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Redeemable
Able to be redeemed prior to Maturity . The Term usually applies to bonds and Convertible securities. The Issuer of a Callable security has to state the conditions under which the security may be called at the time of issue. For most securities, there is a certain initial time period in which the security cannot be called. A bond will usually be called when market Interest rates fall below the Yield being Paid on the bond (bonds are usually called when the price rises to a certain point). To reflect this Risk , a Callable security is usually priced lower than a Non-callable security. also called callable.
Related Terms: 20
Call , Callable , Convertible , ECU , Issuer , Interest , Interest rate , Low , Maturity , Market , Non-callable , Owe , Point , Paid , Redeem , Risk , SEC , Sue , Term , Yield
Semi Related Terms: 930 CLICK HERE TO VIEW
10-K ,
52-week low ,
Allowance for depreciation ,
Average collection period ,
Adjustable rate ,
Accrual bond ,
Accrual of discount ,
Accrued interest ,
Accrued market discount ,
Accumulation bond ,
Agency bond ,
Agency security ,
American Municipal Bond Assurance Corporation ,
Amortization of premium ,
Asked price ,
Asking price ,
Asset-backed security ,
Assumed bond ,
At par ,
Authority bond ,
All or any part ,
At best ,
At call ,
Adjustable rate preferred stock ,
Adjusted futures price ,
All-risks coverage ,
At risk ,
Add-on service ,
Abstract of title ,
Action to quiet title ,
As is ,
Assignment to creditors ,
Attorney in fact ,
Adjustable Rate Mortgage ,
Advance rate ,
Amortization term ,
Annual Percentage Rate ,
Applicable federal rate ,
Assignment of mortgage ,
A shares ,
Assets under management ,
Average price per share ,
Aggregate exercise price ,
At the money ,
Absorption rate ,
Across the board ,
Additional paid-in capital ,
Active market ,
Against the box ,
At the bell ,
At the close ,
At the figure ,
At the full ,
At the market ,
At the opening order ,
Auction market ,
Automated Pricing and Reporting System ,
Away from the market ,
Below the line ,
Books of final entry ,
Books of original entry ,
Book value per share ,
Burn rate ,
Banking Act of 1933 ,
Baby bond ,
Balloon maturity ,
Bearer bond ,
Below par ,
Benchmark interest rate ,
Bid-to-cover ratio ,
Blanket bond ,
Bond anticipation note ,
Bond Buyer ,
Bond circular ,
Bond crowd ,
Bond equivalent yield ,
Bond fund ,
Bond indenture ,
Bond market ,
Bond ordinance ,
Bond quote ,
Bond resolution ,
Bond swap ,
Book-entry security ,
Brady bond ,
Bullet bond ,
Bureau of Public Debt ,
Busted convertible ,
Brought over the wall ,
Buying on margin ,
Buy on close ,
Buy on opening ,
Buy the book ,
Basic earnings per share ,
Balance of payments ,
Bank Rate ,
Base interest rate ,
Base period ,
Basis point ,
Bear market ,
Board of Governors ,
Bulldog market ,
Breaking the syndicate ,
Bill of exchange ,
Bill of sale ,
Breach of trust ,
By the book ,
Bank term loan ,
Base rate ,
Blended rate ,
Broker loan rate ,
Benchmark risk ,
B shares ,
Buy and write ,
Blackout period ,
Break-even tax rate ,
Breadth-of-market theory ,
Beat the gun ,
Bull market ,
Capitalized interest ,
Cost Of Goods Sold ,
Cost of sales ,
Compound interest ,
Cabinet security ,
Call ,
Callable ,
Callable bond ,
Call date ,
Called away ,
Called bond ,
Call price ,
Call protection ,
Call risk ,
Capital market ,
Catastrophe bond ,
CAT bond ,
Certificateless municipal bond ,
Certificate of Participation ,
Collateralized Bond Obligation ,
Combination bond ,
Committee on Uniform Securities Identification Procedures ,
Commodity-backed bond ,
Companion bonds ,
Consolidated bond ,
Conversion parity price ,
Conversion price ,
Convertible ,
Convertible debenture ,
Convertible debt ,
Convertible Eurobond ,
Convertible security ,
Corporate bond equivalent ,
Coupon bond ,
Coupon rate ,
Coupon yield ,
Credit risk ,
