The value of Western Australia -
related equity capital markets deals jumped to $ 4.2 billion in the March quarter, helped to a large degree by a handful of large transactions.Of the 140 March - quarter de
Not exact matches
Copies of the prospectus, the
related preliminary prospectus supplement and the registration statement can be obtained from Barclays
Capital Inc., Attention: Broadridge Financial Solutions, 1155 Long Island Avenue, Edgewood, NY 11717, 1-888-603-5847,
[email protected]; Citigroup Global
Markets Inc., c / o Broadridge Financial Solutions, 1155 Long Island Avenue, Edgewood, NY 11717, Tel: 800-831-9146; Wells Fargo Securities, LLC, Attention:
Equity Syndicate Department, 375 Park Avenue, New York, New York 10152, by telephone at (800) 326-5897 or email to
[email protected]; Evercore Group L.L.C., Attention:
Equity Capital Markets, 55 East 52nd Street, 36th Floor, New York, NY 10055, by telephone at 888-474-0200 or by email at
[email protected]; and SunTrust Robinson Humphrey, Inc., Attention: Prospectus Department, 3333 Peachtree Road NE, 9th Floor, Atlanta, GA 30326, telephone: 404-926-5744, fax: 404-926-5464 or email:
[email protected].
The performance goals upon which the payment or vesting of any Incentive Award (other than Options and stock appreciation rights) that is intended to qualify as Performance - Based Compensation depends shall
relate to one or more of the following Performance Measures:
market price of
Capital Stock, earnings per share of Capital Stock, income, net income or profit (before or after taxes), economic profit, operating income, operating margin, profit margin, gross margins, return on equity or stockholder equity, total shareholder return, market capitalization, enterprise value, cash flow (including but not limited to operating cash flow and free cash flow), cash position, return on assets or net assets, return on capital, return on i
Capital Stock, earnings per share of
Capital Stock, income, net income or profit (before or after taxes), economic profit, operating income, operating margin, profit margin, gross margins, return on equity or stockholder equity, total shareholder return, market capitalization, enterprise value, cash flow (including but not limited to operating cash flow and free cash flow), cash position, return on assets or net assets, return on capital, return on i
Capital Stock, income, net income or profit (before or after taxes), economic profit, operating income, operating margin, profit margin, gross margins, return on
equity or stockholder
equity, total shareholder return,
market capitalization, enterprise value, cash flow (including but not limited to operating cash flow and free cash flow), cash position, return on assets or net assets, return on
capital, return on i
capital, return on invested
There he devised strategy for obtaining debt and preferred
equity capital and created finance -
related marketing materials and research papers for various clients.
Before founding K2, he was with American
Capital Ltd., a publicly - traded buyout and mezzanine fund (NASDAQ: ACAS), where he created the American
Capital Energy Group, building a peak portfolio of nearly a billion dollars of
market value of energy -
related equity and debt investments across oil and gas production, oilfield services, utility services and alternative energy.
Given the absence of a public trading
market of our common stock, and in accordance with the American Institute of Certified Public Accountants Accounting and Valuation Guide, Valuation of Privately - Held Company
Equity Securities Issued as Compensation, our board of directors exercised reasonable judgment and considered numerous and subjective factors to determine the best estimate of fair value of our common stock, including independent third - party valuations of our common stock; the prices at which we sold shares of our convertible preferred stock to outside investors in arms - length transactions; the rights, preferences, and privileges of our convertible preferred stock relative to those of our common stock; our operating results, financial position, and
capital resources; current business conditions and projections; the lack of marketability of our common stock; the hiring of key personnel and the experience of our management; the introduction of new products; our stage of development and material risks
related to our business; the fact that the option grants involve illiquid securities in a private company; the likelihood of achieving a liquidity event, such as an initial public offering or a sale of our company given the prevailing
market conditions and the nature and history of our business; industry trends and competitive environment; trends in consumer spending, including consumer confidence; and overall economic indicators, including gross domestic product, employment, inflation and interest rates, and the general economic outlook.
The investment objective of the scheme is to generate
capital appreciation and income by predominantly investing in arbitrage opportunities in the cash and derivatives segment of the
equity market, and enhance returns with a moderate exposure in
equity &
equity related instruments.There is no assurance or guarantee that the investment objective of the scheme will be achieved.
