Final Redemption Condition 1 definition

Final Redemption Condition 1 means, in respect of a ST Valuation Date, that the Final Redemption Value 1 on such ST Valuation Date, as determined by the Calculation Agent is equal to or greater than the Final Redemption Condition Level 1.
Final Redemption Condition 1 means, in respect of the Redemption Valuation Date, that the Worst Value on such Redemption Valuation Dates, as determined by the Calculation Agent is equal to or greater than Final Redemption Condition Level 1.

Examples of Final Redemption Condition 1 in a sentence

  • Redemption (x) – Podium(C) If Final Redemption Condition 1 is satisfied in respect of a ST Redemption Valuation Date:Constant Percentage 1; or(D) If Final Redemption Condition 2 is satisfied in respect of a ST Redemption Valuation Date and Final Redemption Condition 1 is not satisfied in respect of a ST Redemption Valuation Date: Constant Percentage 2; or (E) Otherwise: No Final Redemption Amount will be payable and Physical Delivery will apply.

  • Final Payout:Redemption (x) – Podium(A) If Final Redemption Condition 1 is satisfied in respect of a ST Redemption Valuation Date:Constant Percentage 1; or(B) If Final Redemption Condition 2 is satisfied in respect of a ST Redemption Valuation Date and Final Redemption Condition 1 is not satisfied in respect of a ST Redemption Valuation Date: Constant Percentage 2; or (C) Otherwise:No Final Redemption Amount will be payable and Physical Delivery will apply.

  • Where: "Final Redemption Condition 1" means, in respect of the Redemption Valuation Date, that the Final Redemption Value on such Redemption Valuation Date, as determined by the Calculation Agent is equal to or greater than 100 per cent.

  • Final Payout:Applicable Redemption (vi) – Strike Podium n Conditions (A) If the Final Redemption Condition 1 is satisfied in respect of the Redemption Valuation Date: 100 per cent.

Related to Final Redemption Condition 1

  • Final Redemption Date means for each Series, the final redemption date specified in the Final Terms for such Series.

  • Final Redemption Amount means, in respect of any Note, its principal amount or such other amount as may be specified in, or determined in accordance with, the relevant Final Terms;

  • Optional Redemption Notice shall have the meaning set forth in Section 6(a).

  • Optional Redemption Amount means the sum of (a) 120% of the then outstanding principal amount of the Debenture, (b) accrued but unpaid interest on the Debenture and (c) all liquidated damages and other amounts due in respect of the Debenture.

  • Optional Redemption Amount (Call) means, in respect of any Note, its principal amount or such other amount as may be specified in, or determined in accordance with, the relevant Final Terms;

  • Optional Redemption shall have the meaning set forth in Section 6(a).

  • Optional Redemption Notice Date shall have the meaning set forth in Section 6(a).

  • Minimum Redemption means, in relation to the Euro Non-RDR ‘Retail’ Unhedged Distribution Shares, a minimum redemption of €250 or such lesser amount as may be agreed by the Directors;

  • Final Redemption Settlement Date means the day that falls three Currency Business Days after the Final Redemption Date.

  • Optional Redemption Date shall have the meaning set forth in Section 6(a).

  • Optional Redemption Amount (Put) means, in respect of any Note, its principal amount or such other amount as may be specified in, or determined in accordance with, the relevant Final Terms;

  • Optional Redemption Period shall have the meaning set forth in Section 6(a).

  • Optional Redemption Price means $25,000 per share plus an amount equal to accumulated but unpaid dividends (whether or not earned or declared) to the date fixed for redemption and excluding Additional Dividends plus any applicable redemption premium attributable to the designation of a Premium Call Period.

  • Optional Redemption Pricing Date means a Valuation Date on which a Redemption Order is determined to be valid and accepted by or on behalf of the Issuer in accordance with the terms of the LS Operating Procedures Agreement.

  • Call and Put Redemption Amount means GBP 1 per Preference Share.

  • Special Redemption Price has the meaning set forth in paragraph 4(a) of Annex I.