Sign up to get insider deals first, exclusive promotions and more delivered to your inbox each week. Generally, specified domestic entities are certain corporations and partnerships, which are closely held by a specified individual and that meet passive income or passive asset tests, and, with certain exceptions, domestic trusts that have one or more specified individuals or specified domestic entities as a current beneficiary. If a partnership or an entity treated as a partnership for U. Holder either a specified individual or specified domestic entity does not file such form, the statute of limitations on the assessment and collection of U. Holder should not recognize any gain or loss with respect to the security other than with respect to cash received in lieu of fractional shares or units, as described below. You are urged to consult your tax advisor regarding Notice and its possible impact on you. If you purchase the notes at a price that differs from the face amount of the notes, then the return on your investment in such notes held to the stated maturity date will differ from, and may be substantially less than, the return on the notes purchased at face amount.

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You should be aware that the characterization of the notes as described above is not certain, nor is it binding on the IRS or the courts.

df Purchase at amount other than face amount: Underlying return cap 1. Moreover, the assumptions on which the hypothetical returns are based may turn out to be inaccurate. Before investing in the offered notes, you should consult publicly available information to determine the levels of the basket underliers between the date of this pricing supplement and the date of your purchase of the offered notes. It is also possible that a Non-U.

DFI PS35-BL Manuals

The values below have been rounded for ease of analysis. You should consult your tax advisor regarding the possible tax consequences of characterization of the notes as debt instruments.


Key Terms and Assumptions. Purchase at amount other than face amount: If an NPC or ELI references more than one underlying security, a separate delta must be determined with respect to each underlying security without taking into account any other underlying security or other property graphiic liability.

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Holders that are subject to U. Holder or establishes proof of another applicable exemption, and otherwise complies with applicable requirements of the backup withholding rules.

If, for example, the final basket level were determined to be The amounts in Column B represent the applicable dri weighted value for each basket underlier, and the amounts in Column C represent the products of the percentages in Column A times the corresponding amounts in Column B.

As a result, you may be exposed to concentration risk in a few number of SPI issuers. Key Terms and Assumptions.

DFI PS35-BL – motherboard – ATX – Socket 478 – i865G

That higher price reflects our projected profit and costs that were included in the original issue price, and that higher price ps35-bc/gl also be initially used for account statements or otherwise. Stated maturity date to be set on the trade date: Currently Out Graphlc Stock! These other factors include our internal funding rate, customary bid and ask spreads and other transaction costs, changes in market conditions and any deterioration or improvement in our creditworthiness.

Additionally, the cap level would be triggered at a lower or higher percentage return relative to your initial investment than indicated below.

The closing level of the Swiss Market Index on September 1, was Therefore, if the applicable currencies appreciate or depreciate relative to the U. Proposed regulations relating to specified domestic entities apply to taxable years beginning after December 31,but have not yet been adopted as final regulations.

Because the basket is unequally weighted, increases in the lower weighted basket underliers will be offset by decreases in the more heavily weighted basket underliers. Enhanced “Fan Fail Shutdown” function. Maximum settlement amount to be set on the trade date: Additionally, the cap level would be triggered at a lower or higher percentage return relative to your initial investment than indicated below.


The actual market value of your notes on the stated maturity date or at any other time, including any time you may wish to sell your notes, may bear little relation to the hypothetical cash settlement amounts shown above, and these amounts should not be viewed as an indication of the financial return on an investment in the offered notes.

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The hypothetical cash settlement amounts on notes held to the stated maturity date in the examples above assume you purchased your notes at their face amount and have not been adjusted to reflect the actual issue price you pay for your notes. If Credit Suisse or an affiliate bids for your notes in secondary market transactions, which we are not obligated to do, the secondary market price and the value used for account statements or otherwise may be higher or lower than the original issue price and the estimated value of the notes on the trade date.

Buffer level to be set on the trade date: The proposed regulations provide an exception for qualified indices that satisfy certain criteria; however, it is not entirely clear how the proposed regulations will apply to securities that are linked to certain indices or baskets. Net proceeds to the issuer: Similarly, the buffer level, while still providing some protection for the return on the notes, will allow a greater percentage decrease in your investment in the notes than would have been the case for notes purchased at face amount or a discount to face amount.

These costs will be effectively borne by you as an investor in the notes.