prompt stringlengths 26 367 | text stringlengths 1 335 | rejected_text stringlengths 1 335 |
|---|---|---|
what is the ratio of the residential to the commercial number of vehicles | 1.8 | 2121.95 |
what is the total value of the investment in 2004? | 2121.95 | 5.6 |
what is the interest payment of the 3.0% ( 3.0 % ) notes? | 5.6 | 3.4% |
for 2009 , what is the average reserve percentage for the prime mortgage and option arm pools of loans?\\n\\n | 3.4% | 52.4 |
based on the current amount of annual amortization , how many years will it take to fully amortize the goodwill balance at december 31 , 2001? | 52.4 | 200.9 |
by what amount did the treasury stock increase with the total repurchase of shares during the last three months , ( in millions ) ? | 200.9 | -16.4% |
in 2012 what was the percentage change in the allowances | -16.4% | 78.6% |
as of september 29 , 2007 , what percent of the company 2019s total future minimum lease payments under noncancelable operating leases were related to leases for retail space? | 78.6% | 2.6% |
by how much did total regulatory liabilities increase from 2014 to 2015? | 2.6% | 150477 |
what are the total current assets for concentra? | 150477 | 301.2 |
what is the total number of outstanding shares as of december 31 , 2005 according to pro-forma income , in millions? | 301.2 | no |
was the estimated sensitivity to a one basis point increase in credit spreads ( counterparty and our own ) on derivatives greater than the estimated sensitivity to a one basis point increase in our own credit spreads on unsecured borrowings for which the fair value option was elected as of december 2012? | no | 581 |
what were total r&e expenses in millions for 2017 , 2016 and in 2015? | 581 | 36.7 |
what was the average sales inducements deferred from 2009 to 2011 in millions | 36.7 | $ 8.3 < interest income < $ 41.1 . or the interest income would be between $ 8.3 million and $ 41.1 million |
what is the statistical interval that interest income can be affected during the next year based on the data from 2013? | $ 8.3 < interest income < $ 41.1 . or the interest income would be between $ 8.3 million and $ 41.1 million | 38.7% |
what portion of the total consolidated revenues is generated from fsg segment in 2018? | 38.7% | -2.0% |
what is the percentage change in net cash from operating activities from 2011 to 2012? | -2.0% | 0.6% |
what is the net income margin in 2008? | 0.6% | 10861 |
in millions , what as the change in gross increases in unrecognized tax benefits 2013 prior year tax positions between 2012 and 2011? | 10861 | 33.9% |
what percent of short term borrowing allowance was outstanding in 2017? | 33.9% | 452.8% |
what percent increase in net cash from investing activities occurred between 2011 and 2012? | 452.8% | 5% |
as of september 30 , 2009 what was the percent of the shares were held in trust that represented the directors 2019 compensation in accordance with the provisions of the plan . | 5% | 12% |
what percent of the total contractual obligations in 2006 were long-term debt obligations? | 12% | no |
was the impact of a decrease of 1% ( 1 % ) in the discount rate greater than the effect of a decrease of 1% ( 1 % ) in the long-term rate of return on plan assets? | no | -19.53% |
what is the difference in percentage performance for aptiv plc versus the s&p 500 for the five year period ending december 31 2018? | -19.53% | -21.6% |
what was the percentage decrease the credit card lines from 2008 to 2009 | -21.6% | 23% |
what percentage of total contributions in 2017 was the 2017 pension plan? | 23% | -1262 |
what is the chance in net cash flow generated from operating activities from 2003 to 2004? | -1262 | 127.7 |
what is the total amount spent for stock repurchase during november 2007 , in millions? | 127.7 | 4.22 |
for the period from april 1 2011 to june 30 2011 , what was the difference between high and low stock price? | 4.22 | 533.8 |
what is the final amount of cash and cash equivalents in 2016? | 533.8 | -172 |
what is the net change in the balance of unvested shares from 2013 to 2015? | -172 | 15.2% |
what was the percentage change in the weighted average cost per share from 2014 to 2015 | 15.2% | 4.43 |
