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31KB
Amendment to Program Information Credit Suisse Group AG 1 AMENDMENT TO PROGRAM INFORMATION Type of Information: Amendment to Program Information Date of Announcement 22 November 2017 Issuer Name: Credit Suisse Group AG Name and Title of Representative: Christian Schmid Managing Director Address of Head Office: Paradeplatz 8, CH-8001 Zurich, Switzerland Telephone: +41 44 333 33 89 Contact Person: Attorney-in-Fact: Hideyuki Sunasaka, Attorney-at-law Nobuyoshi Inujima, Attorney-at-law Motoki Saito, Attorney-at-law Hironobu Kumoto, Attorney-at-law Nagashima Ohno & Tsunematsu Address: JP Tower, 2-7-2 Marunouchi, Chiyoda-ku Tokyo 100-7036, Japan Telephone: +81 3 6889 7000 Type of Securities: Notes Address of Website for Announcement: http://www.jpx.co.jp/english/equities/products/tpbm/anno uncement/index.html Names of the Arrangers (for the purpose of this Amendment to Program Information): Credit Suisse Securities (Europe) Limited Status of Submission of Annual Securities Reports ...
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Amendment to Program Information Macquarie Bank Limited (ABN 46 008 583 542) 2 AMENDMENT TO PROGRAM INFORMATION Type of Information: Amendment to Program Information Date of Announcement: 22 November 2017 Issuer Name: Macquarie Bank Limited Name and Title of Representative: Stuart Green Group Treasurer and Executive Director Address of Head Office: 50 Martin Place, Sydney, New South Wales 2000, Australia Telephone: +612 8232 3333 Liaison Contact: Attorney-in-Fact: Shinji Nakamura, Attorney-at-law Anderson Mori & Tomotsune Address: Akasaka K-Tower 2-7, Motoakasaka 1-chome Minato-ku, Tokyo Telephone: +813 6888-1000 Type of Securities: Notes Address of Website for Announcement: http://www.jpx.co.jp/english/equities/products/tpbm/anno uncement/index.html Status of Submission of Annual Securities Reports or Issuer Filing Information: The Issuer (as defined below) has announced its Issuer Filing Information continuously for one year or more. Name of Arranger (for the purpose of ...
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Amendment to Program Information Credit Suisse Group AG 1 AMENDMENT TO PROGRAM INFORMATION Type of Information: Amendment to Program Information Date of Announcement 15 November 2017 Issuer Name: Credit Suisse Group AG Name and Title of Representative: Christian Schmid Managing Director Address of Head Office: Paradeplatz 8, CH-8001 Zurich, Switzerland Telephone: +41 44 333 33 89 Contact Person: Attorney-in-Fact: Hideyuki Sunasaka, Attorney-at-law Nobuyoshi Inujima, Attorney-at-law Motoki Saito, Attorney-at-law Hironobu Kumoto, Attorney-at-law Nagashima Ohno & Tsunematsu Address: JP Tower, 2-7-2 Marunouchi, Chiyoda-ku Tokyo 100-7036, Japan Telephone: +81 3 6889 7000 Type of Securities: Notes Address of Website for Announcement: http://www.jpx.co.jp/english/equities/products/tpbm/anno uncement/index.html Names of the Arrangers (for the purpose of this Amendment to Program Information): Credit Suisse Securities (Europe) Limited Status of Submission of Annual Securities Reports ...
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Amendment to Program Information Nomura Bank International plc Nomura Europe Finance N.V. i AMENDMENT TO PROGRAM INFORMATION Cover Type of Information: Amendment to Program Information Date of Filing: 13 November 2017 Company Name: 1) Nomura Bank International plc ("NBI") 2) Nomura Europe Finance N.V. ("NEF") Name and Title of Representative: 1) NBI Executive Director and Chief Operating Officer Zarah Wiles 2) NEF President & Managing Director Yuji Yamasaki Address of Registered Office: 1) NBI 1 Angel Lane, London EC4R 3AB, United Kingdom 2) NEF Rembrandt Tower 19th floor, Amstelplein 1, 1096 HA Amsterdam, The Netherlands Telephone: 1) NBI +44-0-20-7521-2000 2) NEF +31-20-561-2800 Liaison Contact: Attorney-in-Fact: Akiko Kimura, Attorney-at-law Hironori Shibata, Attorney-at-law Hiroto Ando, Attorney-at-law Nobutake Nemoto, Attorney-at-law Anderson Mori & Tomotsune Address: Akasaka K-Tower 2-7, Motoakasaka 1-chome Minato-ku, Tokyo ...
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Amendment to Program Information SpareBank 1 SR-Bank ASA i AMENDMENT TO PROGRAM INFORMATION Type of Information: Amendment to Program Information Date of Announcement: 8 November 2017 Issuer(s) Name: SpareBank 1 SR-Bank ASA (the "Issuer") Name and Title of Representative: Inge Reinertsen Chief Financial Officer Address of Head Office: Bjergsted Terrasse 1 N-4001 Stavanger, Norway Telephone: +47 51509450 Contact Person: Attorney-in-Fact: Hiroto Ando, Attorney-at-law Aina Ono, Attorney-at-law Anderson Mori & Tomotsune Address: Akasaka K-Tower 2-7, Motoakasaka 1-chome Minato-ku, Tokyo Telephone: +81-3-6888-1000 Type of Securities: Notes Address of Website for Announcement: http://www.jpx.co.jp/english/equities/products/tpbm/anno uncement/index.html Information on initial Program Information: Date of Filing: 20 July 2017 Scheduled Issuance Period: 21 July 2017 to 20 July 2018 Maximum Outstanding Issuance Amount:€10,000,000,000 This amendment, consisting ...
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Amendment to Program Information Santander UK Group Holdings plc i AMENDMENT TO PROGRAM INFORMATION Type of Information: Amendment to Program Information Date of Announcement: 1 November 2017 Issuer Name: Santander UK Group Holdings plc (the "Issuer") Name and Title of Representative: Tom Ranger Treasurer Address of Head Office: 2 Triton Square, Regent’s Place, London, NW1 3AN United Kingdom Telephone: +44- (0)207-756-4797 Contact Person: Attorney-in-Fact: Hironori Shibata, Attorney-at-law Hiroto Ando, Attorney-at-law Aina Ono, Attorney-at-law Anderson Mori & Tomotsune Address: Akasaka K-Tower 2-7, Motoakasaka 1-chome Minato-ku, Tokyo Telephone: +81-3-6888-1000 Type of Securities: Notes (the "Notes") Address of Website for Announcement: http://www.jpx.co.jp/english/equities/products/tpbm/anno uncement/index.html Information on initial Program Information: Date of Filing: 20 September 2017 Scheduled Issuance Period: 21 September 2017 to 20 September 2018...
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Overview of Earnings for Q2 FY2017 Your Exchange of Choice October 31, 2017 I. Business Developments * This document is not subject to the audit procedures required under the Financial Instruments and Exchange Act. Please note that its contents have not been audited on a consolidated basis in accordance with the Act as of the time of disclosure. 3.3 2.9 2.9 3.2 2.7 2.7 2.6 3.5 3.4 3.1 2.9 2.9 3.0 3.2 3.2 3.0 2.8 3.2 209 149 228 167 137 190 129 223 220 190 160 204 177 155 196 121 138 212 68 52 136 63 51 133 59 84 146 67 60 147 66 64 151 61 63 170 0 100 200 300 400 500 0.0 1.0 2.0 3.0 4.0 5.0 Apr May Jun ...
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October 30, 2017 Overview of Earnings for Q2 FY2017 Japan Exchange Group, Inc. I. Business Developments * This document is not subject to the audit procedures required under the Financial Instruments and Exchange Act. Please note that its contents have not been audited on a consolidated basis in accordance with the Act as of the time of disclosure. 3.3 2.9 2.9 3.2 2.7 2.7 2.6 3.5 3.4 3.1 2.9 2.9 3.0 3.2 3.2 3.0 2.8 3.2 209 149 228 167 137 190 129 223 220 190 160 204 177 155 196 121 138 212 68 52 136 63 51 133 59 84 146 67 60 147 66 64 151 61 63 170 0 100 200 300 400 500 0.0 1.0 2.0 3.0 4.0 5.0 Apr May Jun ...
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(Reference Translation) October 30, 2017 Japan Exchange Group, Inc. and Consolidated Subsidiaries Consolidated financial results for the six months ended September 30, 2017 (Based on IFRS), unaudited Company name: Japan Exchange Group, Inc. Stock Exchange Listings: Tokyo Code number: 8697 URL: http://www.jpx.co.jp/english/ Representative: Akira Kiyota, Director & Representative Executive Officer, Group CEO Contact: Mitsuo Miwa, Director, Corporate Communications Scheduled date of filing of quarterly report: November 13, 2017 Scheduled date of start of dividend payment: December 1, 2017 Preparation of 2Q earnings presentation material: Yes Holding of 2Q earnings announcement: Yes (For institutional investors and analysts) 1. Consolidated financial results for six months ended September 30, 2017 (from April 1, 2017 to September 30, 2017) (Figures less than a Millions of yen are omitted) (1) Consolidated operating results (cumulative) (Percentages represent year-on-year change) Operating revenue Operating income Income before income tax Net income...
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Specified Securities Information Credit Suisse Group AG SPECIFIED SECURITIES INFORMATION Type of Information: Specified Securities Information Date of Announcement: 20 October, 2017 Issuer Name: Credit Suisse Group AG Name and Title of Representative: Christian Schmid Managing Director Address of Head Office: Paradeplatz 8, CH-8001 Zurich, Switzerland Telephone: +41 44 333 33 89 Contact Person: Attorney-in-Fact: Hideyuki Sunasaka, Attorney-at-law Nobuyoshi Inujima, Attorney-at-law Motoki Saito, Attorney-at-law Hironobu Kumoto, Attorney-at-law Nagashima Ohno & Tsunematsu Address: JP Tower, 2-7-2 Marunouchi, Chiyoda-ku, Tokyo 100-7036, Japan Telephone: +81-3-6889-7000 Type of Securities: Notes Total Issuance Value of Securities or Total Sale Value of Securities: JPY 57,000,000,000 Contents of Program Information: Date of Announcement: 11 October, 2017 Scheduled Issuance Period: 11 October, 2017 to 10 October, 2018 Maximum Outstanding Issuance Amount: Unlimited Matters related to Financial Instruments Exchange...
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