FREE counter and Web statistics from sitetracker.com
Structured Products
JVB Financial
Reverse Convertible Securities
Index Linked CDs
Structured Notes
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
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
Back to the top
JVB Financial Group, LLC, member
FINRA
,
SIPC
About Us
Contact Us
Privacy Statement
Business Continuity Plan
Disclaimer