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144KB
Calculation of TOPIX in relation to shares of TABUCHI ELECTRIC CO.,LTD. and DIAMOND ELECTRIC HOLDINGS Co.,Ltd. Tokyo Stock Exchange, Inc. (TSE) made an announcement today regarding calculation of TOPIX and its sub-indices concerning the following shares to be de-listed on September 27, 2019 and shares to be listed on 1st section as of October 1, 2019 due to stock swap. 1. Exclusion The following shares to be de-listed due to stock swap will be excluded from TOPIX and its sub-indices after the close of trading on September 30, 2019. For index calculation purposes, the market capitalization of the following issues will remain unchanged from the close of September 26, 2019(the last trading date) to September 30, 2019 in TOPIX and its sub-indices. Company Name Local Code TOPIX and TOPIX sub-indices Sector-based TOPIX-17 Size-bas ed New Index Series TABUCHI ...
172KB
Index Calculation in relation to shares of NIPPON TELEGRAPH AND TELEPHONE CORPORATION (9432) | Japan Exchange Group Sep. 12, 2019 TSE Index Calculation in relation to shares of NIPPON TELEGRAPH AND TELEPHONE CORPORATION (9432) Tweet The shares of NIPPON TELEGRAPH AND TELEPHONE CORPORATION (Code: 9432) held by the Ministry of Finance of Japan (MoF) were not originally included in the number of listed shares to be used for index calculation. Tokyo Stock Exchange, Inc. (TSE) announced today that, as of the close of trading on September 27, 2019, it will include the shares (48,666,700 shares) acquired from the MoF as treasury stock of NIPPON TELEGRAPH AND TELEPHONE CORPORATION and change FFW accordingly, when calculating TSE indices. For further information, please contact: Contact Tokyo Stock Exchange, Inc., Information Services Dept. TEL:+81-50-3377-7754 E-mail:index@jpx.co.jp Back to list...
278KB
新規上場申請に係る債券の発行要項 【表紙】 【公表書類】新規上場申請に係る債券の発行要項 【公表日】2019年9月5日 【発行者の名称】独立行政法人国際協力機構 【代表者の役職氏名】理事長北岡伸一 【本店の所在の場所】東京都千代田区二番町5番地25 【電話番号】03(5226)9279 【事務連絡者氏名】財務部市場資金課 【有価証券の種類】国際協力機構債券 【有価証券の発行価額の総...
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Contents 1. Overview of JPX 1 Who we are... 2 Corporate Philosophy 3 The Role of Exchange Markets 4 Business Model 6 Creating Value at JPX 8 JPX History 10 FY2018 Financial and Non-Financial Highlights 2. Strategies for Creating Value 12 Message from the CEO 16 Financial Policies 17 IT Master Plan 18 Core Strategy 22 Special Feature 1 JPX Initiatives: Targeting Value Creation for Listed Companies 24 Special Feature 2 Self-regulatory Functions Required for JPX Value Creation 3. The Foundations of Value Creation 27 Aiming to Realize an Affluent Society Corporate Governance Initiatives 28 Corporate Governance 32 Risk Management 36 Internal Control Systems and Compliance 37 Directors 42 Interview with Hiroki Tsuda, Chairperson of the Board of Directors Initiatives for Realizing an Affluent Society 44 Financial Education 49 The Spread of ESG Investment 50 Promoting International Cooperation 51 Facilitating Studies and Research 52 Engagement with Shareholders and ...
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Amendment to Program Information The Bank of Nova Scotia 2 AMENDMENT TO PROGRAM INFORMATION Type of Information: Amendment to Program Information Date of Announcement: September 2, 2019 Issuer Name: The Bank of Nova Scotia (the "Bank") Name and Title of Representative: Christy Bunker Managing Director - Term Funding & Capital Address of Head Office: 24th Floor, 40 King Street West, Toronto, ON Canada M5H 1H1 Telephone: +1 416 933 7974 Contact Person: Attorneys-in-Fact: Eiko Hakoda, Attorney-at-law Katsuyuki Tainaka, Attorney-at-law Mori Hamada & Matsumoto Address: Marunouchi Park Building, 2-6-1, Marunouchi, Chiyoda-ku, Tokyo 100-8222, Japan Telephone: +81 3 6212 8320 Type of Securities: Notes (the "Notes") Address of Website for Announcement: https://www.jpx.co.jp/english/equities/products/tpbm/a nnouncement/index.html Information on initial Program Information Date of Filing: July 1, 2019 Scheduled Issuance Period: July 1, 2019 to June 30, 2020....
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Japan Exchange Group, Inc. and its subsidiaries Consolidated Financial Statements under IFRS and Independent Auditor’s Report For the year ended March 31, 2019 Japan Exchange Group, Inc. Contents Independent Auditor’s Report .......................................................................................................................................................... 1 Consolidated Financial Statements .................................................................................................................................................. 2 Consolidated Statement of Financial Position ............................................................................................................................... 2 Consolidated Statement of Income ................................................................................................................................................ 4 Consolidated Statement of Comprehensive Income ...................................................................................................................... 5 Consolidated Statement of Changes in Equity .............................................................................................................................. 6 Consolidated Statement of Cash Flows ......................................................................................................................................... 8 Notes to Consolidated Financial Statements ................................................................................................................................... 9 [Appendix]Framework for Ensuring Implementation of Settlement ............................................................................................ 39 1 Consolidated Financial Statements Consolidated Statement of Financial Position As of March 31, 2018 As of March 31, 2019 Notes Millions of yen Millions of yen Assets Current assets Cash and cash equivalents 8,25 78,999 63,891 Trade and other receivables 9,25 11,841 11,402 Clearing business financial assets 25 37,311,964 49,886,377 Specified assets for deposits from clearing participants 10,...
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Issuance Conditions of the Bonds Pertaining to the Initial Listing Application Japan Finance Organization for Municipalities - i - 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: 29 August 2019 Issuer Name: Japan Finance Organization for Municipalities Name and Title of Representative: Kinya Takino, 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: Yuko Ibaraki, Manager, Finance, Finance Department Type of Securities: Unsecured and unsubordinated notes Total Issuance Value of Securities: U.S.$1,000,000,000 Contents of Programme Information: Date of Announcement: 1 February 2019 Scheduled Issuance Period: 3 February 2019 to 2 February 2020 Maximum Outstanding Issuance Amount:¥3,000,000,000,000 Matters related to Financial Instruments Exchange Market, ...
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会計監査報告 会計監査報告 会計監査報告 監 査 報 告 監 査 報 告 監 査 報 告 ��������� �� �� �� �� ������������ ������������� ���� �������������� ������ ������ ���� ����� ������ ��������������� ����� ��� ����������...
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第6発行者の参考情報 1.発行者の参考情報当機構では、当機構の現況を理解していただくために、業務内容、財務状況等について下記のとおり開示しています。 資料の種類公表場所・方法財務諸表 (貸借対照表、損益計算書、財産目録) ・官報にて公告 ・本部にて備置 ・インターネット上に掲載附属明細書 ・本部に備置 ・インターネット上に掲載決算報告書 ・本部に備...
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訂正プログラム情報 【表紙】 【公表書類】訂正プログラム情報 【公表日】2019年8月29日 【発行者の名称】独立行政法人国際協力機構 【代表者の役職氏名】理事長北岡伸一 【本店の所在の場所】東京都千代田区二番町5番地25 【電話番号】03(5226)9279 【事務連絡者氏名】財務部市場資金課 【有価証券の種類】国際協力機構債券 【発行残高の上限】該当事項なし 【公表されるホームページの...
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