END OF OPTIONS. Dated: [date] [PAYING AGENT][REGISTRAR] By: .............................................................. [If the relevant Notes are in global form the notice of the exercise of the Change of Control Put Option in Condition 9.6 (Change of Control Put Option) should be submitted in accordance with the applicable rules and procedures of Euroclear, Clearstream, Luxembourg and/or other relevant clearing systems (as the case may be) and if possible, the relevant interests in the relevant Global Note should be blocked to the satisfaction of the relevant Paying Agent.] To: [Paying Agent] OPTION 1 (DEFINITIVE NOTES) - [complete/delete as applicable] By depositing this duly completed Notice with the above Paying Agent in relation to [specify relevant Series of Notes] (the "Notes") in accordance with Condition 9.6 (Change of Control Put Option), the undersigned Holder of the Notes specified below and deposited with this Change of Control Put Option Notice exercises its option to have such Notes redeemed in accordance with Condition 9.6 (Change of Control Put Option) on [date]. This Notice relates to the Note(s) bearing the following certificate numbers and in the following denominations: ...................................................................... ...................................................................... ...................................................................... ...................................................................... ...................................................................... ......................................................................
Appears in 2 contracts
Samples: Issue and Paying Agency Agreement, Issue and Paying Agency Agreement
END OF OPTIONS. DatedAll notices and communications relating to this Put Option Notice should be sent to the address specified below. Name of Holder: ...................................................................... Contact details: ...................................................................... Signature of Holder: ...................................................................... Date: ...................................................................... [date] To be completed by Paying Agent:] Received by:................................................. [PAYING AGENT][REGISTRAR] By: .............................................................. Signature and stamp of Paying Agent:] At its office at .............................................. ...................................................................... On ................................................................ [If the relevant Notes are in global form the notice of the exercise of the Change of Control Put Option in Condition 9.6 9(g) (Change of Control Put Option) should be submitted in accordance with the applicable rules and procedures of Euroclear, Clearstream, Luxembourg and/or other relevant clearing systems (as the case may be) and if possible, the relevant interests in the relevant Global Note should be blocked to the satisfaction of the relevant Paying Agent.] To: [Paying Agent] OPTION 1 (DEFINITIVE NOTES) - [complete/delete as applicable] By depositing this duly completed Notice with the above Paying Agent in relation to [specify relevant Series of Notes] (the "Notes") in accordance with Condition 9.6 9(g) (Change of Control Put Option), the undersigned Holder of the Notes specified below and deposited with this Change of Control Put Option Notice exercises its option to have such Notes redeemed in accordance with Condition 9.6 9(g) (Change of Control Put Option) on [date]. This Notice relates to the Note(s) bearing the following certificate numbers and in the following denominations: ...................................................................... ...................................................................... ...................................................................... ...................................................................... ...................................................................... ......................................................................
Appears in 1 contract
Samples: Issue and Paying Agency Agreement
END OF OPTIONS. DatedAll notices and communications relating to this Put Option Notice should be sent to the address specified below. Name of Holder: ...................................................................... Contact details: ...................................................................... Signature of Holder: ...................................................................... Date: ...................................................................... [date] To be completed by Paying Agent:] Received by: ................................................. [PAYING AGENT][REGISTRAR] By: .............................................................. Signature and stamp of Paying Agent:] At its office at .............................................. ...................................................................... On ................................................................ [If the relevant Notes are in global form the notice of the exercise of the Change of Control Put Option in Condition 9.6 10(g) (Change of Control Put Option) should be submitted in accordance with the applicable rules and procedures of Euroclear, Clearstream, Luxembourg and/or other relevant clearing systems (as the case may be) and if possible, the relevant interests in the relevant Global Note should be blocked to the satisfaction of the relevant Paying Agent.] To: [Paying Agent] OPTION 1 (DEFINITIVE NOTES) - [complete/delete as applicable] By depositing this duly completed Notice with the above Paying Agent in relation to [specify relevant Series of Notes] (the "Notes") in accordance with Condition 9.6 10(g) (Change of Control Put Option), the undersigned Holder of the Notes specified below and deposited with this Change of Control Put Option Notice exercises its option to have such Notes redeemed in accordance with Condition 9.6 10(g) (Change of Control Put Option) on [date]. This Notice relates to the Note(s) bearing the following certificate numbers and in the following denominations: ...................................................................... ...................................................................... ...................................................................... ...................................................................... ...................................................................... ......................................................................:
Appears in 1 contract
Samples: Issue and Paying Agency Agreement