Common use of Interest and Interest Rate Clause in Contracts

Interest and Interest Rate. The Notes will bear interest at a rate of 8-5/8% per annum, from December 20, 2001 (or, in the case of Notes issued upon the reopening of this series of Notes, from the date designated by the Company in connection with such reopening) or from the immediately preceding Interest Payment Date to which interest has been paid or duly provided for, payable semiannually on each January 15 and July 15, commencing July 15, 2002 (each of which shall be an "Interest Payment Date"), to the Persons in whose names the Notes are registered in the Security Register at the close of business on January 1 and July 1, as the case may be (whether or not a Business Day), next preceding such Interest Payment Date (each, a "Regular Record Date").

Appears in 2 contracts

Samples: Supplemental Indenture (Senior Housing Properties Trust), Supplemental Indenture (Senior Housing Properties Trust)

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Interest and Interest Rate. The Notes will bear interest at a rate of 8-5/88 1/4% per annum, from December 20November 12, 2001 1998 (or, in the case of Notes issued upon the reopening of this series of Notes, from the date designated by the Company in connection with such reopening) or from the immediately preceding Interest Payment Date to which interest has been paid or duly provided for, payable semiannually monthly in arrears on the 15th of each January 15 and July month, commencing December 15, commencing July 15, 2002 1998 (each of which shall be an "Interest Payment Date"), to the Persons in whose names the Notes are registered in the Security Register at the close of business on January 1 and July 1, as the case may be 1st of each month (whether or not a Business Day), as the case may be, next preceding such Interest Payment Date (each, a "Regular Record Date").

Appears in 1 contract

Samples: Supplemental Indenture (Hospitality Properties Trust)

Interest and Interest Rate. The Notes will bear interest at a rate of 8-5/82.700% per annum, from December 2016, 2001 2019 (or, in the case of Notes issued upon the reopening of this series of Notes, from the date designated by the Company in connection with such reopening) or from the immediately preceding Interest Payment Date to which interest has been paid or duly provided for, payable semiannually semi-annually in arrears on each January of February 15 and July August 15, commencing July August 15, 2002 2020 (each of which shall be an "Interest Payment Date"), to the Persons in whose names the Notes are registered in the Security Register at the close of business on January February 1 and July or August 1, as the case may be (whether or not a Business Day), next preceding such Interest Payment Date (each, a "Regular Record Date").

Appears in 1 contract

Samples: Supplemental Indenture (Welltower Inc.)

Interest and Interest Rate. The Notes will bear interest at a rate of 8-5/84.500% per annum, from December 20October 7, 2001 2013 (or, in the case of Notes issued upon the reopening of this series of Notes, from the date designated by the Company in connection with such reopening) or from the immediately preceding Interest Payment Date to which interest has been paid or duly provided for, payable semiannually in arrears on each January 15 and July 15, commencing July 15, 2002 2014 (each of which shall be an "Interest Payment Date"), to the Persons in whose names the Notes are registered in the Security Register at the close of business on the January 1 and or July 1, as the case may be (whether or not a Business Day), next preceding such Interest Payment Date (each, a "Regular Record Date").

Appears in 1 contract

Samples: Supplemental Indenture (Health Care Reit Inc /De/)

Interest and Interest Rate. The Notes will bear interest at a rate of 8-5/81/2% per annum, from December 2016, 2001 1998 (or, in the case of Notes issued upon the reopening of this series of Notes, from the date designated by the Company in connection with such reopening) or from the immediately preceding Interest Payment Date to which interest has been paid or duly provided for, payable semiannually monthly in arrears on the 15th of each month, commencing January 15 and July 15, commencing July 15, 2002 1999 (each of which shall be an "Interest Payment Date"), to the Persons in whose names the Notes are registered in the Security Register at the close of business on January 1 and July 1, as the case may be 1st of each month (whether or not a Business Day), as the case may be, next preceding such Interest Payment Date (each, a "Regular Record Date").

Appears in 1 contract

Samples: Supplemental Indenture (Hospitality Properties Trust)

Interest and Interest Rate. The Notes will bear interest at a rate of 8-5/88 1/2% per annum, from December 2016, 2001 1998 (or, in the case of Notes issued upon the reopening of this series of Notes, from the date designated by the Company in connection with such reopening) or from the immediately preceding Interest Payment Date to which interest has been paid or duly provided for, payable semiannually monthly in arrears on the 15th of each month, commencing January 15 and July 15, commencing July 15, 2002 1999 (each of which shall be an "Interest Payment Date"), to the Persons in whose names the Notes are registered in the Security Register at the close of business on January 1 and July 1, as the case may be 1st of each month (whether or not a Business Day), as the case may be, next preceding such Interest Payment Date (each, a "Regular Record Date").

Appears in 1 contract

Samples: Supplemental Indenture (Hospitality Properties Trust)

Interest and Interest Rate. The Notes will bear interest at a rate of 8-5/84.70% per annum, from December 20September 10, 2001 2010 (or, in the case of Notes issued upon the reopening of this series of Notes, from the date designated by the Company in connection with such reopening) or from the immediately preceding Interest Payment Date to which interest has been paid or duly provided for, payable semiannually in arrears on each January March 15 and July September 15, commencing July March 15, 2002 2011 (each of which shall be an "Interest Payment Date"), to the Persons in whose names the Notes are registered in the Security Register at the close of business on January March 1 and July September 1, as the case may be (whether or not a Business Day), next preceding such Interest Payment Date (each, a "Regular Record Date").

