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Standard Reverse Convertible Securities

3 Months
Current Offerings:
 Issuer   Underlying   Ticker   Coupon   Barrier   Payment   Maturity   CUSIP    Ratings   Trade Date  Legal Doc   Additional Info 
RBC Alcoa Inc AA 10.00% 80% Monthly 6/18/2010 78008HZF0 Aaa / AA- 3/15/2010
RBC Arch Coal, Inc ACI 10.25% 80% Monthly 6/18/2010 78008HZG8 Aaa / AA- 3/15/2010
RBC ATP Oil and Gas Corp ATPG 22.25% 70% Monthly 6/18/2010 78008HZH6 Aaa / AA- 3/15/2010
RBC Yamana Gold Inc AUY 11.00% 80% Monthly 6/18/2010 78008HZJ2 Aaa / AA- 3/15/2010
RBC Continental Airlines Inc CAL 18.25% 75% Monthly 6/18/2010 78008HZK9 Aaa / AA- 3/15/2010
RBC Delta Air Lines, Inc DAL 16.75% 75% Monthly 6/18/2010 78008HZL7 Aaa / AA- 3/15/2010
RBC DryShips Inc DRYS 13.00% 75% Monthly 6/18/2010 78008HZM5 Aaa / AA- 3/15/2010
RBC Elan Corp PLC ELN 13.00% 80% Monthly 6/18/2010 78008HZN3 Aaa / AA- 3/15/2010
RBC Freeport McMoRan FCX 10.00% 80% Monthly 6/18/2010 78008HZP8 Aaa / AA- 3/15/2010
RBC First Solar, Inc FSLR 11.00% 75% Monthly 6/18/2010 78008HZQ6 Aaa / AA- 3/15/2010
RBC Fuel Systems Solutions FSYS 26.75% 75% Monthly 6/18/2010 78008HZR4 Aaa / AA- 3/15/2010
RBC Genworth Financial Inc GNW 15.00% 80% Monthly 6/18/2010 78008HZS2 Aaa / AA- 3/15/2010
RBC Hutchinson Tech Inc HTCH 18.50% 70% Monthly 6/18/2010 78008HZT0 Aaa / AA- 3/15/2010
RBC Joy Global Inc JOYG 10.00% 75% Monthly 6/18/2010 78008HZU7 Aaa / AA- 3/15/2010
RBC KeyCorp KEY 10.00% 80% Monthly 6/18/2010 78008HZV5 Aaa / AA- 3/15/2010
RBC Las Vegas Sands Corp LVS 15.75% 75% Monthly 6/18/2010 78008HZW3 Aaa / AA- 3/15/2010
RBC Northern Oil and Gas, Inc NOG 14.50% 75% Monthly 6/18/2010 78008HZX1 Aaa / AA- 3/15/2010
RBC Palm, Inc PALM 34.25% 65% Monthly 6/18/2010 78008HZY9 Aaa / AA- 3/15/2010
RBC Rex Energy Corp REXX 14.50% 75% Monthly 6/18/2010 78008HZZ6 Aaa / AA- 3/15/2010
RBC Sprint Nextel Corp S 17.50% 75% Monthly 6/18/2010 78008HA26 Aaa / AA- 3/15/2010
RBC United States Steel Corp X 13.25% 75% Monthly 6/18/2010 78008HA34 Aaa / AA- 3/15/2010

6 Months
Current Offerings:
 Issuer   Underlying   Ticker   Coupon   Barrier   Payment   Maturity   CUSIP    Ratings   Trade Date  Legal Doc   Additional Info 
RBC Market Vectors Gold ETF GDX 10.00% 80% Monthly 9/20/2010 78008HB25 Aaa / AA- 3/15/2010
RBC Bank of America Corp BAC 10.00% 85% Monthly 9/20/2010 78008HA59 Aaa / AA- 3/15/2010
RBC Green Mountain Coffee GMCR 11.50% 80% Monthly 9/20/2010 78008HB33 Aaa / AA- 3/15/2010
RBC Hartford Financial Services HIG 11.00% 80% Monthly 9/20/2010 78008HB41 Aaa / AA- 3/15/2010
RBC The Mosaic Co MOS 10.75% 80% Monthly 9/20/2010 78008HB58 Aaa / AA- 3/15/2010
RBC Peabody Energy Corp BTU 10.25% 75% Monthly 9/20/2010 78008HA67 Aaa / AA- 3/15/2010
RBC Patterson UTI Energy PTEN 12.25% 80% Monthly 9/20/2010 78008HB66 Aaa / AA- 3/15/2010
RBC Citigroup Inc C 11.50% 80% Monthly 9/20/2010 78008HA75 Aaa / AA- 3/15/2010
RBC Potash Corp POT 10.75% 80% Monthly 9/20/2010 78008HB74 Aaa / AA- 3/15/2010
RBC Research in Motion RIMM 10.50% 80% Monthly 9/20/2010 78008HB82 Aaa / AA- 3/15/2010
RBC Chesapeake Energy CHK 10.00% 80% Monthly 9/20/2010 78008HA83 Aaa / AA- 3/15/2010
RBC Ford Motor Co F 11.00% 80% Monthly 9/20/2010 78008HA91 Aaa / AA- 3/15/2010
RBC Allegheny Tech, Inc ATI 12.25% 75% Monthly 9/20/2010 78008HA42 Aaa / AA- 3/15/2010



Index Linked CDs

Current Offerings:
 Issuer   Maturity   Strategy   Coupon   Underlying   Protection   Participation   Barrier   Calculation   CUSIP    Ratings   Trade Date  Legal Doc   Additional Info 
JP Morgan 3/31/2015 5yr Income Opportunity CD 0%-[4-8]% min/max s/a coupon 10 Stock Basket 100% Semi Annual Pay 0%-[4-8]% min/max s/a coupon Point to Point 48123YGJ9 FDIC Insured 3/24/2010
Citibank N.A. 3/29/2016 6yr DJIA Index Linked CD see terms Dow Jones Industrial Average (INDU) 100% 100% Participation [40-50]% max return cap Point to Point 172986BM2 FDIC Insured 3/25/2010
Wells Fargo Bank N.A. 3/31/2016 6yr DJUBS Commodity Linked CD [5-6]% guarenteed min return Dow Jones UBS Commodity Index (DJUBS) 100% 100% Participation 55% max return cap Point to Point 949748XT9 FDIC Insured 3/24/2010
JPMorgan Chase Bank 3/19/2025 15yr-nc1yr Range Accrual Step-Up CD 5-7-9% Step-Up USD 6mo Libor 100% Quarterly Pay n/a USD 6mo Libor < 6.00% 48123YGV2 FDIC Insured 3/16/2010
JP Morgan 3/31/2025 15yr-nc1yr Steepner CD 8.00% 10yr and 2yr CMS minus 12.5bps 100% Quarterly Pay 8.00% cap 4 x (10s-2s-12.5bps) 48123YGX8 FDIC Insured 3/26/2010


Structured Notes


 

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Current Offerings:
 Issuer   Maturity   Strategy   Coupon   Underlying   Protection   Participation   Barrier   Calculation   CUSIP    Ratings   Trade Date  Legal Doc   Additional Info 
Morgan Stanley 3/16/2030 20yr-nc1yr Dual Condition Non-Inversion Note 10.50% 30yr-2yr CMS and Russell 2000 Index 100% Monthly Pay n/a Dual Condition 61745E4B4 A / A2 3/11/2010

 
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