Examples of Early Tax Redemption Price in a sentence
Upon surrender of such Notes for redemption in accordance with the notice, such Notes shall be paid by the Issuer at the Early General Redemption Price or the Early Tax Redemption Price, as applicable.
At least one Business Day prior to any Early General Redemption Date or Early Tax Redemption Date, as the case may be, the Issuer shall deposit with the Trustee an amount of money sufficient to pay the Early General Redemption Price or the Early Tax Redemption Price, as applicable, of all the Notes.
At least one Business Day prior to any Early Tax Redemption Date, as the case may be, the Issuer shall deposit with the Trustee an amount of money sufficient to pay the Early Tax Redemption Price, as applicable, of all the Notes.
At least one Business Day prior to any Early General Redemption Date or Early Tax Redemption Date, as the case may be, the Issuer will provide to the Paying Agent a notice regarding the payment by the Issuer to the Paying Agent of the Early General Redemption Price or the Early Tax Redemption Price, as applicable.
At least one Business Day prior to any Early Tax Redemption Date the Issuer will provide to the Paying Agent a notice regarding the payment by the Issuer to the Paying Agent of the Early Tax Redemption Price.
Upon surrender of such Notes for redemption in accordance with the notice, such Notes shall be paid by the Issuer at the Early Tax Redemption Price.
Notice of Early Tax Redemption having been given as aforesaid, the Notes so to be redeemed shall, on the Early Tax Redemption Date, as the case may be, become due and payable at the Early Tax Redemption Price therein specified and from and after such date (unless the Issuer shall default in the payment of the Early Tax Redemption Price) such Notes shall cease to bear interest.
At least one Business Day prior to any Early General Redemption Date or Early Tax Redemption Date, as the case may be, the Issuer will provide to the Principal Paying Agent a notice regarding the payment by the Issuer to the Principal Paying Agent of the Early General Redemption Price or the Early Tax Redemption Price, as applicable.
At least one Business Day prior to any Early General Redemption Date or Early Tax Redemption Date, as the case may be, the Issuer shall deposit with the Indenture Trustee an amount of money sufficient to pay the Early General Redemption Price or the Early Tax Redemption Price, as applicable, of all the Notes.
Upon surrender of such Notes for redemption in accordance with the notice, such Notes shall be paid by the Company at the Optional Redemption Price or the Early Tax Redemption Price, as applicable.