Mirae Asset Emerging Bluechip Fund is an
equity mid-cap fund geared to generate income and
capital appreciation from a diversified portfolio that mainly invests in Indian
equity related securities of companies that do not belong to the top 100 stocks by
market capitalization, and have
market capitalization of a minimum Rs. 100 crores at the time of investment.
The scheme aims to provide long term
capital growth by investing in a well - diversified portfolio of
equity and
equity related securities across
market capitalisation and sectors.
The investment objective of the scheme is to generate
capital appreciation from a diversified portfolio of
equity &
equity related instruments across
market capitalisation and sectors.
Investment Objective: To generate income and minimize interest rate volatility by investing in Debt & Money
Market securities that mature on or before the maturity of the scheme, and also to generate
capital appreciation by investing in
equity /
equity related instruments.
Investment Objective: To generate
capital appreciation and income by predominantly investing in arbitrage opportunities in the cash and derivatives segment of the
equity market, and enhance returns with a moderate exposure in
equity &
equity related instruments.
Investment Objective of the Fund: The Scheme seeks to generate long term
capital appreciation from a diversified portfolio of predominantly
equity and
equity related securities, in the Indian
markets with higher focus on undervalued securities.
The investment objective of this fund is to generate long - term
capital appreciation from a diversified portfolio of predominantly
equity and
equity -
related securities, including
equity derivatives, in the Indian
markets with the key theme focus being emerging companies (small cap stocks).
Securities, corporate advisory and
capital markets services are performed in Australia by Merrill Lynch Markets (Australia) Pty. Limited, Merrill Lynch (Australia) Futures Limited, Merrill Lynch Equities (Australia) Limited and their related bodies corporate (together «BofAML») which hold, or are exempt from the requirement to hold, an Australian Financial Services L
markets services are performed in Australia by Merrill Lynch
Markets (Australia) Pty. Limited, Merrill Lynch (Australia) Futures Limited, Merrill Lynch Equities (Australia) Limited and their related bodies corporate (together «BofAML») which hold, or are exempt from the requirement to hold, an Australian Financial Services L
Markets (Australia) Pty. Limited, Merrill Lynch (Australia) Futures Limited, Merrill Lynch
Equities (Australia) Limited and their
related bodies corporate (together «BofAML») which hold, or are exempt from the requirement to hold, an Australian Financial Services Licence.
An Open - ended diversified
equity scheme with an objective to generate long - term growth of
capital, by investing predominantly in a diversified portfolio of
equity and
equity related securities in the international
markets
Meanwhile, David looks at the lower interest rate component without specifically considering the high stock
market valuation component (his
capital market expectations are described in Appendix 1, and his stock returns are not
related to past stock returns), and he concludes that declining
equity glidepaths are best.
Jason is a corporate and commercial lawyer principally advising on matters
relating to
equity capital markets, private and public takeovers, and general advisory.
Main areas of work Antitrust and competition; bankruptcy and restructuring; corporate (asset management,
capital markets, corporate governance, derivatives, environmental, finance, mergers and acquisitions, private acquisitions and private
equity); energy and energy enforcement; executive compensation and employee benefits; financial services; intellectual property and technology; international arbitration; international trade and investment; litigation (antitrust litigation, commercial litigation, government contracts, healthcare fraud and compliance, securities and shareholder litigation, securities enforcement and regulation, white collar criminal defense and securities enforcement); pro bono; real estate (corporate; acquisitions, dispositions and
related financings; restructuring and financing; leasing; land use, construction and development); tax; trusts and estates; white collar criminal defense.
In this plan, predominant funds allotment is made on
equity and securities
related to it in various companies that have small
market capitalization in order to provide long - term
capital growth.
Easy Retirement Balanced Fund: The objective of this fund is to provide long term
capital appreciation by parking the funds in
equity and
equity related instruments of large, mid, and small cap companies, along with debt, money
market, and cash.
It allows you to Invest in
equity and
equity -
related securities and fixed income funds like money
market securities and debt offer long - term
capital appreciation and regular income.