Current coupon bond ,
Current issue ,
Current market value ,
Current maturity ,
Current production rate ,
Current yield ,
Call money rate ,
Code of procedure ,
Convertible currency ,
Capitalization of income ,
Capitalization rate ,
Cap rate ,
Civilian unemployment rate ,
Consumer Price Index ,
Cost of Living Adjustment ,
Cost-of-living index ,
Council of Economic Advisers ,
Cash and carry trade ,
Cash market ,
Cash price ,
Chasing the market ,
Cheapest to deliver ,
Chicago Board of Trade ,
Contract market ,
Country risk ,
Convertible term insurance ,
Cost-of-living rider ,
Callable stock ,
Certificate of stock ,
Cost of carry ,
Certificate of title ,
Contract for deed ,
Cancellation of debt ,
Certificate of Claim ,
Consumer interest ,
Convertible ARM ,
Cost of debt capital ,
Cost of funds ,
Cure period ,
C shares ,
Call option ,
Call ratio backspread ,
Call swaption ,
Class of options ,
Close to the money ,
Counterparty risk ,
Covered call ,
Certificate of Occupancy ,
Cloud on title ,
Cash or Deferred Arrangement ,
Choice market ,
Class A Shares ,
Class B Shares ,
Convertible arbitrage ,
Crash of 1929 ,
Crash of 1987 ,
Child and dependent care credit ,
Coefficient of determination ,
Cup and handle ,
Certificate of delivery ,
Close a position ,
Close market ,
Closing price ,
Continuous market ,
Cornering the market ,
Curbs in ,
Deposit in transit ,
Date of issue ,
Date of payment ,
Dealer market ,
Debt market ,
Deep-discount bond ,
Deferred interest bond ,
Digested security ,
Direct issuer ,
Discount bond ,
Discounted bond ,
Dollar bond ,
Dollar price ,
Drawn securities ,
Droplock security ,
Dual currency bond ,
Division of Enforcement ,
Division of Investment Management ,
Division of Market Regulation ,
Do Not Reduce ,
Date of record ,
Distribution period ,
Dividend in arrears ,
Dividend rate ,
Desk (the) ,
Discount rate ,
Division of labor ,
Delivery point ,
Delivery price ,
Derivative security ,
Decreasing term life ,
De-escalation clause ,
De facto ,
Doing business as ,
Durable Power of Attorney ,
Date of maturity ,
Debtor in possession ,
Debtor-in-possession financing ,
Deed of Release ,
Deed of Trust ,
Default risk ,
Discharge of bankruptcy ,
Discharge of lien ,
Due-on-sale clause ,
Deep in the money ,
Deep out of the money ,
Deed of Surrender ,
Department of Housing and Urban Development ,
Distressed security ,
Diversifiable risk ,
Dogs of the Dow ,
Daily low ,
Deep market ,
Depth of market ,
Discount yield ,
Double auction market ,
Downside risk ,
Effective annual interest rate ,
Eurodollar certificate of deposit ,
Exact interest ,
Equity risk premium ,
Escrowed to maturity ,
Eurodollar bond ,
Euroyen bond ,
Event risk ,
Exchangeable security ,
Exempt security ,
External market ,
Either-or order ,
ECU ,
Exchange rate ,
Earnings yield ,
Economic growth rate ,
E-mini ,
Exchange for futures ,
Exchange for physical ,
Exchange of spot ,
Emerging market ,
Excluded risk ,
Effective tax rate ,
Ex-all ,
Explicit interest ,
Expiration time ,
Employee Retirement Income Security Act of 1974 ,
First In First Out ,
Federal Savings and Loan Association ,
Fidelity bond ,
First call date ,
Flat yield curve ,
Flight to quality ,
Floating-rate bond ,
Flow of funds ,
Free bond ,
Full price ,
Federal Call ,
Fill or kill ,
Front-ending an order ,
Floating exchange rate ,
Foreign exchange rate ,
Forward exchange rate ,
Forward P/E ,
Fully diluted earnings per share ,
Factors of production ,
Favorable balance of trade ,
Federal Reserve Discount Rate ,
Free market ,
Free market price ,
Forward price ,
Futures price ,
Fee-for-service ,
Fair market value ,
Form 8-K ,
Form S-1 ,
Floating security ,
Friends and family offering ,
Fully distributed issue ,
Financial risk ,
Fixed rate ,
Fixed-rate loan ,
Fixed-Rate Mortgage ,
Floating rate ,
Forward interest rate ,
Forward Rate Agreement ,
Full faith and credit ,
Family of funds ,
