S P O T L I G H T Pa R T I C I Pa N
Total Page:16
File Type:pdf, Size:1020Kb
Load more
Recommended publications
-
Financial Disclosure Report
Filing ID #10026155 financial DiScloSure report Clerk of the House of Representatives • Legislative Resource Center • 135 Cannon Building • Washington, DC 20515 filer information name: Hon. Donna Shalala Status: Member State/District: FL27 filing information filing type: New Filer Report filing year: 2018 filing Date: 05/14/2019 period covered: 01/01/2017– 12/31/2018 ScheDule a: aSSetS anD "unearneD" income asset owner Value of asset income income income type(s) current preceding year to year filing Citibank Accounts [BA] $50,001 - Interest Not $1 - $200 $100,000 Applicable Mednax Inc. [OP] None Capital Gains Not $100,001 - Applicable $1,000,000 DESCRIPTION: Options exercised in June 2018. Miami Rental Property [RP] $250,001 - Rent Not $15,001 - $500,000 Applicable $50,000 LOCATION: Miami, FL, US Morgan Stanley Active Assets Account (1) ⇒ $100,001 - Dividends Not None Blackstone Alternative Alpha Adv [HE] $250,000 Applicable Morgan Stanley Active Assets Account (2) ⇒ $15,001 - $50,000 None Algerian MLP ETF (AMLP) [EF] Morgan Stanley Active Assets Account (2) ⇒ None Dividends Not $201 - FT North American Energy INFRA (EMLP) [EF] Applicable $1,000 asset owner Value of asset income income income type(s) current preceding year to year filing Morgan Stanley Active Assets Account (2) ⇒ $50,001 - None ISHARES CORE MSCI EUROPE (IEUR) [EF] $100,000 Morgan Stanley Active Assets Account (2) ⇒ $15,001 - $50,000 Dividends Not $1,001 - ISHARES EDGE MSCI MIN VOL EAFE (EFAV) [EF] Applicable $2,500 Morgan Stanley Active Assets Account (2) ⇒ $15,001 - -
Subaru Limited Warranties
This is your Subaru Warranty and Maintenance Booklet. This booklet is issued to: Vehicle Model ____________________ Owner's Name Vehicle Identification Number (VIN) ------------- Street Address Engine Number ____________________ Warranty Start Date* __________________ City State ZIP For Demonstrators Only: Start Demo Date----------------- Owner's Signature Mileage at First Retail Sale -------------- Key Numbers -------------------- Issued by: Authorized Subaru Dealer Code PLEASE KEEP THIS BOOKLET IN YOUR CAR AT ALL TIMES AND MAKE fT AVAILABLE TO YOUR SUBARU DEALER IF WARRANTY SERVICE IS NEEDED. BE CERTAIN TO HAVE Street Address THE RECORD OF INSPECTION AND MAINTENANCE SERVICES CONTAINED IN THIS BOOKLET VALIDATED BY YOUR SUBARU DEALER OR SERVICE FACILITY WHO PERFORMS THOSE SERVICES. City State ZIP *Date of first retail sale or date first pla<?ed in demonstrator service, whichever is first. Dealer's Authorized Signature Foreword ...........................................................................................................................................................................................................................................................................2 New Vehicle Warranty Coverage Summary .....................................................................................................................................................................................................................3 SUBARU Limited Wammties ........................................................................................................................................................................................:.: -
THE ROYAL INSTITUTION for the ADVANCEMENT of LEARNING/Mcgill UNIVERSITY U.S
THE ROYAL INSTITUTION FOR THE ADVANCEMENT OF LEARNING/McGILL UNIVERSITY U.S. Equities │ As at December 31, 2018 U.S. Equities Above $500,000 Publicly Traded and Held in Segregated Accounts (in Cdn $) VIRTU FINANCIAL INC 2,345,616 ELLIE MAE INC 897,864 GRAND CANYON EDUCATION INC 2,115,372 WADDELL & REED FINANCIAL INC 896,182 MARKETAXESS HOLDINGS INC 1,729,046 CARNIVAL PLC 865,011 UNIVERSAL HEALTH SERVICES INC 1,714,559 US SILICA HOLDINGS INC 859,828 MAXIMUS INC 1,635,403 ON SEMICONDUCTOR CORP 827,561 EURONET WORLDWIDE INC 1,630,285 REGAL BELOIT CORP 774,962 IRIDIUM COMMUNICATIONS INC 1,577,559 INNOVIVA INC 738,830 GENTHERM INC 1,527,129 THOR INDUSTRIES INC 717,318 HURON CONSULTING GROUP INC 1,439,707 VISHAY INTERTECHNOLOGY INC 701,045 CHEMED CORP 1,343,330 CIENA CORP 694,714 ACUSHNET HOLDINGS CORP 1,258,954 SNAP-ON INC 674,686 CBOE GLOBAL MARKETS INC 1,245,303 PULTEGROUP INC 670,896 ENVESTNET INC 1,230,268 JETBLUE AIRWAYS CORP 651,462 CHARLES RIVER LABORATORIES 1,220,264 REV GROUP INC 649,247 HMS HOLDINGS CORP 1,199,586 OSHKOSH CORP 644,776 LAUREATE EDUCATION INC 1,195,560 AMC NETWORKS INC 629,623 FOX FACTORY HOLDING CORP 1,195,215 SHIRE PLC 619,182 MARRIOTT VACATIONS WORLDWID 1,194,826 LEAR CORP 604,088 INTL. FCSTONE INC 1,148,303 REGIONS FINANCIAL CORP 593,918 SOTHEBY'S 1,148,065 ALLISON TRANSMISSION HOLDING 587,728 RLI CORP 1,103,393 UNUM GROUP 585,857 SILICON LABORATORIES INC 1,098,345 AMERICAN RENAL ASSOCIATES HO 585,337 AZZ INC 1,051,760 DXP ENTERPRISES INC/TX 576,974 HERMAN MILLER INC 1,044,165 OWENS CORNING 570,645 TCF FINANCIAL -
Area Companies Offering Matching Gifts Below Is a Partial List of Area Companies Offering Matching Gifts
Area Companies Offering Matching Gifts Below is a partial list of area companies offering matching gifts. Please check to see if your employer is on the list and/or check with your company if they offer the program. If your employer offers a matching gift program, please request a matching gift form from your employer or fill out their online form. Matching gifts can be made to the Tredyffrin Township Libraries, Paoli Library or Tredyffrin Public Library. Aetna FMC Corporation PNC Financial Services AIG GATX PPG Industries Air Products and Chemicals, Inc. GE Foundation PQ Corporation Allstate Foundation GlaxoSmithKline Procter & Gamble Altria Group, Inc. Glenmede Prudential Financial American Express Company Hillman Company PVR Partners, L.P. American International Group, Inc. Houghton Mifflin Quaker Chemical Corporation AmeriGas Propane, Inc. IBM Corporation Quest Diagnostics AON J.P. Morgan Chase Ross Arkema Inc. John Hancock Saint-Gobain Corporation Automatic Data Processing Johnson & Johnson Sandmeyer Steel Company AXA Foundation, Inc. JP Morgan Chase SAP Matching Gift Program Axiom Data, Inc. Kaplan Inc. Schering-Plough Foundation Bank of America Kellogg Schroder Investment Management Bemis Company Foundation KPMG LLP Shell Oil Company Berwind Corporation Liberty Mutual State Farm Companies Foundation BlackRock Lincoln Financial Group Subaru of America Boeing Company May Department Stores Sun Life Financial BP McDonald's Sun Microsystems, Inc Bristol-Myers Squibb Company McKesson Foundation Sunoco, Inc. C. R. Bard, Inc. Merck & Co., Inc. Tenet Healthcare Foundation CertainTeed Merrill Lynch Texas Instruments Charles Schwab Merrill Lynch ACE INA Foundation Chevron Corporation Microsoft AXA Foundation Chubb Group of Insurance Companies Minerals Technologies Inc. Dow Chemical Company CIGNA Foundation Mobil Foundation Inc. -
