0001086888-17-000028 Sample Contracts

MANULIFE FINANCIAL CORPORATION SUBORDINATED DEBT SECURITIES UNDERWRITING AGREEMENT
Underwriting Agreement • February 22nd, 2017 • Manulife Financial Corp • Life insurance • New York

Screen Page on the Reset Interest Determination Date, the Reset Reference Bank Rate on the Reset Interest Determination Date, in either case, as determined by the Company, whose determination will be final and binding. "Reset Screen Page" means Bloomberg page "USISDA05" (or any successor page or, if a successor page is unavailable, the equivalent page of Reuters or any comparable provider) as at 11:00 a.m. (New York time). "Reset Interest Determination Date" means the day falling two Business Days prior to the Reset Date. "Reset Reference Bank Rate" means the percentage rate determined on the basis of the 5-Year Mid-Swap Rate Quotation provided by five leading swap dealers in the interbank market (selected by the Company) to the Company at approximately 11:00 a.m. (New York time) on the Reset Interest Determination Date. If at least three quotations are provided, the 5-Year Mid-Swap Rate will be the arithmetic mean of the quotations calculated by the Company, eliminating the highest qu

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