as of december 31 , 2013 what was the ratio of the restricted cash and marketable securities to the balance in the allowance for doubtful accounts | 4.43 | 28% |
what percentage of pmi-owned manufacturing facilities eema asia america canada are in eu? | 28% | .33 |
what is the average capacity in mmbbl of jones act tankers? | .33 | 309 |
what was the total price for the kmr power corporation purchase in millions? | 309 | 2.8 |
what was the ratio of the issuance costs to the discount at issuance | 2.8 | 4241 |
without settlements in 2013 , what would ending unrecognized tax benefits have been , in millions? | 4241 | 3.1% |
what is the growth rate in operating expenses in 2017? | 3.1% | 47.60% |
what is the percentage of aso's members among the total commercial medical membership? | 47.60% | 31.8 |
what was the change in billions of net outflows from dec . 31 , 2016 to dec . 31 , 2017? | 31.8 | 190 |
what was the difference in millions of international subscribers between discovery channel and discovery science? | 190 | 0.67% |
what is the percentage of fairvalue of contracts due after ten years among the total? | 0.67% | 389000 |
considering the properties with lease expiration dates in 2020 , what is the average occupied square footage? | 389000 | 39.8% |
what is the percentage of amount ceded to direct amount in 2007? | 39.8% | 2.3 |
based on the 2014 actualassetallocation what was the debt to equity ratio | 2.3 | -124.7 |
what is the change in balance of unrecognized tax benefits during 2007? | -124.7 | no |
is the vesting under the 2000 employee equity plan potentially longer than under the directors 1989 plan? | no | 1.5% |
assuming maximum participant contributions , what was the change in company match percentage between 2014 and 2013? | 1.5% | -205632 |
what was the change in total debt net of current portions in thousands between 2004 and 2005? | -205632 | 58% |
what percentage of the total purchase price did goodwill represent? | 58% | 63.8% |
residential mortgages were what percent of the total indemnification and repurchase liability for asserted claims and unasserted claims as of december 31 2011? | 63.8% | 23200 |
what is the total number of owned sites presented in the table? | 23200 | 2225 |
what is the average number of total track miles per state in the rail network ? | 2225 | 29.72 |
what was the total amount of returns that jkhy , peer group and s&p 500 had made combined by june 30 , 2012? | 29.72 | 10.5% |
for the 2014 draw period balances of interest only products , what percent were home equity lines of credit with balloon payments , including those where we have terminated borrowing privileges? | 10.5% | 20623882 |
what was the company market capitalization on august 15 , 2019, | 20623882 | 32.75% |
in 2012 what was the percentage of the premium apid to the exchange for outstanding notes exchanged | 32.75% | 1.36 |
what was the ratio of the floating rate notes included in the long-term debt payments for 2013 to 2014 | 1.36 | 59.1% |
what was the percent of the total stock based compensation in 2006 for employee retention | 59.1% | [2] : for the years ended december 31 , 2010 , 2009 and 2008 , respectively , we earned management fees of $ 7.6 million , $ 8.4 million and $ 7.8 million , leasing fees of $ 2.7 million , $ 4.2 million and $ 2.8 million and construction and development fees of $ 10.3 million , $ 10.2 million and $ 12.7 million from th... |
what was the total revenues earned in 2016 from managementleasing and construction and development | [2] : for the years ended december 31 , 2010 , 2009 and 2008 , respectively , we earned management fees of $ 7.6 million , $ 8.4 million and $ 7.8 million , leasing fees of $ 2.7 million , $ 4.2 million and $ 2.8 million and construction and development fees of $ 10.3 million , $ 10.2 million and $ 12.7 million from th... | 2.2% |
what was the effect in difference of average borrowing rate due to the use of swaps in 2013? | 2.2% | 0.7% |
what is the variation observed in the risk-free rate of return during 2008 and 2009? | 0.7% | 1% |
what percentage of doors in the wholesale segment as of march 30 , 2013 where in the asia geography? | 1% | no |