U.S. Corporate Scores 2018
01 DISCLOSURE INSIGHT ACTION U.S. CORPORATE SCORES 2018 02 CORPORATE DISCLOSURE TO INVESTORS IN NORTH AMERICA 124 9 28 510 63 192 CONTENTS 03 04 CDP scoring methodology 2018 06 The A-List: North America 08 Corporate scores 34 Appendix I: CDP Activity classification system (cdp-acs) 40 Appendix II: Investor Members and Signatories 46 Appendix III: CDP Supply Chain Members Important Notice The contents of this report may be used by anyone providing acknowledgment is given to CDP. This does not represent a license to repackage or resell any of the data reported to CDP or the contributing authors and presented in this report. If you intend to repackage or resell any of the contents of this report, you need to obtain express permission from CDP before doing so. CDP has prepared the data and analysis in this report based on responses to the CDP 2018 information request. No representation or warranty (express or implied) is given by CDP as to the accuracy or completeness of the information and opinions contained in this report. You should not act upon the information contained in this publication without obtaining specific professional advice. To the extent permitted by law, CDP does not accept or assume any liability, responsibility or duty of care for any consequences of you or anyone else acting, or refraining to act, in reliance on the information contained in this report or for any decision based on it. All information and views expressed herein by CDP are based on their judgment at the time of this report and are subject to change without notice due to economic, political, industry and firm-specific factors. -
South Dakota Board of Pharmacy Wholesale Distributors; Active, in Good Standing As of October 5, 2018 This Document May Be Used As a Primary Source Verification
South Dakota Board of Pharmacy Wholesale Distributors; Active, in good standing as of October 5, 2018 This document may be used as a Primary Source Verification Full License Firm Name DBA Address 1 Address 2 City State ZIP Code Expiration Issued 600-2353 3M COMPANY dba 3M ESPE DENTAL PRODUCTS 2111 MCGAW AVE IRVINE CA 92614 12/31/2018 11/10/2014 3M COMPANY-CRITICAL & CHRONIC 600-1277 CARE SOLUTIONS DIVISION dba 3M 601 22ND AVE S BROOKINGS SD 57006 12/31/2018 03/19/2007 600-0107 A & B WELDING SUPPLY CO INC 914 E CHICAGO ST RAPID CITY SD 57701 12/31/2018 01/28/1992 600-1251 A.F. HAUSER INC 4401 E US HWY 30 VALPARAISO IN 46383 12/31/2018 01/03/2007 600-2272 A.P.I. SOLUTIONS INC 25309 FRIENDSHIP RD DAPHNE AL 36526 12/31/2018 03/06/2014 ABBVIE PATIENT ASSISTANCE 600-1372 FOUNDATION 1 N WAUKEGAN RD D-ZZ22, BLDG AP34 NORTH CHICAGO IL 60064 12/31/2018 11/20/2007 600-2058 ABBVIE US LLC 1 N WAUKEGAN RD D-GS02 BLDG AP5 NORTH CHICAGO IL 60064 12/31/2018 07/19/2012 600-2299 ABRAXIS BIOSCIENCE LLC 86 MORRIS AVE SUMMIT NJ 07901 12/31/2018 05/22/2014 600-2952 ACACIA PHARMA INC 440 STEVENS AVE, SUITE 200 SOLANA BEACH CA 92075 12/31/2019 09/27/2018 600-2358 ACADIA PHARMACEUTICALS INC 3611 VALLEY CENTRE DR STE 300 SAN DIEGO CA 92130 12/31/2018 11/19/2014 600-2409 ACARIAHEALTH SOLUTIONS INC 6610 W SAM HOUSTON PKWY N#330 HOUSTON TX 77041 12/31/2018 04/06/2015 600-1552 ACCERA INC 3005 CENTER GREEN DR #205 BOULDER CO 80301 12/31/2018 01/08/2009 600-2657 ACCORD BIOPHARMA INC 1009 SLATER RD STE 210-B DURHAM NC 27703 12/31/2018 11/07/2016 600-1472 ACCORD HEALTHCARE -
Report Title Election Report for Cases Closed Region(S) (Report Defaults