Fund of funds ,
Free and clear ,
Free right of exchange ,
Federal ID Number ,
Fourth market ,
General Obligation Bond ,
Global bond ,
Gold bond ,
Government Bond ,
Government securities ,
Government Securities Clearing Corporation ,
Graduated security ,
Guaranteed bond ,
General Securities Representative Examination ,
G-7 ,
GDP implicit price deflator ,
General Agreement on Tariffs and Trade ,
G-8 ,
Grace period ,
Growth and income fund ,
Gather in the stops ,
Graveyard market ,
High-grade bond ,
High yield ,
Housing bond ,
Hart-Scott-Rodino Act of 1976 ,
Hit the bid ,
House call ,
House of issue ,
Health Insurance Portability and Accountability Act ,
Hot issue ,
Holder in due course ,
Home equity line of credit ,
Historical yield ,
Housing Market Index ,
Holding period ,
Head and shoulders ,
High-low index ,
Hammering the market ,
Held at the opening ,
Holding the market ,
Horizontal price movement ,
Interest-bearing ,
Income bond ,
Index bond ,
Index-linked bond ,
Industrial revenue bond ,
In escrow ,
Inflation-indexed security ,
Installment bond ,
Insured bond ,
Interchangeable bond ,
Interest rate collar ,
Interest rate risk ,
Interest rate swap ,
Intermediate-term ,
International Securities Identification Number ,
Inverted yield curve ,
Investment-grade bond ,
Investment security ,
Irredeemable bond ,
Issue date ,
Issuer ,
In-house ,
Investment Advisor Act of 1940 ,
Investment Company Act of 1940 ,
Indicated yield ,
In line ,
Inefficient market ,
Inflation rate ,
Interest rate futures ,
Inverted market ,
Interbank Rate ,
Internal market ,
Insurable interest ,
Initial Public Offering ,
Inside market ,
Insider Trading sanctions Act of 1984 ,
Interest ,
Interest expense ,
Internal Rate of Return ,
Indication of interest ,
In intestacy ,
Inter vivos trust ,
Imputed interest ,
Interest deduction ,
Interest-only loan ,
Interest rate ,
Interest rate cap ,
Interest rate ceiling ,
Interest rate floor ,
In play ,
In-process research and development ,
Income risk ,
Interest rate option ,
I/O strip ,
Inchoate interest ,
Interest-only strip ,
In-service withdrawal ,
Idiosyncratic risk ,
Inflection point ,
Imbalance of orders ,
Imperfect market ,
In and out ,
In sympathy ,
In the tank ,
Junk bond ,
Jointly and severally ,
Jumping the gun ,
Joint will ,
Joint and several liability ,
Joint and survivor annuity ,
Last In First Out ,
Lender of last resort ,
Law of one price ,
Letter security ,
Limited risk ,
Long Bond ,
Long-term ,
Lending at a rate ,
Limit-on-close order ,
Limit price ,
Long Market Value ,
Law of demand ,
Law of supply ,
London International Financial Futures and Options Exchange ,
London Inter-Bank Offer Rate ,
Level term insurance ,
Long-term care insurance ,
Long-term debt ,
Long-Term Equity Anticipation Securities ,
Letter of comment ,
Lockup period ,
Legal risk ,
Living will ,
Line of credit ,
Loan-to-cost ,
Loan-to-value ,
Lock-in ,
Long-term mortgage ,
Long-term lease ,
Leading the market ,
Locked in ,
Long-term gain or loss ,
Level I quotes ,
Liquid market ,
Locked market ,
Low ,
Maintenance bond ,
Marketable security ,
Market basket ,
Market capitalization ,
Market conversion price ,
Maturity ,
Maturity date ,
Maturity gap ,
Maturity value ,
Medium-term ,
Medium-term bond ,
Minimum yield ,
Minus yield ,
Moral obligation bond ,
Mortgage-backed security ,
Mortgage bond ,
Mortgage pass-through security ,
Municipal bond ,
Municipal bond fund ,
Municipal bond insurance ,
Municipal Bond Insurance Association ,
Municipal revenue bond ,
Maintenance call ,
Make a market ,
Margin call ,
Margin rate ,
Market if touched order ,
Market letter ,
Market maker ,
Market maker spread ,
Market on close order ,
Market order ,
Mark-to-market ,
May Day ,
Medium of exchange ,
Marginal propensity to consume ,
Market economy ,
Most distant month ,
Market rate ,
Money at call ,
Mortgage interest deduction ,
Mortgage rate ,
