Annual Report of the Council of the Corporation of Foreign Bondholders, Volume 31
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accepted accordance additional Agent Agreement amortisation amount annum applied Arrangement arrears assigned balance Bank bearing Bondholders Bonds Budget Capital carried cash Cedulas cent Certificates claims collected Commission Committee Company Contract Conversion Council Coupons Credit currency Customs December Decree drawings Duties effected Estimates exchange Expenditure expenses Exports External Debt Finance Five per Cent Foreign Four per Cent given gold Government Guaranteed hands holders Honduras Import improvement increase interest Internal issued January July June latter Loan London March meeting ment Messrs Minister months nominal Obligations obtained October Office original outstanding paid Panama payable payment period present President principal proposed Province Public purchase Railway Railway Company Receipts received redeemed regard remaining Report representing Republic respect result Revenue Series settlement shows Sinking Fund Stamp surplus Syndicate Table Tobacco Treasury United