Common use of Central Bank Rate Spread Clause in Contracts

Central Bank Rate Spread. In relation to any RFR Banking Day, the difference (expressed as a percentage rate per annum) calculated by the Agent between:

Appears in 2 contracts

Samples: Revolving Facility Agreement (Bunge Global SA), Facility Agreement (Bungeltd)

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Central Bank Rate Spread. In relation to any RFR Banking Day, the difference (expressed as a percentage rate per annum) calculated by the Agent between(or by any other Finance Party which agrees to do so in place of the Agent) of:

Appears in 2 contracts

Samples: Note Subscription Agreement (CorpAcq Group PLC), Note Subscription Agreement (CorpAcq Group PLC)

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Central Bank Rate Spread. In relation to any RFR Banking Day, the difference (expressed as a percentage rate per annum) calculated by the Agent or by any other Finance Party which agrees to make the calculation in place of the Agent) between:

Appears in 2 contracts

Samples: Loan Agreement (Castor Maritime Inc.), Facility Agreement (Castor Maritime Inc.)

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