Examples of Early Redemption Event Notice in a sentence
Failure by the Series Calculation Agent to deliver an Early Redemption Event Notice shall not preclude the Issuer from notifying the Series Calculation Agent of the occurrence of one or more than one subsequent event(s) described in Condition 7(c) or 7(d).
For the avoidance of doubt, an event described in Condition 7(c) or 7(d) need not be continuing on the date on which the Early Redemption Event Notice is delivered by the Series Calculation Agent.
An MTM Trigger Event shall occur if on any Business Day the Market Trigger Condition, as determined by the Series Calculation Agent, has been satisfied and the Series Calculation Agent has notified the Issuer, the Notice Agent, the Clearing System, the Trustee, the Noteholders and the Swap Counterparty of such occurrence within 10 Business Days and such notice shall be deemed to constitute an Early Redemption Event Notice.
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The Notes shall not be redeemed early unless pursuant to Conditions 7(c), (d), (g) and (m), an Early Redemption Event Notice is delivered on or prior to the Latest Determination Time.
The Notes shall not be redeemed early unless pursuant to Conditions 7(c), 7(d), 7(g) and 7(m), an Early Redemption Event Notice is delivered on or prior to the Latest Determination Time.
Each Noteholder may on or prior to the fifth Business Day after the Early Redemption Event Notice Date confirm whether it elects for Cash Settlement or Physical Settlement upon Early Redemption to apply by delivering to the Calculation Agent a notice in the form set out in Part H – Form of Settlement Election Notice (the “Settlement Election Notice”), together with evidence satisfactory to the Calculation Agent of its holding of Notes.
Each Note bears interest on its Outstanding Principal Amount as specified in Condition 6(c), provided that interest will cease to accrue on the earliest of (a) the Event Determination Date if a Credit Event occurs;(b) the Early Redemption Event Notice Date; and (c) the Scheduled Maturity Date.
An “MTM Trigger Event” shall occur if on any Business Day the Market Trigger Condition, as determined by the Series Calculation Agent, hasbeen satisfied and the Series Calculation Agent has elected to notify the Issuer, the Notice Agent, the Clearing System, the Trustee, the Noteholders and the Swap Counterparty of such occurrence within 10 Business Days and such notice shall be deemed to constitute an Early Redemption Event Notice.
If an ODI Early Redemption Event occurs, the Issuer may, by giving not less than one Business Days' notice (the "Local Jurisdiction Early Redemption Event Notice"), redeem the Securities in whole at their Local Jurisdiction Early Redemption Cash Settlement Amount on the Local Jurisdiction Early Redemption Date.