0001193125-13-253519 Sample Contracts

THE NASDAQ OMX GROUP, INC. €600,000,000 3.875% Senior Notes due 2021 Underwriting Agreement
Nasdaq Omx Group, Inc. • June 10th, 2013 • Security & commodity brokers, dealers, exchanges & services • New York

The Notes will bear interest at a rate of 3.875% per year. Interest on the Notes will be payable annually in arrears on June 7 of each year, beginning on June 7, 2014, and will be computed on the basis of the actual number of days in the period for which interest is being calculated and the actual number of days from and including the last date on which interest was paid on the Notes (or the settlement date if no interest has been paid or duly provided for on the Notes), to but excluding the next date on which interest is paid or duly provided for. Interest on the Notes will accrue from and including the settlement date and will be paid to holders of record on the June 6 immediately before the applicable interest payment date.

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