Form 13F-HR Santori & Peters, Inc. For: Jun 30 Jul 24, 2026 12:45PM .FormData { color: blue; background-color: white; font-size: small; font-family: Times, serif; } .FormDataC { color: blue; background-color: white; font-size: small; font-family: Times, serif; text-align: center; } .FormDataR { color: blue; background-color: white; font-size: small; font-family: Times, serif; text-align:... (continue reading...)
Form 497J Invesco Unit Trusts Seri Jul 24, 2026 12:45PM

[LETTERHEAD OF INVESCO CAPITAL MARKETS INC.]

July 24, 2026

 

U.S. Securities and Exchange Commission

100 F Street, NE

Washington, DC 20549

 

Re:Invesco Unit Trusts, Series 2489 File No. (333-295246) (CIK No. 0002096509)

Ladies and Gentlemen:

In accordance with the provisions of Rule 497(j) under the Securities Act of 1933 (the “Securities Act”), this letter serves to certify that the most recent amendment to the registration statement on Form S-6 for the... (continue reading...)


Form 497K Voya EQUITY TRUST Jul 24, 2026 12:45PM Summary Prospectus September 30, 2025, as supplemented July 24, 2026 Voya Large-Cap Growth Fund     ... (continue reading...)
Form 485BXT Amplify ETF Trust Jul 24, 2026 12:45PM

As filed with the Securities and Exchange Commission on July 24, 2026

 

 

 

1933 Act Registration No. 333-207937

1940 Act Registration No. 811-23108

 

United States

Securities and Exchange Commission

Washington, D.C. 20549

 

Form N-1A

 

Registration Statement Under the Securities Act of 1933 ☐ Pre-Effective Amendment No.  ☐ Post-Effective Amendment No. 419 ☒ and/or Registration Statement... (continue reading...)
Form 486BPOS GCM GROSVENOR CORE ABSOL Jul 24, 2026 12:44PM In connection with initial and additional purchases of Shares, investors may be charged a sales load of up to 2.50% of the investment amount. No Sales Load is charged to certain types of investors. (See “Purchasing Shares.”) Includes the Advisory Fee of the Master Fund and the Management Fee of the Fund. The Advisory Fee is a monthly fee payable at the annual rate of 1.00% of the net assets of the Master Fund determined as of the last business day of each month. In... (continue reading...)

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