
marketing, sales, and
financial service organizations for the BMW brand of motor vehicles, including motorcycles, the MINI brand, and Rolls - Royce Motor Cars; Designworks, a strategic design consultancy based
in California; technology offices
in Silicon Valley and Chicago, and
various other operations throughout the country.
The BMW Group
in the United States has grown to include
marketing, sales, and
financial service organizations for the BMW brand of motor vehicles, including motorcycles, the MINI brand, and the Rolls - Royce brand of Motor Cars; Design works, a strategic design consultancy based
in California; technology offices
in Silicon Valley and Chicago, and
various other operations throughout the country.
These risks include currency fluctuations; political uncertainty; different accounting and
financial standards; different regulatory environments; and different
market and economic factors
in various non-U.S. countries.
With eToro's innovative and intuitive «OpenBook» trading platform, traders can now trade
in various different types of
financial instruments such as commodities, equities, currency pairs and
market indices.
Belgian
financial regulator, the Financial Services and Markets Authority (FSMA), once again issued a warning to the public against the activities of various providers and intermediaries in binary options and forex engaging in unauthorized activities in
financial regulator, the
Financial Services and Markets Authority (FSMA), once again issued a warning to the public against the activities of various providers and intermediaries in binary options and forex engaging in unauthorized activities in
Financial Services and
Markets Authority (FSMA), once again issued a warning to the public against the activities of
various providers and intermediaries
in binary options and forex engaging
in unauthorized activities
in Belgium.
As Visteon exits chapter 11, the near to medium - term upside will likely be driven by a combination of 1) a couple of imminent, high probability catalyst's that should force the
market to assign this company with a much more appropriate valuation on an absolute basis and relative to its peers and 2)
various operational and
financial enhancements that the company recently undertook while
in bankruptcy should continue to yield visible and increasingly positive operating results for the foreseeable future.
Bank of America Corp. operates as a bank holding company, which provides banking and nonbanking
financial services and products through its banking and
various nonbanking subsidiaries throughout the U. S. and
in certain international
markets.
Where public
market investments rely on several
financial organizations to perform
various services from acquisition and development to offering diversified portfolios of REITs, Fundrise uses technology to consolidate these functions and reduce the number of intermediaries
in the value chain.
Incentive alignment: Other provisions of the
financial reform law seek to align the incentives across
various market participants
in a credit transaction.
So, this guide will educate you about the basics of
financial market and
various mechanics involved with Investing money
in India.
The agency was established and launched
in 2005 and is the only regulatory body responsible for the regulation of
various financial instruments
in Indonesian
financial markets.
The site, run by Vishal Khandelwal, who has immense experience
in equity
markets gives tremendous insights
in various fields of personal finance like
financial planning, behavioural finance, traps and pitfalls
in investing as also the guiding principles on how to invest
in shares.
Work / Study Opportunities for Purchase College Students Work / Study, a Federal program administered through
Financial Aid Department, provides opportunities
in various departments of the Neuberger Museum, i.e. education,
marketing, development, curatorial, visitor services, exhibition assistant and museum shop.
In a country like the UK (which no longer has natural resources or manufacturing capability), the only main way for them to make money and stay relevant to the world at large today is to be a player in the various world financial market
In a country like the UK (which no longer has natural resources or manufacturing capability), the only main way for them to make money and stay relevant to the world at large today is to be a player
in the various world financial market
in the
various world
financial markets.
Jenny Fung has over 20 years of experience
in the
financial and banking industry, covering the compliance functions of private banking, investment banking, corporate banking, global
markets and clearing
in various aspects, including advisory, AML / CFT, regulatory governance and affairs, licensing, monitoring and controls, etc..
It includes, of course, money laundering, but also fraud
in its
various guises: corruption, forgery, tax evasion, theft, and it spills over into
financial regulatory areas involving
market misconduct, such as insider dealing.
Re Sompo Japan Insurance Inc: [2011] EWHC 260 (Ch) Acted with Martin Moore QC
in obtaining the sanction of a scheme for the transfer of insurance business under Part VII of the
Financial Services and
Markets Act 2000
in circumstances where the scheme was opposed on
various grounds, including diminution of security for policyholders, alleged inadequacies
in reserving policy, criticisms of the independent expert's report and lack of enforceability
in other jurisdictions.
Advising SilkrouteFinancial (UK) Limited on its application for FCA authorisation and
various business and transactional matters including the effect of the
Markets in Financial Instruments Directive across the EU.
The voluntary guidelines, technically known as the Mobile Reference Model, will serve as a blueprint for how mobile payment capabilities can be offered
in the Canadian
market, including guidelines around how information is exchanged among
various parties to a transaction including
financial institutions, payment card companies, telecommunications companies and merchants.