Redemption at maturity. Unless previously redeemed or purchased and cancelled as provided below, the Issuer will redeem the Notes at their principal amount on 24th January, 2013.
Appears in 2 contracts
Samples: Supplemental Agency Agreement (PCCW LTD), Agency Agreement (PCCW LTD)
Redemption at maturity. Unless previously redeemed or purchased and cancelled as provided below, the Issuer will redeem the Notes at their principal amount on 24th January, 201330 June 2015.
Appears in 2 contracts
Samples: Agency Agreement (NYSE Euronext), First Supplemental Agency Agreement (NYSE Euronext)
Redemption at maturity. Unless previously redeemed redeemed, called or purchased and cancelled as provided below, the Issuer will redeem the Notes at their principal amount on 24th January, 4 October 2013.
Appears in 1 contract
Redemption at maturity. Unless previously redeemed or purchased and cancelled as provided below, the Issuer will redeem the Notes at their principal amount on 24th January, 201310 November 2015.
Appears in 1 contract
Samples: Trust Deed (Luxottica Group Spa)
Redemption at maturity. Unless previously redeemed or purchased and cancelled as provided below, the Issuer will redeem the Notes at their principal amount on 24th January, 201315 November 2029.
Appears in 1 contract
Samples: Agency Agreement