Report Title Election Report for Cases Closed Region(s) Election Held Date Closed Date (Report Defaults) Between (Report Defaults) and (Report Defaults) Between 10/1/2016 and 9/30/2017 12:00:00 AM Case Type Case Name Labor Org 1 Name State City (Report Defaults) (All Choices) (All Choices) (Report Defaults) (Report Defaults) Election Report for Cases Closed NLRB Elections - Summary Time run: 10/16/2017 8:16:17 AM Case Type No. of Elections Percent Won by Union Total Employees Eligible to Vote Total Valid Votes for Total Valid Votes Against Total Elections 1391 65.0% 92,653 43,607 31,642 RC 1193 71.0% 79,750 37,631 26,806 RD 172 32.0% 12,319 5,757 4,573 RM 26 30.0% 584 219 263 NLRB Elections with 1 Labor Organization Time run: 10/16/2017 8:16:17 AM Region Case Number Case Name Case City State Election Number Valid Votes Labor Org 1 Name Stipulated Certification of Certification Case Closed Type Held Date of Votes for / Consent Representative of Results Closed Reason Eligible Against Labor / Directed Date (Win) Date (Loss) Date Voters Org 1 01, 34 01-RC-181492 GREEN LINE GROUP INC. RC DEDHAM 9/30/2016 211 57 93 INTERNATIONAL Directed WON 12/21/2016 Certific. of BROTHERHOOD OF Representative MA ELECTRICAL WORKERS LOCAL 1228, AFL-CIO 01, 34 01-RC-182252 RENZENBERGER, INC. RC WORCHESTER 9/12/2016 26 2 7 UNITED STEEL, PAPER AND Stipulated WON 10/6/2016 Certific. of FORESTRY, RUBBER, Representative MA MANUFACTURING, ENERGY, ALLIED INDUSTRIAL AND SERVICE WORKE 01, 34 01-RC-182433 J's Associates, LLC RC Springfield 9/8/2016 12 2 8 Area Trades Council of New Stipulated WON 10/3/2016 Certific. -
March 31, 2021
Units Cost Market Value US Equity Index Fund US Equities 95.82% Domestic Common Stocks 10X GENOMICS INC 126 10,868 24,673 1LIFE HEALTHCARE INC 145 6,151 4,794 2U INC 101 5,298 4,209 3D SYSTEMS CORP 230 5,461 9,193 3M CO 1,076 182,991 213,726 8X8 INC 156 2,204 4,331 A O SMITH CORP 401 17,703 28,896 A10 NETWORKS INC 58 350 653 AAON INC 82 3,107 5,132 AARON'S CO INC/THE 43 636 1,376 ABBOTT LABORATORIES 3,285 156,764 380,830 ABBVIE INC 3,463 250,453 390,072 ABERCROMBIE & FITCH CO 88 2,520 4,086 ABIOMED INC 81 6,829 25,281 ABM INDUSTRIES INC 90 2,579 3,992 ACACIA RESEARCH CORP 105 1,779 710 ACADIA HEALTHCARE CO INC 158 8,583 9,915 ACADIA PHARMACEUTICALS INC 194 6,132 4,732 ACADIA REALTY TRUST 47 1,418 1,032 ACCELERATE DIAGNOSTICS INC 80 1,788 645 ACCELERON PHARMA INC 70 2,571 8,784 ACCO BRANDS CORP 187 1,685 1,614 ACCURAY INC 64 483 289 ACI WORLDWIDE INC 166 3,338 6,165 ACTIVISION BLIZZARD INC 1,394 52,457 133,043 ACUITY BRANDS INC 77 13,124 14,401 ACUSHNET HOLDINGS CORP 130 2,487 6,422 ADAPTHEALTH CORP 394 14,628 10,800 ADAPTIVE BIOTECHNOLOGIES CORP 245 11,342 10,011 ADOBE INC 891 82,407 521,805 ADT INC 117 716 1,262 ADTALEM GLOBAL EDUCATION INC 99 4,475 3,528 ADTRAN INC 102 2,202 2,106 ADVANCE AUTO PARTS INC 36 6,442 7,385 ADVANCED DRAINAGE SYSTEMS INC 116 3,153 13,522 ADVANCED ENERGY INDUSTRIES INC 64 1,704 7,213 ADVANCED MICRO DEVICES INC 2,228 43,435 209,276 ADVERUM BIOTECHNOLOGIES INC 439 8,321 1,537 AECOM 283 12,113 17,920 AERIE PHARMACEUTICALS INC 78 2,709 1,249 AERSALE CORP 2,551 30,599 31,785 AES CORP/THE 1,294 17,534 33,735 AFFILIATED -
YOUR DONATION to PHCA Ashland Bellsouth Corp