does the current estimated basel iii tier 1 ratio exceed the requirement under basel iii rules as a gsib , once the requirements a re fully phased in? | no | 43.6 |
based on the information of the firm 2019s average interest-earning assets were $ 2.0 trillion , and the net interest yield on these assets , on a fte basis , of 2.18% ( 2.18 % ) what was the approximate interest income in billions | 43.6 | 43% |
what percentage of future minimum lease payments under noncancelable operating leases having remaining terms in excess of one year are due after 2012? | 43% | 13.6 |
what amount of unrecognized tax benefits would not impact the effective tax rate , ( in millions ) ? | 13.6 | -10.0% |
what is the percentage change in entergy new orleans 2019s receivables from the money pool from 2015 to 2016? | -10.0% | 8 |
in 2013 what was the combined adverse impact on after-tax earnings for foreign exchange rates in millions | 8 | 7.61% |
what was the percentage change of the net revenue in 2010 | 7.61% | 26% |
what percentage remains of the total approved shares for repurchased under the approved share repurchase program? | 26% | 26.9% |
what percent of warehouse locations are located in japan . | 26.9% | 88% |
what percent of total revenues was represented by merchant services in 2007? | 88% | 14.1% |
what was the growth rate in diluted earnings per share from 2013 to 2014? | 14.1% | 142182884 |
what the total number of votes to issue shares of republic common stock and other securities convertible | 142182884 | 191983960 |
what was the total value of the 100 park avenue property based in the acquisition price? | 191983960 | 35.7 |
what is the total fair value of the non vested units as of december 31 , 2009 , ( in millions ) ? | 35.7 | 11.6 |
what percentage of total minimum lease payments are due in 2016? | 11.6 | 1.3 |
in 2010 what was the ratio of the trading assets 2013 derivative receivables to the derivative payables | 1.3 | yes |
were total revisions of estimates greater than accretion of discounts? | yes | 1.6% |
what portion of the long-term debt is included in the section of current liabilities on the balance sheet as of december 31 , 2011? | 1.6% | 10215 |
in millions , what would 2007 total debt increase to if the company fully draws its available revolver? | 10215 | -60.38% |
what was the difference in percentage cumulative total shareholder return on masco common stock versus the s&p 500 index for the five year period ended 2010? | -60.38% | 9914 |
in millions , for 2013 , 2012 and 2011 , what was maximum fixed income currency and commodities client execution? | 9914 | 0% |
what percentage of the class b preferred stock is currently outstanding? | 0% | 205.4 |
assuming the same rate of change as in 2017 , what would the 2018 total amount of interest and penalties accrued equal in millions? | 205.4 | 17.7% of the segmented sales are converted into operating earnings . |
what was the efficiently , in a percent , of converting segmented sales to operating earnings for 2006? | 17.7% of the segmented sales are converted into operating earnings . | 42% |
what percent of total net revenue was noninterest revenue in 2008? | 42% | 2.4% |
what was the percentage change in the gross profit margins from 2016 to 2017 | 2.4% | 186% |
what percent of the net change in revenue between 2007 and 2008 was due to rider revenue? | 186% | 23.5% |
by how much did total capital expenditures increase from 2013 to 2014? | 23.5% | 1.3 |
what was the debt to equity ratio in 2015 | 1.3 | 18% |
as of december 31 , 2012 , how much room does the company have in its restrictive covenant regarding debt to total capitalization? | 18% | 56.01 |
what were cash and cash equivalents in billions at the end of 2011? | 56.01 | -7% |
what is the roi of an investment in kbw bank index from 2008 to 2011? | -7% | 5 |
for commercial mortgage recourse obligations , what was average reserve adjustments net for 2010 and 2011 , in millions? | 5 | 25.9% |
what is the percent change in net receivables from the money pool between 2007 and 2008? | 25.9% | -20.58% |
what is the difference between the percent change between 7/02 and 7/03 of the investments into axion and the nasdaq composite? | -20.58% | 22% |
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