Mortgage risk ,
Marketable securities ,
Market cap ,
Market neutral ,
Market portfolio ,
Market timer ,
Market timing ,
Mill rate ,
Market analysis ,
Market ,
Market inefficiency ,
Market opening ,
Market return ,
Market-share weighted index ,
Market surveillance ,
Market-value weighted index ,
Market Volatility Index ,
Maximum price fluctuation ,
Mixed market ,
Most active ,
Net interest margin ,
Non-cash expense ,
Non-financial asset ,
Negotiable certificate of deposit ,
Negotiable Order of Withdrawal ,
National Market System ,
Negative yield curve ,
Negotiable security ,
Nine-Bond Rule ,
Nominal rate ,
Non-callable ,
Non-callable bond ,
Non-interest-bearing note ,
Normal yield curve ,
Notice of Sale ,
National Association of Securities Dealers ,
National Association of Securities Dealers Automated Quotations system ,
National Securities Clearing Corporation ,
National Securities Trade Association ,
No limit order ,
No quote ,
Non-cumulative preferred ,
Non-equity option ,
Normal market ,
Notice period ,
No-Fault ,
New issue ,
No-Action Letter ,
Non-compete agreement ,
Non-disclosure agreement ,
Null and void ,
No-lien affidavit ,
Non-conforming loan ,
Non-revolving credit card ,
Notice of Default ,
No-load ,
Non-resident alien tax ,
Naked call ,
Non-qualified stock option ,
Non-statutory stock option ,
National Association of Real Estate Investment Trusts ,
Non-investment property ,
Non-contributory plan ,
Non-insured plan ,
Non-qualified retirement plan ,
Nasdaq Small Cap Market ,
No-load stock ,
Narrow market ,
National Market Advisory Board ,
Negotiated market ,
No book ,
Off the books ,
One time charge ,
Other long term liabilities ,
Office of Thrift Supervision ,
Ordinary interest ,
Obligation bond ,
Offering price ,
Original Issue Discount ,
Out-of-favor ,
Over-the-Counter ,
On-floor order ,
On margin ,
Or better ,
Open market operation ,
Operating rate ,
Open interest ,
Original issue stock ,
Opinion of title ,
On account ,
On-the-spot loan ,
Owe ,
Option price ,
Out of the money ,
Old age, survivors, and disability insurance ,
On-balance volume ,
On close ,
On open ,
On the opening ,
Open market ,
Operationally efficient market ,
Outside market ,
Pooling of interests ,
Profit and loss statement ,
Par bond ,
Pass-through coupon rate ,
Payment-in-kind security ,
Performance bond ,
Pickup bond ,
Point ,
Positive yield curve ,
Premium bond ,
Premium over bond value ,
Price Value of a Basis Point ,
Prior lien bond ,
Privileged bond ,
Provisional call feature ,
Public bond ,
Public purpose bond ,
Put bond ,
Payment for order flow ,
Public Securities Association ,
Prior preferred stock ,
P&L ,
Primary earnings per share ,
Provision for income taxes ,
Price index ,
Producer Price Index ,
Parity price ,
Physical market ,
Price limit ,
Pre-existing conditions ,
Primary market ,
Public offering price ,
Per stirpes ,
Pour-over will ,
Power of Attorney ,
Paid ,
Paid up ,
Personal interest ,
Prepaid interest ,
Prepayment risk ,
Prime rate ,
Principal risk ,
Prioritization of debt ,
Prior redemption privilege ,
Projected maturity date ,
Private Market Value ,
Prime rate fund ,
Price spread ,
Paid-in capital ,
Paid-in surplus ,
Payback period ,
Private Investment in Public Equity ,
Perfect capital market ,
Preservation of capital ,
Point-and-figure chart ,
Painting the tape ,
Priced out ,
Price range ,
Price-weighted index ,
Put/call ratio ,
Quiet period ,
Reports and Records ,
Retention rate ,
Return of capital ,
Return on Capital ,
Return on Invested Capital ,
Return on Total Assets ,
Risk adjusted return ,
Run rate ,
Real interest rate ,
Rate covenant ,
Redeem ,
Redeemable bond ,
Redemption price ,
Registered coupon bond ,
Registered security ,
Remaining maturity ,
Residual security ,
Restricted security ,
Revenue bond ,
Risk ,
Reading the tape ,
Real-time trade reporting ,
Regulation D ,
Regulation G ,
Regulation T ,