Argonaut Group. Bass, Berry and Sims, PLC Butler Manufacturing Co. Ariel Capital Management Baxter International Cadence Design Systems Aristokraft Bay Networks Calex Manufacturing Co. Arkema BEA Systems Calpine, Corp. Armstrong World Industries Bechtel Group CambridgeSoft Armtek, Corp. Becton Dickinson and Co. Campbell Soup Foundation Arrow Electronics Belden Wire and Cable Co. Canadian Pacific Railway YOUR DONATION to PHCA Ashland BellSouth Corp. Capital Group Cos. Aspect Telecommunications Bemis Co. Capital One Services Companies with Matching Gift Programs Associates Corp. of North BeneTemps Cardinal Health (contact your HR Dept. for instructions) America L.M. Berry and Co. Cargill Assurant Health BHP Minerals International Carnegie Corp. of New York Astoria Federal Savings Binney and Smith Castrol North America AAI Corp. Amerada Hess Corp. AstraZenca Bituminous Casualty Corp. Carson Products Co. Abbott Laboratories Ameren Corp. AT&T Black and Decker Corp. Catalina Marketing, Corp. ABN AMBRO North American Electric Power Atlantic City Electric Co. Blount Foundation Catepillar America American Express Co. Atlantic Data Services Blue Bell Central Illinois Light Co. Accenture American General Corp. Autodest BMC Industries Chesapeake Corp. ACF Industries American Honda Motor Corp. Automatic Data Processing BMO Financial Group, US ChevronTexaco Corp. Acuson American International Group AVAYA BOC Group Chicago Mercantile Exchange ADC Telecommunications American National Bank Avery Dennison, Corp. Boeing Co. Chicago Title and Trust Co. Addison Weley Longman American Optical Corp. Avon Products Bonneville International Corp. Chicago Tribune Co. Adobe Systems American Standard AXA Financial Borden Family of Cos. Chiquita Brands International Advanced Micro Devices American States Insurance Baker Hughes Boston Gear Chubb and Sone AEGON USA American Stock Exchange Ball Corp. -
DTC Participant Alphabetical Listing June 2019.Xlsx
DTC PARTICPANT REPORT (Alphabetical Sort ) Month Ending - June 30, 2019 PARTICIPANT ACCOUNT NAME NUMBER ABN AMRO CLEARING CHICAGO LLC 0695 ABN AMRO SECURITIES (USA) LLC 0349 ABN AMRO SECURITIES (USA) LLC/A/C#2 7571 ABN AMRO SECURITIES (USA) LLC/REPO 7590 ABN AMRO SECURITIES (USA) LLC/ABN AMRO BANK NV REPO 7591 ALPINE SECURITIES CORPORATION 8072 AMALGAMATED BANK 2352 AMALGAMATED BANK OF CHICAGO 2567 AMHERST PIERPONT SECURITIES LLC 0413 AMERICAN ENTERPRISE INVESTMENT SERVICES INC. 0756 AMERICAN ENTERPRISE INVESTMENT SERVICES INC./CONDUIT 7260 APEX CLEARING CORPORATION 0158 APEX CLEARING CORPORATION/APEX CLEARING STOCK LOAN 8308 ARCHIPELAGO SECURITIES, L.L.C. 0436 ARCOLA SECURITIES, INC. 0166 ASCENSUS TRUST COMPANY 2563 ASSOCIATED BANK, N.A. 2257 ASSOCIATED BANK, N.A./ASSOCIATED TRUST COMPANY/IPA 1620 B. RILEY FBR, INC 9186 BANCA IMI SECURITIES CORP. 0136 BANK OF AMERICA, NATIONAL ASSOCIATION 2236 BANK OF AMERICA, NA/GWIM TRUST OPERATIONS 0955 BANK OF AMERICA/LASALLE BANK NA/IPA, DTC #1581 1581 BANK OF AMERICA NA/CLIENT ASSETS 2251 BANK OF CHINA, NEW YORK BRANCH 2555 BANK OF CHINA NEW YORK BRANCH/CLIENT CUSTODY 2656 BANK OF MONTREAL, CHICAGO BRANCH 2309 BANKERS' BANK 2557 BARCLAYS BANK PLC NEW YORK BRANCH 7263 BARCLAYS BANK PLC NEW YORK BRANCH/BARCLAYS BANK PLC-LNBR 8455 BARCLAYS CAPITAL INC. 5101 BARCLAYS CAPITAL INC./LE 0229 BB&T SECURITIES, LLC 0702 BBVA SECURITIES INC. 2786 BETHESDA SECURITIES, LLC 8860 # DTCC Confidential (Yellow) DTC PARTICPANT REPORT (Alphabetical Sort ) Month Ending - June 30, 2019 PARTICIPANT ACCOUNT NAME NUMBER BGC FINANCIAL, L.P. 0537 BGC FINANCIAL L.P./BGC BROKERS L.P. 5271 BLOOMBERG TRADEBOOK LLC 7001 BMO CAPITAL MARKETS CORP. -
Pinnacle Foods Inc. 2016 Annual Report
