Examples of Merger Event Redemption Date in a sentence
If this Condition 6(a)(v)(12) is specified as applicable hereon, in the event that in the determination of the Calculation Agent a Merger Event has occurred, the Issuer may give notice to the Noteholders in accordance with Condition 15 and redeem all but not some only of the Notes at the Merger Event Redemption Amount on the Merger Event Redemption Date.
If “Merger Event” is specified as applying in the applicable Final Terms, in the event that in the determination of the Calculation Agent a Merger Event has occurred, the Issuer may give notice to the Noteholders in accordance with Condition 18 and redeem each Note at the Early Redemption Amount on the Merger Event Redemption Date.
Where "Merger Event" is specified as applying in the applicable Pricing Supplement, in the event that in the determination of the Calculation Agent a Merger Event has occurred, the Issuer may give notice to the Noteholders in accordance with Condition 15 (Notices) and redeem each Note at the Early Redemption Amount on the Merger Event Redemption Date (as specified in the applicable Pricing Supplement).
If this Reference Asset Linked Condition 2(e) is specified as applicable in the applicable Pricing Supplement, in the event that in the determination of the Calculation Agent a Merger Event has occurred, the Issuer may give notice to the Noteholders in accordance with Condition 13 of the General Conditions and redeem the Reference Asset Linked Notes at the Early Redemption Amount on the Merger Event Redemption Date.
The Company shall publicly announce the results of the Cash Merger Event Offer on or as soon as practicable after the applicable Cash Merger Event Redemption Date.
If Condition 12(i) is specified as applicable in the applicable Final Terms, in the event that in the determination of the Calculation Agent a Merger Event has occurred, the Issuer may give notice to the Noteholders in accordance with Condition 19 and redeem the Notes at the Early Redemption Amount on the Merger Event Redemption Date.
If this Condition 7(h) is specified as applicable in the applicable Final Terms, in the event that in the determination of the Calculation Agent a Merger Event has occurred, the Issuer or the Guarantor, as applicable, may give notice to the Noteholders in accordance with Condition 14 and redeem the Credit Linked Notes at the Early Redemption Amount specified in the applicable Final Terms on the Merger Event Redemption Date.
If this Credit Linked Condition 2.3 is specified as applicable in the applicable Pricing Supplement, in the event that in the determination of the Calculation Agent a Merger Event has occurred, the Issuer may give notice to the Noteholders in accordance with Condition 16 and redeem all but not some only of the Credit Linked Notes at the CLN Early Redemption Amount (as determined by the Calculation Agent in its sole and absolute discretion) on the Merger Event Redemption Date.
Where “Merger Event” is specified as applying in the applicable Final Terms, in the event that in the determination of the Calculation Agent a Merger Event has occurred, the Issuer may give notice to the Securityholders in accordance with Condition 15 and redeem each Security at the Early Redemption Amount on the Merger Event Redemption Date.