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Weblio 辞書 > 英和辞典・和英辞典 > Securitiesの意味・解説 > Securitiesに関連した共起表現

「Securities」の共起表現一覧(1語右で並び替え)

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The two partners also founded Power Securities, a business established to pursue opportunit
ll Street in 1987 as a broker with Makefield Securities, a small Erie-based firm partly owned by his
not sufficient to constitute maintenance of securities accounts.
Securities across the city ensured the Expo would pass
"possible violations of Section 17(a) of the Securities Act of 1933, Sections 10(b) and 13(a) of the
The Securities Act of 1933 required stockbrokers to provide
on statements in the United States under the Securities Act of 1933.
Congress enacted the Glass-Steagall Act, the Securities Act of 1933 and the Securities Exchange Act
l Act, the Utility and Review Board Act, the Securities Act, the Insurance Act, the Retail Business
h as General Rules and Regulations under the Securities Act, Regulation C, Regulation S-K and Regula
arged with insider trading under the Ontario Securities Act.
Bill 198 amends Part XXIII.1 of the Ontario Securities Act.
e integration of traditional capital markets securities activities, equity research, loan sales, por
ioner of Financial Institutions and Kentucky securities administrator.
987; chief executive officer, North American Securities Administrators Association from 1987 to 1989
MI 52-109 has been agreed to by the Canadian Securities Administrators (CSA), and covers additional
It involves commission sales and purchase of securities, agency of debt services and dividend distri
David Shapiro, director of Sasfin Securities, an independent banking and financial servic
Beginning as a securities analyst with Paine Webber, she enjoyed a lon
Between 1968 and 1970 Steele was a securities analyst for the Travelers Insurance Company.
After a brief stint as a securities analyst, he settled in Toronto, becoming a b
nts, Presentation to the New York Society of Securities Analysts, June 8, 2006.
Form 10-K405 is an SEC filing to the US Securities and Exchange Commission (SEC) that indicates
The Securities and Exchange Commission, the Justice Departm
onald C. Cook served as chairman of the U.S. Securities and Exchange Commission between 1952 and 195
icing, Finance Theory, Modeling Fixed Income Securities and Interest Rate Options (second edition),
first Chief Accountant of the United States Securities and Exchange Commission.
Form 3 is an SEC filing filed with the US Securities and Exchange Commission to indicate a prelim
ance companies, pension funds, mutual funds, securities and commodities brokers.
to June 1971 he was Lead counsel on energy, securities and consumer matters; Special Counsel to the
ised about Yum being described as a licensed Securities and Futures Commission representative when h
law firm Kaufman & Canoles, specializing in securities and banking law.
des has served as a Commissioner of the U.S. Securities and Exchange Commission (SEC) since August 1
the Treasury talked to officials at the U.S. Securities and Exchange Commission (SEC) about apparent
Foo, and economist Manu Bhaskaran, of Crosby Securities, and to journalists Kenneth James and Patric
CEC was investigated by the United States Securities and Exchange Commission for various issues o
Shad (1923-1994), served as chairman of U.S. Securities and Exchange Commission between 1981 and 198
Energy Corporation (NYSE: WEC) each filed a Securities and Exchange Commission Form 8-K to combine
January 5, 1928) served as chairman of U.S. Securities and Exchange Commission between 1977 and 198
investigator and manager with the Australian Securities and Investments Commission since the early 1
s, "The unusual complaint was brought by the Securities and Exchange Commission, which contends that
d on the Practitioners Panel of the FSA, the Securities and Investments Board, the initial committee
He became regional administrator of the U.S. Securities and Exchange Commission in San Francisco in
s (born 1931) served as Chairman of the U.S. Securities and Exchange Commission between 1975 and 197
ormer Qwest executives were sued by the U.S. Securities and Exchange Commission.
t of Education, Culture, and Sports, and the Securities and Exchange Commission as a non-stock, non-
d to pay $0.93 million costs incurred by the Securities and Futures Commission's investigation into
n operations are regulated by the Australian Securities and Investments Commission (ASIC) and the Gr
ny describes as an "informal inquiry" by the Securities and Exchange Commission, and as policy regar
erated the company as a subsidiary for their securities and investments division.
filing a complaint against him with the U.S. Securities and Exchange Commission.
it, whilst being under the ownership of Land Securities, and from Spring 2008 is the home to the Min
Consumer Credit, the Oklahoma Department of Securities, and the Oklahoma Department of Insurance.
In 1998, then United States Securities and Exchange Commission (SEC) Chairman Arthu
United States Department of Justice and the Securities and Exchange Commission and try to negotiate
stem, the required filing format of the U.S. Securities and Exchange Commission.
was appointed by President Bush to the U.S. Securities and Exchange Commission and sworn in on Janu
annual proxy filings with the United States Securities and Exchange Commission, his 2005 compensati
his appointment as the Chairman of the U.S. Securities and Exchange Commission (SEC) under Presiden
extent of nearly £100,000 upon unmarketable securities, and making advances in opposition to every
The Securities and Exchange Commission (SEC) has conceded t
post at the CSRC, she worked at Hong Kong's Securities and Futures Commission from 1991 to early 20
Leaders of the U.S. Securities and Exchange Commission (SEC) testified on F
and former Commissioner of the United States Securities and Exchange Commission (SEC).
He served as chairman of U.S. Securities and Exchange Commission from 1987 to 1989, a
scope for growth, leading to a critical U.S. Securities and Exchange Commission (SEC) filing allegin
Jr., was selected to become chairman of the Securities and Exchange Commission.
s of the corporate regulator; the Australian Securities and Investments Commission.
In 1985, the United States Securities and Exchange Commission sued former company
ter the Examiner's report was published, the Securities and Exchange Commission (SEC) sent letters t
on, SC Johnson, Merck, Raytheon and the U.S. Securities and Exchange Commission.
ector at both Lehman Brothers and Prudential Securities, and immediately prior to joining the PBGC,
SEC filing that must be submitted to the US Securities and Exchange Commission within 10 days, by a
ard and Steven Newman were subpoenaed by the Securities and Exchange Commission about sales of Xyber
an, former commissioner of the United States Securities and Exchange Commission, is the current pres
ess to pay his margin loan to Native Nations Securities, and Native Nations (and Red Horse's) inabil
tion Form 8-K, filed April 20, 2009 with the Securities and Exchange Commission.
national Trade & Commerce Corporation by the Securities and Exchange Commission revealed Erdman to b
A U.S. Securities and Exchange Commission investigation did re
The Securities and Exchange Commission announced that, on O
Bank Structure and Competition, former U.S. Securities and Exchange Commission Chairman, Christophe
victims of Enron's collapse to persuade the Securities and Exchange Commission (SEC) and the Bush A
anks, insurance companies and the trading of securities and ensure the viability, integrity and stab
The U.S. Securities and Exchange Commission and members of the i
uded Cooper Cameron, NetIQ Corp., Prudential Securities, and South Trust Bank.
EPR Architects and built by Mowlem for Land Securities, and although finally completed in 1998, sta
ompany's annual report on Form 10-K with the Securities and Exchange Commission.
ty, money, property, or bond with or without securities; and are covered by a lawful liability insur
(c) member of the Advisory Committee of the Securities and Exchange Commission; (d) a member of the
Securities and Exchange Commission
statutory body whose powers derive from the Securities and Futures Ordinance (SFO) legislation.
o serve as a financial analyst with the U.S. Securities and Exchange Commission.
Securities and Futures Bureau
second jury failed to reach a decision on 11 securities and mail fraud charges and a second judge, J
entral Listing Authority, established by the Securities and Exchange Board of India (SEBI), Member,
, he became a regional administrator for the Securities and Exchange Commission in Washington, D.C.
