Financial Dictionary

This dictionary contains:
24549
financial terms

Rule 13-d




Rule 13-d

Often used in risk arbitrage. Requirement under Section 13-d of the Securities Act of 1934 that a form must be filed with the SEC within ten business days of acquiring direct or beneficial ownership of 5% or more of any class of equity securities in a publicly held corporation.

RELATED TERMS
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Risk
The possibility of loss; the amount that one may lose when investing.

Arbitrage
Buying securities in one country, currency or market, and selling in another to take advantage of price differences.

Securities
Saleable papers, traded on stock exchanges, that yield an income (dividend, interest, etc.).

Class
In the case of derivative products, options of the same type-put or call-with the same underlying security.

Equity
1) Ownership interest in a firm. 2) The residual dollar value of a futures trading account, assuming its liquidation is at the going trade price. 3) In real estate, dollar difference between what a property could be sold for and debts claimed against it. 4) In a brokerage account, equity equals the value of the account's securities minus any debit balance in a margin account. 5) Shorthand for stock market investments.



SIMILAR TERMS
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Rule 14-d
Often used in risk arbitrage. Regulations and restrictions covering public tender offers and related disclosure requirements.

Rule 144
Restricts solicitation of buyers to complete the sell order of an insider (unless the firm is already a buyer); signified by a flashing "E" on Quotron.

Rule 144a
SEC rule allowing qualified institutional buyers to buy and trade unregistered securities.

Rule 405
NYSE codification of "know your customer" rules, which require that a customer's situation is suitable for any investment being made.

Rule 415
Permits corporations to file a registration for securities they intend to issue in the future when market conditions are favorable.

Rule lOb-5
An SEC rule that prohibits trading by insiders on material nonpublic information. This is also the rule under which a company may be sued for false or misleading disclosure.

Rule of 72
A formula used to determine the amount of time it will take for invested money to double at a given compound interest rate, which is 72 divided by the interest rate.

Rule of absolute priority
A condition of bankruptcy proceedings under which junior (subordinated) claim holders can receive no payment until senior (priority) claim holders are paid in full.

Rules of fair practice
Rules established by the NASD that lay down guidelines for just and equitable principles of trade and business in securities markets.



PREVIOUS AND NEXT TERMS
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Round trip transactions costs
Costs of completing a transaction, including commissions, market impact costs, and taxes.

Round turn
Procedure by which the long or short position of an individual is offset by an opposite transaction or by accepting or making delivery of the actual financial instrument or physical commodity.

Royalty
Payment for the right to use intellectual property or natural resources.

Royalty, royalties
Money paid to copyright owners and authors.

Rubber check
A check that bounces for lack of funds.

Rule 13-d

Rule 144
Restricts solicitation of buyers to complete the sell order of an insider (unless the firm is already a buyer); signified by a flashing "E" on Quotron.

Rule 144a
SEC rule allowing qualified institutional buyers to buy and trade unregistered securities.

Rule 14-d
Often used in risk arbitrage. Regulations and restrictions covering public tender offers and related disclosure requirements.

Rule 405
NYSE codification of "know your customer" rules, which require that a customer's situation is suitable for any investment being made.

Rule 415
Permits corporations to file a registration for securities they intend to issue in the future when market conditions are favorable.

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This dictionary contains 24549 terms.







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