Common use of Terms of Debt Securities Clause in Contracts

Terms of Debt Securities. The Offered Securities shall have the terms set forth in the Prospectus dated January 30, 1998, and the Prospectus Supplement dated March 4, 1998, including the following: Maturity Date: March 1, 2008 Interest Rate: 6.80% Redemption Provisions: Redeemable in whole or in part, at the option of the Company at any time, at redemption prices as set forth in the form of note security representing the Debt Securities Interest Payment Dates: March 1 and September 1 commencing September 1, 1998

Appears in 1 contract

Samples: Underwriting Agreement (K N Energy Inc)

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Terms of Debt Securities. The Offered Securities shall have the terms set forth in the Prospectus dated January 30, 1998, and the Prospectus Supplement dated March 4, 1998, including the following: Maturity Date: March 1, 2008 2003 Interest Rate: 6.80% Redemption Provisions: Redeemable in whole or in part, at the option of the Company at any time, at redemption prices as set forth in the form of note security representing the Debt Securities Interest Payment Dates: March 1 and September 1 commencing September 1, 19986.45%

Appears in 1 contract

Samples: Underwriting Agreement (K N Energy Inc)

Terms of Debt Securities. The Offered Securities shall have the terms set forth in the Prospectus dated January 30, 1998, and the Prospectus Supplement dated March 4, 1998, including the following: Maturity Date: March 1, 2008 2021 (subject to "Call Option; Mandatory Put" below) Interest Rate: 6.80% Redemption Provisions: Redeemable in whole or in part, at the option of the Company at any time, at redemption prices as set forth in the form of note security representing the Debt Securities Interest Payment Dates: March 1 and September 1 commencing September 1, 19986.30%

Appears in 1 contract

Samples: Underwriting Agreement (K N Energy Inc)

Terms of Debt Securities. The Offered Securities shall have the terms set forth in the Prospectus dated January 30, 1998, and the Prospectus Supplement dated March 4, 1998, including the following: Maturity Date: March 1, 2008 2098 Interest Rate: 6.807.45% Redemption Provisions: Redeemable in whole or in part, at the option of the Company at any time, at redemption prices as set forth in the form of note security representing the Debt Securities Interest Payment Dates: March 1 and September 1 commencing September 1, 1998

Appears in 1 contract

Samples: Underwriting Agreement (K N Energy Inc)

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Terms of Debt Securities. The Offered Securities shall have the terms set forth in the Prospectus dated January 30, 1998, and the Prospectus Supplement dated March 4, 1998, including the following: Maturity Date: March 1, 2008 2005 Interest Rate: 6.80% Redemption Provisions: Redeemable in whole or in part, at the option of the Company at any time, at redemption prices as set forth in the form of note security representing the Debt Securities Interest Payment Dates: March 1 and September 1 commencing September 1, 19986.65%

Appears in 1 contract

Samples: Underwriting Agreement (K N Energy Inc)

Terms of Debt Securities. The Offered Securities shall have the terms set forth in the Prospectus dated January 30, 1998, and the Prospectus Supplement dated March 4, 1998, including the following: Maturity Date: March 1, 2008 2028 Interest Rate: 6.807.25% Redemption Provisions: Redeemable in whole or in part, at the option of the Company at any time, at redemption prices as set forth in the form of note security representing the Debt Securities Interest Payment Dates: March 1 and September 1 commencing September 1, 1998

Appears in 1 contract

Samples: Underwriting Agreement (K N Energy Inc)

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