Appears in 1 contract

Samples: Supplemental Indenture (Health Care Reit Inc /De/)

Interest and Interest Rate. The Notes will bear interest at a rate of 8-5/83/8% per annum, from December 20June 17, 2001 1999 (or, in the case of Notes issued upon the reopening of this series of Notes, from the date designated by the Company in connection with such reopening) or from the immediately preceding Interest Payment Date to which interest has been paid or duly provided for, payable semiannually monthly in arrears on the 15th of each January 15 and July 15month, commencing July 15, 2002 1999 (each of which shall be an "Interest Payment Date"), to the Persons in whose names the Notes are registered in the Security Register at the close of business on January 1 and July 1, as the case may be 1st of each month (whether or not a Business Day), as the case may be, next preceding such Interest Payment Date (each, a "Regular Record Date").

Appears in 1 contract

Samples: Supplemental Indenture (HRPT Properties Trust)

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Interest and Interest Rate. The Notes will bear interest at a rate of 8-5/84.950% per annum, from December 20November 16, 2001 2010 (or, in the case of Notes issued upon the reopening of this series of Notes, from the date designated by the Company in connection with such reopening) or from the immediately preceding Interest Payment Date to which interest has been paid or duly provided for, payable semiannually in arrears on each January 15 and July 15, commencing July 15, 2002 2011 (each of which shall be an "Interest Payment Date"), to the Persons in whose names the Notes are registered in the Security Register at the close of business on January 1 and or July 1, as the case may be (whether or not a Business Day), next preceding such Interest Payment Date (each, a "Regular Record Date").

Appears in 1 contract

Samples: Supplemental Indenture (Health Care Reit Inc /De/)

Interest and Interest Rate. The Notes will bear interest at a rate of 8-5/87 7/8% per annum, from December 20April 21, 2001 2003 (or, in the case of Notes issued upon the reopening of this series of Notes, from the date designated by the Company in connection with such reopening) or from the immediately preceding Interest Payment Date to which interest has been paid or duly provided for, payable semiannually on each January April 15 and July October 15, commencing July October 15, 2002 2003 (each of which shall be an "Interest Payment Date"), to the Persons in whose names the Notes are registered in the Security Register at the close of business on January April 1 and July October 1, as the case may be (whether or not a Business Day), next preceding such Interest Payment Date (each, a "Regular Record Date").

Appears in 1 contract

Samples: Senior Housing Properties Trust

Interest and Interest Rate. The Notes will bear interest at a rate of 8-5/82.750% per annum, from December 20June 30, 2001 2020 (or, in the case of Notes issued upon the reopening of this series of Notes, from the date designated by the Company in connection with such reopening) or from the immediately preceding Interest Payment Date to which interest has been paid or duly provided for, payable semiannually semi-annually in arrears on each of January 15 and July 15, commencing July January 15, 2002 2021 (each of which shall be an "Interest Payment Date"), to the Persons in whose names the Notes are registered in the Security Register at the close of business on January 1 and or July 1, as the case may be (whether or not a Business Day), next preceding such Interest Payment Date (each, a "Regular Record Date").

Appears in 1 contract

Samples: Supplemental Indenture (Welltower Inc.)

Interest and Interest Rate. The Notes will bear interest at a rate of 8-5/83.100% per annum, from December 20August 19, 2001 2019 (or, in the case of Notes issued upon the reopening of this series of Notes, from the date designated by the Company in connection with such reopening) or from the immediately preceding Interest Payment Date to which interest has been paid or duly provided for, payable semiannually semi-annually in arrears on each of January 15 and July 15, commencing July January 15, 2002 2020 (each of which shall be an "Interest Payment Date"), to the Persons in whose names the Notes are registered in the Security Register at the close of business on January 1 and or July 1, as the case may be (whether or not a Business Day), next preceding such Interest Payment Date (each, a "Regular Record Date").

Appears in 1 contract

Samples: Supplemental Indenture (Welltower Inc.)

Interest and Interest Rate. The Notes will bear interest at a rate of 87-5/87/8% per annum, from December 20March 24, 2001 1999 (or, in the case of Notes issued upon the reopening of this series of Notes, from the date designated by the Company in connection with such reopening) or from the immediately preceding Interest Payment Date to which interest has been paid or duly provided for, payable semiannually monthly in arrears on the 15th of each January 15 and July month, commencing May 15, commencing July 15, 2002 1999 (each of which shall be an "Interest Payment Date"), to the Persons in whose names the Notes are registered in the Security Register at the close of business on January 1 and July 1, as the case may be 1st of each month (whether or not a Business Day), as the case may be, next preceding such Interest Payment Date (each, a "Regular Record Date").

Appears in 1 contract

Samples: Supplemental Indenture (HRPT Properties Trust)

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