Terra Markets ( securities and capital markets)
cal year, but according to a filing with the Securities and Exchange Commission, he will get a sever
4 when he was appointed to the United States Securities and Exchange Commission (SEC) by President L
ite collar fraud as a prosecutor at the U.S. Securities and Exchange Commission (SEC) between 2002 a
agement of, as required by the United States Securities and Exchange Commission (SEC).
vitt, Jr., was chairman of the United States Securities and Exchange Commission from 1993 to 2001.
g of mutual fund shares according to the the Securities and Exchange Commission.
k (born 1936) served as chairman of the U.S. Securities and Exchange Commission in the year of 1973.
statements and disclosures made to the U.S. Securities and Exchange Commission.
bout 150,000USD) for three violations of the Securities and Exchange Act.
In February 2009 the Securities and Exchange Commission investigated the US
rge W. Bush in the investigation by the U.S. Securities and Exchange Commission into possible inside
DAQ:SNDV) was an American technology-focused securities and investment banking firm known primarily
fe Margaret Hubbard and his business Aorangi Securities and seven charitable trusts into statutory m
ria, Virginia was a commissioner of the U.S. Securities and Exchange Commission (SEC).
f Investment Management at the United States Securities and Exchange Commission ("SEC") and the form
orate finance, banking, commodities trading, securities and international trade law.
establishment of what is now the Australian Securities and Investments Commission.
mber 5, 2000) served as chairman of the U.S. Securities and Exchange Commission between 1955 and 195
Other tenants include the Securities and Futures Commission.
ro Shopping Fund (a partnership between Land Securities and Delancey, which owns several other Londo
d dissemination of knowledge in the field of securities and investments to develop high ethical stan
required by law to file forms with the U.S. Securities and Exchange Commission (the "SEC").
id Kotz is the Inspector General of the U.S. Securities and Exchange Commission (SEC) since his appo
In November 2009, the Securities and Exchange Commission alleged that Albert
ion, based in Birmingham, Alabama, after the Securities and Exchange Commission charged former manag
Singapore Exchange, the securities and derivatives exchange of Singapore.
Filing with the U.S. Securities and Exchange Commission to raise money to fi
86) was an American lawyer and member of the Securities and Exchange Commission under President Harr
trial, and slander of Preston Tucker by the Securities and Exchange Commission has long been specul
by structured products (such as asset-backed securities and mortgage-backed securities).
r 23rd, 1995) served as chairman of the U.S. Securities and Exchange Commission between 1953 and 195
ary in 1919, Thomas worked in the investment securities and insurance business in New York City for
lege graduate, Pike was a member of the U.S. Securities and Exchange Commission from 1940 to 1946 an
with various SROs such as NYSE and NASD, the Securities and Exchange Commission also works with othe
gh-worth individuals and later managing U.S. Securities and Exchange Commission (SEC) compliance iss
ck stock for about $10,262,000, according to Securities and Exchange Commission filings.
egulation and self-regulation, and created a Securities and Investments Board (SIB) presiding over v
une 16, 1977) served as chairman of the U.S. Securities and Exchange Commission between 1964 and 196
The Securities and Futures Commission (SFC) of Hong Kong is
directorships at organisations including the Securities and Futures Authority (no longer extant as s
It is engaged in securities and futures dealing, margin financing and mo
arned they would soon be investigated by the Securities and Exchange Commission.
of obstructing an official proceeding of the Securities and Exchange Commission was filed against Ar
alsey Stuart Shields, later Prudential-Bache Securities and Prudential Securities.
the Federal Bureau of Investigation, and the Securities and Exchange Commission had pursued a parall
es a nominal discount worth 62%, to the U.S. Securities and Exchange Commission.
Bond is a life assurance bond investment in securities and assets.
uary 2011, CESR was replaced by the European Securities and Markets Authority, which is part of the
s the European arm and HQ of Bank of America Securities, and features one of Europe's largest tradin
e was appointed a special agent for the U.S. Securities and Exchange Commission to investigate alleg
In 2006, the Securities and Exchange Commission (SEC) notified ACS t
According to the Securities and Futures Commission (SFC), Du purchased C
es J. Caffrey served as chairman of the U.S. Securities and Exchange Commission between 1946 and 194
the director of the Center for International Securities and Derivatives Markets there.
private practice with interests in business, securities and tax law in Tulsa, Oklahoma.
nvestment portfolio consisting of marketable securities and real property.
company said in the S-1 filing with the U.S. Securities and Exchange Commission.
