Index f definition

Index f means the official closing level of the Index on the Valuation Date
Index f means the official closing level of the Index on 21 March 2022.
Index f means the official closing level of the Index on 15 November 2021.

Examples of Index f in a sentence

  • Minimum Wage (b)∆ Minimum Wage(c) State Median Wage (d) ∆ Median Wage(e) Kaitz Index (f) ∆ Kaitz Index Center for Interdisciplinary Economics Discussion Papers DP-CIW 1/2011: Die Gemeinschaft der Lehrenden und Lernenden: Festvortragzur Promotionsfeier der Wirtschaftswissenschaftlichen Fakultät am 24.

  • This is currently only the case for PM, for which RAINS distinguishes the PM fine, PM coarse and PM rest fractions.• Index s corresponds to a sector (the number of sectors is about 30).• Index f corresponds to a specific fuel-type activity (e.g., brown coal or industrial production type).• Index a corresponds to an “economic” activity (a combination of a sector and fuel type activity for example gasoline use in transport).

  • No licensed contractor shall deposit, or permit to remain, any solid waste, landscape waste, or recyclables on any property except only as provided in this Chapter.

  • Section Following the release by Statistics Canada of the National All Items Consumer Price Index (hereinafter referred to as the base 100) for April the Company compare such Index f with the Consumer Price Index for January A cost of living allownace of one cent for each full points by which the April Index is higher than the January Index will be added to all Labour Grade Job Rates.

  • Coverage Details: a) Weather Parameter(s): b) Mathematical Construct of Weather Index: c) Reference Weather Station(s): d) Strike Index: e) Exit Index: f) Notional Payment: g) Compensation Payment Formula: 8.


More Definitions of Index f

Index f means the official closing level of the Index on 29 June 2023.
Index f means the official closing level of the Index on 17 April 2020.
Index f means the official closing level of the Underlying Reference Index on 07 December 2017. Variable Amounts: From and including the Effective Date, to and including the Termination Date, Party B will pay to Party A, amounts equal to and in the same currency as each amount of coupon or interest which is scheduled to be paid in respect of the Charged Assets in accordance with the terms and conditions thereof, each such amount being payable by Party B on the date on which such amount is scheduled to be paid to Party B. On each date on which redemption proceeds are due in respect of the scheduled maturity or redemption of one or more of the Charged Assets (each a “Charged Asset Redemption Date”), Party B will pay an amount equal to and in the same currency as such redemption proceeds (each such amount, “Charged Asset Redemption Proceeds”) to Party A free and clear of any interest of Party B or the Trustee. On each Charged Asset Redemption Date, Party A will be to Party B an amount equal to the EUR denominated Charged Asset Redemption Proceeds or, if Charged Asset Redemption Proceeds relating to that Charged Assets Redemption Date are non-EUR denominated, the Converted Charged Asset Redemption Proceeds. The dates and amounts of all payments specified in this paragraph are subject to the Special Provisions specified below, which will prevail in the event of any conflict Special Provisions Party A transfer of Charged Assets In the event that Party A has delivered a Substitution Notice pursuant to Condition 4(b)(i) (Substitution at direction of Counterparty) giving notice to Party B of its intention to substitute cash comprising the Charged Assets with certain Eligible Investments (such Eligible Investments as specified in the Substitution Notice, the "Substitute Charged Assets"), Party A shall, on the date specified for such substitution in the Substitution Notice, transfer the Substitute Charged Assets to Party B. The provisions of Condition 4(b) (Substitution of Charged Assets) will apply to each of the parties in respect of any such substitution. Party B transfer of Charged Assets
Index f. : means the official closing level of the Index on 16 September 2024.
Index f. : means the official closing level of the Underlying Reference Index on 15 December 2015.
Index f means the official closing level of the Index on the Valuation Date Initial Exchange Amount On the Effective Date, Party B will pay to Party A an amount equal to and in the same currency as the net subscription proceeds of the Securities received by Party B as issuer of the Securities.