Call Redemption Date definition

Call Redemption Date means the date fixed for redemption of the Notes pursuant to §5 [(3)] (b).]
Call Redemption Date means the date specified as such in the Additional Conditions or, if none, the Interest Payment Date next following the date on which the Notice of Redemption is effective.
Call Redemption Date means the First Reset Date and each [anniversary date thereof] [Distribution Payment Date thereafter] [Reset Date thereafter].The Issuer may exercise its redemption right pursuant to § 5 (3) only if the Current Principal Amount of each Note is equal to its Original Principal Amount.(4) Redemption for Reasons of Taxation. If a Tax Event occurs, the Issuer may, upon giving notice in accordance with § 5 (7), redeem the Notes in whole, but not in part, at the Redemption Amount at any time on the date of redemption specified in the notice, provided that the conditions to redemption and repurchase laid down in § 5 (6) are met. In addition, the Issuer will pay distributions, if any, accrued on the Current Principal Amount to but excluding the date of redemption specified in the notice, subject to cancellation of distributions pursuant to § 3 (6).Where:A "Gross-up Event" occurs if there is a change in the applicable tax treatment of the Notes based on a decision of the local tax authority having competence over the Issuer as a result of which the Issuer has paid, or will or would on the next Distribution Payment Date be required to pay, any Additional Amounts (as defined in § 7 (1)).A "Tax Deductibility Event" occurs if there is a change in the applicable tax treatment of the Notes as a result of which the Issuer, in computing its taxation liabilities in Austria, would not be entitled to claim a deduction in respect of distributions paid on the Notes, or such deductibility is materially reduced.

Examples of Call Redemption Date in a sentence

  • If “Issuer Call Option” is applicable, the Issuer may, upon delivering a Notice of Redemption within the Issuer Call Option Period, redeem all or part of the Notes at their Call Redemption Amount on the Call Redemption Date specified in such notice.

  • The Call Option Notice shall specify the date for repayment of the Subordinated Loan and the date for redemption of the Notes (the "Call Redemption Date").

  • The Company shall deliver the Call Redemption Price to the Holder on or before the Call Redemption Date.

  • With respect to each Payment Date, Redemption Date, Refinancing Redemption Date or Clean-Up Call Redemption Date, the date that is 15 days (whether or not a Business Day) prior to such Payment Date, Redemption Date, Refinancing Redemption Date or Clean-Up Call Redemption Date, as applicable.

  • Upon giving an Issuer’s Call Notice, the Bonds shall be redeemed on the Call Redemption Date at their Call Redemption Price.


