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Issuer

Issuer: The term “Issuer” means

1 . Small Business Lending Fund. Senior Preferred Stock. Summary of Terms. Issuer: The term “Issuer” means: (i) an insured depository institution with total consolidated assets of less than $10 billion that is not controlled by a bank holding company or savings and loan holding company and ...

Subchapter S Corporation Senior Securities Issuer: The term ...

Small Business Lending Fund • Summary of Terms • Subchapter S Corporations (05/09/11) 1 . Small Business Lending Fund. Subchapter S Corporation Senior Securities

Rate Review Instructions Manual Health Insurance Issuer ...

1 1. O VERVIEW Section 2794 of the Public Health Service Act (PHS Act), as added by Section 1003 of the Patient Protection and Affordable Care Act (Affordable Care Act), establishes a process for the review of unreasonable rate increases in premiums for health insurance coverage.

Health Insurance Issuers Rate Review Training

Health Insurance Issuer Rate Review Training Module 1: Rate Review Reporting Requirements and Web-Based Data Submission Training Module 1: Rate Review Reporting Requirements and Web-Based Data Submission Training

This frequently asked questions (FAQ) document provides ...

Note: An issuer must have a legitimate reason to store sensitive authentication data (sensitive authentication data cannot be stored solely because it is convenient), and must protect such

Name of Broker-Dealer

Name of Issuer . Address. City State Zip Code : Tax ID Number (FEIN)

2. Address Portfolio(s) Class(es) Fiscal Year End of the ...

The issuer elects to have its notice filing made effective upon filing. The issuer elects to have its notice filing period begin with SEC effectiveness and thereby agrees to provide the above

Form 6-K

report of foreign private issuer pursuant to rule 13a-16 or 15d-16 under the securities exchange act of 1934 for the month of _____, 20___.

Rule 405 - Determination regarding ineligible issuer status

Re: *SEC v. J.P. Morgan Securities LLC (f/k/a J.P. Morgan Securities Inc.) (HO-11075) Rule 405 - Determination regarding ineligible issuer status

Constellation Investment Ltd. (the "Issuer") Structured ...

27 October 2008 To: The investors in the Notes Dear Sir or Madam Constellation Investment Ltd. (the "Issuer") Structured Retail Notes Series 35 HKD Callable Credit-Linked Notes due 2011 (ISIN : XS0243070694) (the "Notes") We would like to inform you that the Notes will be early redeemed on the ...