- Industria: Financial services
- Number of terms: 10107
- Number of blossaries: 0
- Company Profile:
A measure of the performance generated during a determined time period. Mutual funds are required to disclose returns in their prospectus on a calendar year basis, and on an average annual basis for set time periods, including average annual returns before and after taxes.
Industry:Financial services
The number of employee stock options you have used to purchase shares or sold for cash.
Industry:Financial services
Net Asset Value represents the market value of a single share of an open end mutual fund. It is calculated by subtracting the fund's liabilities from its assets, and then dividing the result by the number of shares outstanding.
Industry:Financial services
Describes the annualized return of the Covered Call Option if it is Assigned at Maturity. The return is defined by: (Option Premium + if positive (Strike Price - Market Price))/Market Price. The annualized return is determined by multiplying the return by 12 and dividing it by the number of months left to maturity (rounded up).
Industry:Financial services
The number of employee stock options granted to you by your company.
Industry:Financial services
The number of contracts held long or short in the account.
Industry:Financial services
Also called the option premium, the price paid by the buyer of the options contract for the right to buy or sell a security at a specified price in the future.
Industry:Financial services
The number of employee stock options you wish to model or exercise.
Industry:Financial services
The number of employee stock options that are available for exercise in accordance with the applicable vesting schedule.
Industry:Financial services
The number of employee stock options or SAR units you wish to model or exercise.
Industry:Financial services