SECURITIES INVESTMENT COUNSELING SERVICES WHEREIN

Brand Owner (click to sort) Address Description
THE ACACIA GROUP Acacia Mutual Life Insurance Company 51 Louisiana Ave., NW. Washington DC 20001 securities investment counseling services wherein use is by Calvert Securities Corporation; securities brokerage services wherein use is by Calvert Securities Corporation and by Calvert Group Ltd.; life insurance including term insurance underwriting brokerage and administration services, wherein use is by both Acacia Mutual Life Insurance Company and Acacia National Life Insurance Company, banking services wherein use is by both Acacia Mortgage Corporation and Acacia Federal Savings Bank, Incorporated and real estate investment services wherein use is by Griffin Properties, Inc.;business planning, business management and business consulting services wherein use is by Enterprise Resources Group, Inc.;GROUP;
THE ACACIA GROUP Acacia Mutual Life Insurance Company 51 Louisiana Ave., NW. Washington DC 20001 securities investment counseling services wherein use is by Calvert Securities Corporation; securities brokerage services wherein use is by Calvert Securities Corporation and by Calvert Group Ltd.; life insurance including term insurance underwriting, brokerage and administration services, wherein use is by both Acacia Mutual Life Insurance Company and Acacia National Life Insurance Company, banking services wherein use is by both Acacia Mortgage Corporation and Acacia Federal Savings Bank, Incorporated and real estate investment services wherein use is by Griffin Properties, Inc.;business planning, business management and business consulting service wherein use is by Enterprise Resources Group, Inc.;GROUP;
 

Where the owner name is not linked, that owner no longer owns the brand

   
Technical Examples
  1. A method is provided for selecting a portfolio of securities for investment purposes. Specifically, the method utilizes three types of securities-related data: price appreciation, return-on-assets ratio, and price-to-cashflow ratio. A group of securities is ranked by price appreciation, return-on-assets ratio, and price-to-cashflow ratio; a number of the securities having the highest average rank are selected for investment.