More Definitions of Call Redemption Date

Call Redemption Date means the date fixed for redemption of the Notes pursuant to §5 [(4)] (b).][Im Fall von Wahl-Rückzahlungsperiode(n) (Call) einfügen:
Call Redemption Date means each Business Day within the Call Redemption Period(s) as selected by the Issuer.Call- Rückzahlungsperiode[Call- Rückzahlungsperiode einfügen]Call- Rückzahlungsbetrag[Call- Rückzahlungsbetrag/ beträge einfügen]Call Redemption Pe- riod(s)[insert Call Redemption Period(s)]Call Redemption Amount(s)[insert Call Redemption Amount(s)] Falls die Anleihegläu- biger eben- falls ein Recht haben, die Schuld- verschrei- bungen vorzeitig zu kündigen, gilt folgen- des: Der Emittentin steht dieses Recht nicht in Bezug auf eine Schuldverschreibung zu, deren Rückzahlung bereits der Anleihegläubiger in Ausübung seines Rechts gemäß § 4(e) verlangt hat. The Issuer may not exercise such option in respect of any Note which is the subject of the prior exercise by the Noteholder thereof of its option to require the redemption of such Note in accordance with § 4(e). If Notes are also subject to early redemption at the option of the Noteholders, the following applies: Falls die Emittentin das Wahl- recht hat, die Schuldver- schreibun- gen vorzeitig bei Eintritt eines transak- tionsbezoge- nen Ereignisses zum Ereig- nis-Wahl- rückzah- lungsbetrag zurückzu- zahlen, gilt folgendes: [(iv)] Die Emittentin ist berechtigt, die Schuldverschreibungen (insgesamt oder teilweise) durch eine Transak- tions-Mitteilung gemäß den nach- stehend aufgeführten Bedingungen und gemäß § 4(d) mit Wirkung zu dem Ereignis-Wahl-Rückzahlungstag zur vorzeitigen Rückzahlung zu kündigen. Wenn die Emittentin ihr Kündigungsrecht gemäß Satz 1 ausübt, ist die Emittentin verpflichtet, jede zurückzuzahlende Schuldver- schreibung an dem Ereignis-Wahl- Rückzahlungstag zum Transaktions- Rückzahlungsbetrag zuzüglich der bis zum Ereignis-Wahl-Rückzahlungstag (ausschließlich) aufgelaufenen Zinsen zurückzuzahlen.
Call Redemption Date means each Business Day within the Call Redemption Period(s) as selected by the Issuer.
Call Redemption Date means the date fixed for redemption of the Notes pursuant to § 5 [(3)] (b).] In the case of a partial redemption of Notes, Notes to be redeemed shall be selected in accordance with the rules of the relevant Clearing System. [In case of Notes in NGN form, the following applies: Such partial redemption shall be reflected in the records of CBL and Euroclear as either a pool factor or a reduction in the aggregate principal amount, at the discretion of CBL and Euroclear.]] [If the Notes are subject to Early Redemption at the Option of the Issuer upon publication of a Transaction Trigger Notice at the Trigger Call Redemption Amount, the following applies: ([5]) Early Redemption at the Option of the Issuer upon publication of a Transaction Trigger Notice.The Issuer may, upon a Transaction Trigger Notice given in accordance with clause (b), redeem the Notes in whole or in part only at any time at the Trigger Call Redemption Amount together with accrued interest, if any, to (but excluding) the respective redemption date. "Trigger Call Redemption Amount" means [Call Redemption Amount].
Call Redemption Date means the date fixed for redemption of the Notes pursuant to §5 [(3)] (b).] In the case of a partial redemption of Notes, Notes to be redeemed shall be selected in accordance with the rules of the relevant Clearing System. [In case of Notes in NGN form the following applies: Such partial redemption shall be reflected in the records of CBL and Euroclear as either a pool factor or a reduction in principal amount, at the discretion of CBL and Euroclear.]] [If the Notes are subject to Early Redemption at the Option of a Holder, the following applies:
Call Redemption Date means such Call Redemption Date set forth below.
Call Redemption Date means each Business Day within the Call Redemption Period[s] as selected by the Issuer.Wahl- Rückzahlungszeitraum/ zeiträume[Wahl- Rückzahlungszeitrau m/zeiträume]Wahl- Rückzahlungsbetrag/- beträge[Wahl- Rückzahlungsbetrag/- beträge]Call Redemption Period(s) [Call Redemption Period(s)]Call Redemption Amount(s) [Call Redemption Amounts][●] [●] [●] [●][●] [●] [●] [●][Falls der Gläubiger ein Wahlrecht hat, die Schuldverschreibungen vorzeitig zu kündigen ist Folgendes anwendbar: Der Emittentin steht dieses Wahlrecht nicht in Bezug auf eine Schuldverschreibung zu, deren Rückzahlung bereits der Gläubiger in Ausübung seines Wahlrechts nach Absatz [5] dieses § 6 verlangt hat.](b) Die Kündigung ist den Gläubigern der Schuldverschreibungen durch die Emittentin gemäß [§ 14] und dem Fiscal Agent bekannt zu geben (die Kündigung gegenüber dem Fiscal Agent hat mindestens 2 Geschäftstage vor der Kündigung gegenüber den Gläubigern zu erfolgen). Sie beinhaltet die folgenden Angaben: