She is artful in her instruction, sensitive with feeling into her students and discerning and intelligent with her responses. She is a master of her time, passing along ancient teaching with heart and wisdom.
I cannot speak highly enough about the work that Michaela and Steve offer. To explore sensitivity and sensations though the body without force or imposition has been quite life changing, actually. Not only are the Non-Linear practices deepening my own creative processes as a dancer, they are also changing the ways in which I resource myself and navigate my life.
Michaela Boehm teaches and counsels internationally as an expert in intimacy and sexuality. Born and raised in Austria, Michaela combines her training in psychology and extensive clinical counseling experience with her in-depth training in the yogic arts as a classical Kashmiri Tantric lineage holder. Known for her work with high-performing individuals, her ongoing private clients include Oscar-winning actors, producers, business pioneers, and multiple Grammy-winning musicians.
She lives on an organic farm in California where she rescues and rehabilitates animals. Steve James travels internationally teaching somatic practices, meditation, yoga, as well as leading explorations in contemplative, mystic, and relational realms.
Known for his intelligent, grounded approach and his dedication to first-hand research he has extensive experience in elite athletic performance, contemplative and spiritual disciplines, the arts, extreme outdoor survival, and human behavior. Add to cart Apply. Is this you? Motivated by a drive and yearning to deepen your own practice as well as teach others. Oriented towards embodiment and connection to your true bodily wisdom in all its forms.
Passionate about heart-filled devotion and expression of the full spectrum of light and dark.
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Determined to not only truly understand these realms for yourself, but to guide others into deeper experiences. Serious about creating a safe environment and tight container that is conducive to personal exploration and deep practice. Looking for quality, in-depth instruction from established, successful teachers with decades of experience at the top of their industry. The subsidiary has since issued notes, of which certain registered investment companies and other funds managed by PIMCO are alleged to be holders. It is not known at this time when the Plan may be approved, if at all.
In the meantime, the adversary proceeding is stayed. The foregoing speaks only as of the date of this prospectus. While there may be additional litigation or regulatory developments in connection with the matters discussed above, the foregoing disclosure of litigation and regulatory matters will be updated only if those developments are material. Table of Contents such investment forums with such financial institutions.
Subject to applicable law, PIMCO and its affiliates may also provide investment advisory services to investment consultants and their affiliates and may execute brokerage transactions on behalf of the Funds with such investment consultants or their affiliates. The Trust believes this policy is appropriate because an ETF, such as the Funds, is intended to be attractive to arbitrageurs, as trading activity is critical to ensuring that the market price of Fund shares remains at or close to NAV.
Registered investment companies are permitted to invest in the Funds beyond the limits set forth in Section 12 d 1 , subject to certain terms and conditions set forth in an SEC exemptive order issued to PIMCO and the Trust, including that such investment companies enter into an agreement with the Trust. Table of Contents Premiums and Discounts. For purposes of calculating NAV, portfolio securities and other assets for which market quotes are readily available are valued at market value.
Prices obtained from independent pricing services use information provided by market makers or estimates of market values obtained from yield data relating to. Table of Contents investments or securities with similar characteristics. Certain fixed income securities purchased on a delayed-delivery basis are marked to market daily until settlement at the forward settlement date. Short-term investments having a maturity of 60 days or less are generally valued at amortized cost.
Exchange traded options, futures and options on futures are valued at the settlement price determined by the exchange. Securities and other assets for which market quotes are not readily available are valued at fair value as determined in good faith by the Board of Trustees or persons acting at their direction. The Board of Trustees has adopted methods for valuing securities and other assets in circumstances where market quotes are not readily available, and has delegated to PIMCO the responsibility for applying the valuation methods.
For instance, certain securities or investments for which daily market quotes are not readily available may be valued, pursuant to guidelines established by the Board of Trustees, with reference to other securities or indices. In the event that market quotes are not readily available, and the security or asset cannot be valued pursuant to one of the valuation methods, the value of the security or asset will be determined in good faith by the Valuation Committee of the Board of Trustees, generally based upon recommendations provided by PIMCO.
Market quotes are considered not readily available in circumstances where there is an absence of current or reliable market-based data e.
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In addition, market quotes are considered not readily available when, due to extraordinary circumstances, the exchanges or markets on which the securities trade do not open for trading for the entire day and no other market prices are available. Each Fund distributes substantially all of its net investment income to shareholders in the form of dividends. Each Fund intends to declare and distribute income dividends monthly to shareholders of record. In addition, each Fund distributes any net capital gains it earns from the sale of portfolio securities to shareholders no less frequently than annually.
Net short-term capital gains may be paid more frequently. Dividend payments are made through DTC participants and indirect participants to beneficial owners then of record with proceeds received from a Fund.
