Annual Report of the Council of the Corporation of Foreign Bondholders, Vydání 63 |
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1st April 1st January 1st July 30th June 31st December a-Half per Cent accumulative Sinking Fund Agreement amortization amount annuity annum Arrangement August authorised balance Bank Bonds Bessborough Bondholders Budget Bulgarian Government Bulgarian National Bank cash Certificates Colones commencing Committee Contract Coupons due Customs Receipts Customs Revenue Daïra Debt Council Debt Service Decree default deposited drachmæ due 1st Duties Earl of Bessborough Ecuador estimated Exports External Debt External Loans February Five per Cent Floating Debt Four per Cent French francs Gold Bonds Gold Loan Greek Government Guaranteed holders Honduras increased Lempiras Less redeemed Leva London March ment million Ministry Mississippi Monopoly Mortgage November October Ottoman Ottoman Bank Ottoman Empire outstanding paid Paris payable Paying Agent payment pesos Province Public Debt purchase Railway Bonds redemption remitted Republic respect Roumania Secured Series settlement Six per Cent surplus Swiss Francs Treasury Bonds Turkish U.S. dollars U.S. Gold