Regular Floating Rate Note. Unless this Note is specified on the face hereof as a Floating Rate/Fixed Rate Note, this Note (a “Regular Floating Rate Note”) will bear interest at the rate determined by reference to the applicable Interest Rate Basis or Interest Rate Bases: (1) plus or minus the applicable Spread, if any; and/or (2) multiplied by the applicable Spread Multiplier, if any. Commencing on the first Interest Reset Date, the rate at which interest on this Regular Floating Rate Note is payable will be reset as of each Interest Reset Date; provided, however, that the interest rate in effect for the period, if any, from the Original Issue Date to the first Interest Reset Date will be the Initial Interest Rate.
Appears in 211 contracts
Samples: Indenture (Principal Life Insurance Co), Indenture (Principal Life Insurance Co), Indenture (Principal Life Insurance Co)
Regular Floating Rate Note. Unless this Note is specified on the face hereof as a Floating Rate/Fixed Rate Note, this Note (a “Regular Floating Rate Note”) will bear interest at the rate determined by reference to the applicable Interest Rate Basis or Interest Rate Bases: (1Bases:(1) plus or minus the applicable Spread, if any; and/or (2) multiplied by the applicable Spread Multiplier, if any. Commencing on the first Interest Reset Date, the rate at which interest on this Regular Floating Rate Note is payable will be reset as of each Interest Reset Date; provided, however, that the interest rate in effect for the period, if any, from the Original Issue Date to the first Interest Reset Date will be the Initial Interest Rate.
Appears in 105 contracts
Samples: Global Note (Principal Life Insurance Co), Global Note (Principal Life Insurance Co), Global Note (Principal Life Insurance Co)
Regular Floating Rate Note. Unless this Note is specified on the face hereof as a Floating Rate/Fixed Rate Note or an Inverse Floating Rate Note, this Note (a “Regular Floating Rate Note”) will bear interest at the rate determined by reference to the applicable Interest Rate Basis or Interest Rate Bases: (1) plus or minus the applicable Spread, if any; and/or (2) multiplied by the applicable Spread Multiplier, if any. Commencing on the first Interest Reset Date, the rate at which interest on this Regular Floating Rate Note is payable will be reset as of each Interest Reset Date; provided, however, that the interest rate in effect for the period, if any, from the Original Issue Date to the first Interest Reset Date will be the Initial Interest Rate.
Appears in 23 contracts
Samples: Note Agreement (Principal Life Income Fundings Trust 1), Global Note (Principal Life Insurance Co), Indenture (Principal Life Insurance Co)
Regular Floating Rate Note. Unless this Note is specified on the face hereof as a Floating Rate/Fixed Rate Note, this Note (a “"Regular Floating Rate Note”") will bear interest at the rate determined by reference to the applicable Interest Rate Basis or Interest Rate Bases: (1) plus or minus the applicable Spread, if any; and/or (2) multiplied by the applicable Spread Multiplier, if any. Commencing on the first Interest Reset Date, the rate at which interest on this Regular Floating Rate Note is payable will be reset as of each Interest Reset Date; providedPROVIDED, howeverHOWEVER, that the interest rate in effect for the period, if any, from the Original Issue Issuance Date to the first Interest Reset Date will be the Initial Interest Rate.
Appears in 2 contracts
Samples: Indenture (Hartford Life Global Funding Trust 2006-021), Note (Hartford Life Global Funding Trust 2006-001)
Regular Floating Rate Note. Unless this Note is specified on the face hereof as a Floating Rate/Fixed Rate Note or an Inverse Floating Rate Note, this Note (a “Regular Floating Rate Note”"REGULAR FLOATING RATE NOTE") will bear interest at the rate determined by reference to the applicable Interest Rate Basis or Interest Rate Bases: (1) plus or minus multiplied by the applicable SpreadSpread Multiplier, if any; and/or (2) multiplied by plus or minus the applicable Spread MultiplierSpread, if any. Commencing on the first Interest Reset Date, the rate at which interest on this Regular Floating Rate Note is payable will be reset as of each Interest Reset Date; providedPROVIDED, howeverHOWEVER, that the interest rate in effect for the period, if any, from the Original Issue Issuance Date to the first Interest Reset Date will be the Initial Interest Rate.
Appears in 1 contract
Regular Floating Rate Note. Unless this Note is specified on the face hereof as a Floating Rate/Fixed Rate Note or an Inverse Floating Rate Note, this Note (a “"Regular Floating Rate Note”") will bear interest at the rate determined by reference to the applicable Interest Rate Basis or Interest Rate Bases: (1) plus or minus multiplied by the applicable SpreadSpread Multiplier, if any; and/or (2) multiplied by plus or minus the applicable Spread MultiplierSpread, if any. Commencing on the first Interest Reset Date, the rate at which interest on this Regular Floating Rate Note is payable will be reset as of each Interest Reset Date; providedPROVIDED, howeverHOWEVER, that the interest rate in effect for the period, if any, from the Original Issue Issuance Date to the first Interest Reset Date will be the Initial Interest Rate.
Appears in 1 contract
Samples: Indenture Note (Hartford Life Global Funding Trust 2006-033)
Regular Floating Rate Note. Unless If this Note is specified on the face hereof as a Floating Rate/Fixed Rate Note, this Note (a “Regular Floating Rate Note”) will bear interest at the rate determined by reference to the applicable Interest Rate Basis or Interest Rate Bases: (1) plus or minus multiplied by the applicable SpreadSpread Multiplier, if any; and/or (2) multiplied by plus or minus the applicable Spread MultiplierSpread, if any. Commencing on the first Interest Reset Date, the rate at which interest on this Regular Floating Rate Note is payable will be reset as of each Interest Reset Date; provided, however, that the interest rate in effect for the period, if any, from the Original Issue Issuance Date to the first Interest Reset Date will be the Initial Interest Rate.
Appears in 1 contract