Table of Contents No dividend reinvestment service is provided by the Trust. Financial intermediaries may make available the DTC book-entry Dividend Reinvestment Service for use by beneficial owners of Fund shares for reinvestment of their dividend distributions. Beneficial owners should contact their financial intermediary to determine the availability and costs of the service and the details of participation therein. Financial intermediaries may require beneficial owners to adhere to specific procedures and timetables. Fund dividends i.
Federal taxes on Fund distributions of gains are determined by how long the Fund owned the investments that generated the gains, rather than how long you have owned your shares. Distributions of gains from investments that the Fund owned for more than one year will generally be taxable to you as long-term capital gains. Distributions of gains from investments that a Fund owned for one year or less, including income from securities lending, will generally be taxable to you as ordinary income. Fund distributions are taxable to you even if they are paid from income or gains earned by a Fund prior to your investment and thus were included in the price you paid for your shares.
For example, if you purchase shares on or just before the record date of a Fund distribution, you will pay full price for the shares and may receive a portion of your investment back as a taxable distribution. Shareholders should consult their tax advisors as to the possible application of foreign, state and local income tax laws to Fund dividends and capital distributions.
Please see the Statement of Additional Information for additional information regarding the tax aspects of investing in the Funds. Table of Contents Creations and Redemptions.
For delivery of prospectuses to exchange members, the prospectus delivery mechanism of Rule under the Act is available only with respect to transactions on a national securities exchange. Transaction Fees. Authorized Participants may be charged standard creation and redemption transaction fees to offset transfer and other transaction costs associated with the issuance and redemption of Creation Units. The standard creation and redemption transaction fees, if any, for creations and redemptions are set forth below.
The standard transaction fee is charged to each purchaser or redeemer on the day such purchaser or redeemer creates or redeems a Creation Unit, as applicable. The fee is a single charge regardless of the number of Creation Units purchased or redeemed by an. PIMCO may, from time to time, at its own expense, compensate purchasers of Creation Units who have purchased substantial amounts of Creation Units and other financial institutions for administrative or marketing services. Creations and redemptions for cash when cash creations and redemptions are specified are also subject to an additional variable charge up to the maximum amount shown in the table below.
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Investors who use the services of a financial intermediary may pay fees for such services. The following table also shows, as of the date of this prospectus, the approximate value of one Creation Unit, including standard and maximum additional creation and redemption transaction fees:.
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Transaction Fee. Maximum Additional Variable Charge. Distribution and Servicing Plan. It also describes characteristics and risks of additional securities and investment techniques that may be used by the Funds from time to time. Most of the securities and investment techniques described herein are discretionary, which means that PIMCO can decide whether to use them or not. This prospectus does not attempt to disclose all of the various types of securities and investment techniques that may be used by the Funds. As with any fund, investors in the Funds rely on the professional investment judgment and skill of PIMCO and the individual portfolio manager.
Securities Selection. PIMCO may invest in a combination of component securities and other investments. Table of Contents such that the combination effectively provides exposure to the underlying index. PIMCO subdivides the underlying index into small categories of securities with similar features and characteristics. The representative sample of bonds chosen from each subcategory is intended to closely correlate to the duration, sector, credit rating, coupon and option characteristics of the underlying index as a whole.
Government Securities. Repurchase Agreements.
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Reverse Repurchase Agreements and Other Borrowings. Each Fund may borrow money to the extent permitted under the Act. Table of Contents Derivatives. Credit Risk. Additionally, credit default swaps could result in losses if a Fund does not correctly evaluate the creditworthiness of the company on which the credit default swap is based.
Liquidity risk exists when a particular derivative instrument is difficult to purchase or sell. If a derivative transaction is particularly large or if the relevant market is illiquid as is the case with many privately negotiated derivatives , it may not be possible to initiate a transaction or liquidate a position at an advantageous time or price. Lack of Availability. Because the markets for certain derivative instruments including markets located in foreign countries are relatively new and still developing, suitable derivatives transactions may not be available in all circumstances for risk management or other purposes.
There is no assurance that a Fund will engage in derivatives transactions at any time or from time to time. Table of Contents Market and Other Risks.
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If the portfolio manager incorrectly forecasts the values of securities or interest rates or other economic factors in using derivatives for a Fund, a Fund might have been in a better position if it had not entered into the transaction at all. While some strategies involving derivative instruments can reduce the risk of loss, they can also reduce the opportunity for gain or even result in losses by offsetting favorable price movements in other Fund investments.
A Fund may also have to buy or sell a security at a disadvantageous time or price because a Fund is legally required to maintain offsetting positions or asset coverage in connection with certain derivatives transactions. Investment in Other Funds. Each Fund may invest in, to the extent permitted by Section 12 d 1 of the Act, other affiliated and unaffiliated funds, such as open-end or closed-end management investment companies, including other exchange traded funds.