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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


Other Related Pages:

Category: Bonds


Starting With: R


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


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