The SFC is responsible fostering an orderly securities and futures markets, to protect investors an
at filed an initial public offering with the Securities and Exchange Commission (SEC).
On September 19, 2007, the United States Securities and Exchange Commission (SEC) announced that
r had his assets frozen by a judge after the Securities and Exchange Commission filed a lawsuit Marc
Investors saw the booming market for new securities and jumped into the forward market.
He chaired Disciplinary Tribunal for The Securities and Investments Board (SIB) from 1990 until
rom 1974 to 1980 and the chairmanship of the Securities and Investments Board until 1988..
A Wells Notice is a letter that the U.S. Securities and Exchange Commission (SEC) sends to peopl
& Investment has the subsidiaries of Ping An Securities and Ping An Bank.
economist who served as a member of the U.S. Securities and Exchange Commission under Franklin Delan
worth was personal property (jewelry, cash, securities, and the like).
of Unsecured Creditors of WorldCom, Inc. v. Securities and Exchange Commission, 467 F.3d 73 (2nd Ci
He was an Attorney, U.S. Securities and Exchange Commission from 1941 to 1942.
brium asset pricing models, and fixed income securities and risk hedging.
On October 7, 2010, the United States Securities and Exchange Commission sued Wilcox for stoc
Form 5 is an SEC filing submitted to the Securities and Exchange Commission on an annual basis b
any filed a "Form 15" with the United States Securities and Exchange Commission, under which it will
onal divisions; advisory, corporate broking, securities and wealth management.
Sumner Pike, member of the U.S. Securities and Exchange Commission, member of the Atomi
Form S-4 is a form filed with the U.S. Securities and Exchange Commission relating to a busine
d Michael Milken levied by the United States Securities and Exchange Commission for their role in im
operty rights, water rights, motor vehicles, securities and intangible commercial assets.
is a Trust School, in partnership with Land Securities and Dell Computer.
1993, Breeden served as Chairman of the U.S. Securities and Exchange Commission.
rseeing State Street's investment servicing, securities and investment research and trading activiti
It changed its name to the Securities and Investment Institute in November 2004.
shares, first registered with the Australian Securities and Investments Commission (ASIC) under the
Vinaiphiat, deputy director of the Thailand Securities and Exchange Commission, said: "The case is
Steven Wallman, a former commissioner of the Securities and Exchange Commission, established the com
on-profit organizations approved by the U.S. Securities and Exchange Commission to solicit U.S. inve
ancial Group which has been sued by the U.S. Securities and Exchange Commission, along with Robert A
ng in what some allege were significant U.S. Securities and Exchange Commission violations.
people, the Federal Trade Commission, the US Securities and Exchange Commission and US state attorne
o pay £50,000 towards the legal costs of the Securities and Futures Authority.
1997, Triton notably became the subject of a Securities and Exchange Commission complaint which alle
In May 2001, the U.S. Securities and Exchange Commission shut down Slatkin's
was established in 1966 under the name China Securities and Investment Corporation.
In April 2009, the Australian Securities and Investments Commission (ASIC) disqualifi
According to filings with the US Securities and Exchange Commission, the unlisted compan
At the same time, the Securities and Exchange Commission brought civil charge
In September 2002, the Securities and Exchange Commission (SEC) sued FLIR over
ng the private equity activities of Bessemer Securities and had founded the High Technology Lending
d M. Hanrahan served as chairman of the U.S. Securities and Exchange Commission between 1948 and 194
mes have aliases; in 2009, The United States Securities and Exchange Commission (SEC) filed suit aga
dministration before he was appointed to the Securities and Exchange Commission in 1939.
                                                                                                    


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