PINNACLE FOODS INC. FOODS PINNACLE 2016 ANNUAL REPORT ANNUAL 2016 399 Jefferson Road • Parsippany, NJ 07054 PINNACLE FOODS INC. 2016 ANNUAL REPORT pinnaclefoods.com 98199_Pinnacle_Cover.indd 1 4/5/17 3:36 PM 2016 HIGHLIGHTS CORPORATE & INVESTOR INFORMATION (in millions except per share) 2015 2016 Change Net Sales $2,656 $3,128 +17.8% Headquarters Dividends Pinnacle Foods Inc. Dividends are paid quarterly in January, Adjusted Gross Profit $750 $921 +22.8% 399 Jefferson Road April, July and October. % Net Sales 28.2% 29.4% +120 bps Parsippany, NJ 07054 (973) 541-8620 Adjusted EBIT $443 $539 +21.6% www.pinnaclefoods.com Independent Registered Public Accounting Firm % Net Sales 16.7% 17.2% +50 bps Deloitte & Touche LLP Adjusted Net Earnings $225 $254 +12.8% Stock Exchange Listing Parsippany, NJ New York Adjusted Diluted EPS $1.92 $2.15 +12.0% Ticker Symbol: PF Diluted Shares Outstanding 117.3 118.2 +0.8% Corporate News and Reports A wide range of information about the Free Cash Flow1 $265 $387 +$122 Investor Relations Company, including news releases, Maria Sceppaguercio financial reports, investor information, Senior Vice President, Investor Relations corporate governance and career email: [email protected] opportunities are available on our website: website: http://investors.pinnaclefoods.com www.pinnaclefoods.com 2016 was another good year (973) 434-2924 for Pinnacle, demonstrating the Printed materials such as the Annual Report enduring nature of our business on SEC Form 10-K and quarterly reports on model and value creation strategy. Virtual Annual Meeting of Stockholders SEC Form 10-Q may be requested via our The annual meeting of stockholders website or by calling (973) 434-2924. -
Capped Buffered Return Enhanced Insight Notes Linked to the J.P
The information in this preliminary pricing supplement is not complete and may be changed. This preliminary pricing supplement is not an offer to sell nor does it seek an offer to buy these securities in any jurisdiction where the offer or sale is not permitted. Subject to completion dated June 2, 2021 June , 2021 Registration Statement Nos. 333-236659 and 333-236659-01; Rule 424(b)(2) JPMorgan Chase Financial Company LLC Structured Investments Capped Buffered Return Enhanced Insight Notes Linked to the J.P. Morgan Basket of Reference Stocks with Potential Exposure to Inflation (June 2021) due July 6, 2023 Fully and Unconditionally Guaranteed by JPMorgan Chase & Co. The notes are designed for investors who seek a return of 1.50 times any appreciation of the J.P. Morgan Basket of Reference Stocks with Potential Exposure to Inflation (June 2021) of 45 unequally weighted Reference Stocks, which we refer to as the Basket, up to a maximum return of at least 21.00%, at maturity. The Reference Stocks in the Basket represent the common stocks / common shares / ordinary shares of 45 U.S.-listed companies with potential exposure to inflation in the United States. Investors should be willing to forgo interest and dividend payments and be willing to lose up to 90.00% of their principal amount at maturity. The notes are unsecured and unsubordinated obligations of JPMorgan Chase Financial Company LLC, which we refer to as JPMorgan Financial, the payment on which is fully and unconditionally guaranteed by JPMorgan Chase & Co. Any payment on the notes is subject to the credit risk of JPMorgan Financial, as issuer of the notes, and the credit risk of JPMorgan Chase & Co., as guarantor of the notes.