Regulation U ,
Round of funding ,
Rules of Fair Practice ,
Rate of exchange ,
Reciprocal of European terms ,
Real economic growth rate ,
Retail Price Index ,
Reduced paid-up insurance ,
Reinvestment risk ,
Red herring ,
Regulation A ,
Right of first refusal ,
Right of rescission ,
Right to Know ,
Rate-improvement ,
Rate lock ,
Renegotiable rate ,
Revolving line of credit ,
Right of recourse ,
Rule of 78 ,
Redemption period ,
Right of redemption ,
Retirement Equity Act of 1984 ,
Risk/return trade-off ,
Risk arbitrage ,
Risk-averse ,
Risk management ,
Risk neutral ,
Risk premium ,
Risk seeking ,
Return on Capital Employed ,
Rate of return ,
Real rate of return ,
Real-time ,
Risk capital ,
SEC filing ,
Selling, General and Administrative Expenses ,
SG&A ,
Savings and Loan ,
Short-term reserves ,
Sight letter of credit ,
Simple interest ,
S&L ,
State bank ,
Savings Bond ,
SEC ,
Secondary market ,
Secured bond ,
Securities and Exchange Commission ,
Self-supporting bond ,
Serial bond ,
Series bond ,
Series EE bond ,
Series HH bond ,
Short bond ,
Short-term ,
Split coupon bond ,
Spot rate ,
Stamped security ,
Step-up bond ,
Straight bond ,
Super sinker bond ,
Surety bond ,
SEC fee ,
Securities analyst ,
Securities Industry Association ,
Securities Investor Protection Corporation ,
Securities loan ,
Segregation of securities ,
Sell the book ,
Stop price ,
Savings rate ,
Standard of living ,
Swap rate ,
Systemic risk ,
Settlement price ,
Spot market ,
Spot price ,
Second-to-die insurance ,
Short interest ,
Short interest ratio ,
Stock market ,
Severally but not jointly ,
Subscription price ,
Statute of Limitations ,
Sue ,
Sale and leaseback ,
Satisfaction of debt ,
Secondary mortgage market ,
Securities lending ,
Security interest ,
Security loan ,
Senior security ,
Start rate ,
Staggered board of directors ,
Selling the spread ,
Short market value ,
Savings Incentive Match Plan for Employees ,
Social Security ,
Social Security Tax ,
Share price ,
Split-adjusted price ,
Security analysis ,
Selling short against the box ,
Shorting against the box ,
S Corporation ,
Short-term gain or loss ,
Standard mileage rate ,
Subchapter M ,
Subchapter S Corporation ,
Schedule C ,
Securities Act of 1933 ,
Securities Acts Amendments of 1975 ,
Securities Exchange Act of 1934 ,
Securities fraud ,
Seek a market ,
Specialist market ,
S&P phenomenon ,
Stop and reverse ,
Times interest earned ,
Term CD ,
Time deposit ,
Time draft ,
Tax-exempt bond ,
T-Bill ,
Term ,
Term bond ,
Term to maturity ,
Treasury Bond ,
Treasury Inflation-Protected Security ,
Trust-preferred security ,
Take a position ,
Time order ,
Two-sided market ,
Two-way market ,
Trailing P/E ,
Term insurance ,
Tenancy by the entirety ,
Teaser rate ,
Term deposit ,
Term loan ,
Time note ,
Truth in Lending ,
Tax-free bond fund ,
Term trust ,
Time spread ,
Tenancy at will ,
Time-sharing ,
The Street ,
Time stop ,
Timing the market ,
Taxpayer Relief Act of 1997 ,
Tax Reform Act of 1986 ,
Tax Reform Act of 1993 ,
Take a bath ,
Target price ,
Term repo ,
Thin market ,
Third market ,
Tight market ,
Transparent market ,
Term sheet ,
U.S. Government Agency Security ,
U.S. Savings Bond ,
U.S. Treasury ,
U.S. Treasury Bill ,
U.S. Treasury Bond ,
U.S. Treasury Note ,
U.S. Treasury Securities ,
Unlimited risk ,
Unlimited tax bond ,
Unseasoned issue ,
Uniform Securities Act ,
Unemployment rate ,
Underlying security ,
Unearned interest ,
Uncovered call ,
Unsystematic risk ,
Unit of trade ,
Unit of trading ,
Variable rate ,
Vesting period ,
With interest ,
Wage price spiral ,
Waiver of premium ,
Widow-and-orphan stock ,
W-2 Form ,
W formation ,
Weak market ,
When, as, and if issued ,
When issued ,
Wide market ,
X or XD ,
Year-To-Date ,
Yankee bond market ,
Yield ,
Yield burning ,
Yield curve ,
Yield elbow ,
Yield spread ,
Yield to call ,
Yield to maturity ,
Yield to worst ,
Y shares ,
Zero-coupon bond