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211KB
1 Introduction of Shanghai Natural Rubber Futures J a n u a r y 10, 2025 O s a k a E x c h a n g e , I n c I. Purpose In response to the need to hedge against changes in the price of the natural rubber that investors hold in the People's Republic of China as well as the need for arbitrage between differences in the price of natural rubber in China and in Japan, Osaka Exchange, Inc. (OSE) will introduce Shanghai Natural Rubber Futures, which are cash-settled futures whose underlier is the price of Natural Rubber Futures listed on the Shanghai Futures Exchange (SHFE). II. Outline Item Details Remarks I. Outline of Trading 1. Underlier・The underlier will be the price of Natural Rubber Futures listed on SHFE. 2. Trading Method a. Trading Sessions and Trading Hours ・Trading on the auction market will ...
174KB
Decision on Delisting, etc.: Faith, Inc. | Japan Exchange Group Jan. 09, 2025 TSE Decision on Delisting, etc.: Faith, Inc. Post TSE has decided on delisting and designation as Securities to Be Delisted as follows. 1.Delisting and Designation as Securities to Be Delisted (1)Issue Name Faith, Inc. stock (Code: 4295, Market Segment: Standard Market) (2)Period of Designation as    Securities to Be Delisted From Jan. 9, 2025 (Thu.) to Jan. 29, 2025 (Wed.) (3)Delisting Date Jan. 30, 2025 (Thu.) (Note) In cases where circumstances in which the company should be promptly delisted occur, TSE may change the period of designation as Securities to Be Delisted and the delisting date. (4)Reason    (Related Clause) Due to falling under acquisition by a demand for share, etc. cash-out (Securities Listing Regulations, Rule 601, Paragraph 1, Item (17)) (5)Details of Reason Today, Faith, Inc. (hereinafter "the Company") approved a demand ...
172KB
Tick Size Table for newly listing ETF : iShares S&P 500 Top 20 ETF (Code: 313A) and 1 other | Japan Exchange Group Jan. 09, 2025 TSE Tick Size Table for newly listing ETF : iShares S&P 500 Top 20 ETF (Code: 313A) and 1 other Post The tick size table of Handling of Trading on the Initial Listing Date of iShares S&P 500 Top 20 ETF (Code: 313A) and 1 other, which are scheduled for initial listing on January 16, is as below. "TOPIX 500 tick size table" refers to tick sizes applied to TOPIX 500 constituents (TOPIX100 and TOPIX Mid400), and "non-TOPIX 500 tick size table" refers to tick sizes applied to other than TOPIX 500 constituents. Code Issue Name Tick Size Table 313A iShares S&P 500 Top 20 ETF TOPIX 500 tick size table 314A iShares Gold ETF TOPIX 500 tick size table Enquiry Tokyo ...
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Base price and daily price limits for newly listing ETF : iFreeETF FANG+ (Code: 316A) | Japan Exchange Group Jan. 09, 2025 TSE Base price and daily price limits for newly listing ETF : iFreeETF FANG+ (Code: 316A) Post The base price, etc. of iFreeETF FANG+ (Code: 316A), which is scheduled for initial listing on January 10, is as below. Code Issue Name Trading Unit Base Price Upper Price Limit Lower Price Limit 316A iFreeETF FANG+ 1 unit JPY 1,954 JPY 2,354 JPY 1,554 Enquiry Tokyo Stock Exchange, Inc. Equities Department TEL:Tel: +81-3-3666-0141 Back to list...
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Approval of Initial Listing (TOKYO PRO-BOND Market): EUR-Denominated Foreign Bond with Value of EUR 500 million (Japan Finance Organization for Municipalities) | Japan Exchange Group Jan. 09, 2025 TSE Approval of Initial Listing (TOKYO PRO-BOND Market): EUR-Denominated Foreign Bond with Value of EUR 500 million (Japan Finance Organization for Municipalities) Post Today, Tokyo Stock Exchange approved a EUR-denominated bond with a total value of EUR 500 million (tenor: 5 years, coupon: 2.750%) from Japan Finance Organization for Municipalities for listing on the TOKYO PRO-BOND Market. Japan Finance Organization for Municipalities The organization has listed program information since February 2, 2016. The bond will be issued on January 16, 2025, with listing following on January 17, 2025. Details on the issuance conditions can be found on the TOKYO PRO-BOND Market website. Latest Disclosure Information About TOKYO PRO-BOND Market TOKYO PRO-BOND Market was ...
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30079180035-v5 15-41085299 USE OF PROCEEDS (i) Use of Proceeds: The net proceeds, or an amount equal to the net proceeds, of the issuance of the Notes will be used exclusively to finance or re-finance, in whole or in part, existing and/or future Eligible Projects (as defined below), by way of loans made by JFM to local governments, made at any time following the date falling 36 months prior to the Issue Date. "Eligible Projects" means sewerage projects which meet the Eligibility Criteria (as defined below). "Eligibility Criteria" means sewerage projects, for which the purposes are, the development, construction, maintenance, update or operation of sewerage-related assets that comply with Japanese laws relating to sewerage drainage standards (including the Sewerage Act (Act No. 79 of 1958, as amended), the Water Pollution Act (Act No. 138 of 1970, as amended) and the Purification Tank Act (Act No. 43 ...
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30078864884-v6 15-41085299 Issuance Conditions of the Bonds Pertaining to the Initial Listing Application Japan Finance Organization for Municipalities 30078864884-v6 - i - 15-41085299 ISSUANCE CONDITIONS OF THE BONDS PERTAINING TO THE INITIAL LISTING APPLICATION Type of Information: Issuance Conditions of the Bonds Pertaining to the Initial Listing Application Date of Announcement: 9 January 2025 Issuer Name: Japan Finance Organization for Municipalities Name and Title of Representative: NAITO Hisashi, President and Chief Executive Officer Address of Head Office: Shisei Kaikan 1-3, Hibiya Koen Chiyoda-ku, Tokyo 100-0012 Japan Telephone: +81-3-3539-2697 Contact Person: IBARAKI Yuko, Senior Manager, Finance, Finance Department Type of Securities: Unsecured and unsubordinated notes Total Issuance Value of Securities: EUR500,000,000 Contents of Programme Information: Date of Announcement: 2 February 2024 Scheduled Issuance Period: 3 February 2024 to 2 February 2025 Maximum Outstanding Issuance Amount:¥3,000,000,000,000 Matters ...
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- 1 - 【表紙】 【公表書類】訂正特定証券情報 【公表日】2025年1月9日 【発行者の名称】株式会社NPT 【代表者の役職氏名】代表取締役兼執行役員CEO原健一郎 【本店の所在の場所】東京都江東区有明三丁目5番7号 【電話番号】03-6455-7150 【事務連絡者氏名】取締役兼執行役員CFO大貫篤志 【担当J-Adviserの名称】アイザワ証券株式会社 【担当J-Adviserの代表者の役職氏名】代表取締役社長藍澤卓弥 【...
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1 発行者情報 【表紙】 【公表書類】 発行者情報 【公表日】 2025年 1月 15日 【発行者の名称】 ヒメジ理化株式会社(HIMEJI RIKA CO.,LTD.) 【代表者の役職氏名】 代表取締役社長 赤錆 充 【本店の所在の場所】 兵庫県姫路市夢前町杉之内17番地 【電話番号】 079-336-3221(代表) 【事務連絡者氏名】 取締役 管理本部長 大槻 真 【担当J-Adviserの名称】 株式会社日本M&Aセンター 【担当J-Adviserの代表者の役職氏名】 代表取締役...
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