MTN ISSUER definition

MTN ISSUER means Barclaycard Funding PLC;
MTN ISSUER means Barclaycard Funding PLC a public limited company incorporated in England and Wales whose registered office is at 00 Xxxxxxx Xxxxxx, Xxxxxx XX0X 0XX;
MTN ISSUER means Barclaycard Funding PLC, a public limited company incorporated under the laws of England and Wales with company number 2530163, in its capacity as issuer of medium term notes and medium term note certificates under the Programme;

Examples of MTN ISSUER in a sentence

  • The notes were issued at a discount at 99.44% of the principal amount.On 22nd May, 2013, the Regal REIT MTN Issuer issued under the Regal REIT MTN Programme a series of United States dollar denominated senior unsecured 5-year term notes in an aggregate nominal principal amount of US$150.0 million at a coupon interest rate of 4.10% per annum.

  • To set adequately in a context these papers, it is as well to clarify that among them, by express will of the Organizing Committee (the Department teaching staff), there are both works of veteran historians, almost everybody university researchers (even some papers of invited established authors as Pierre Vilar and Miquel Batllori), and the contributions of new researchers.

  • On 19th October, 2012, the MTN Issuer issued under the MTN Programme a series of United States dollar denominated senior unsecured 5-year term notes in an aggregate nominal principal amount of US$300.0 million at a coupon interest rate of 4.25% per annum.

  • On 22nd May, 2013, the Regal REIT MTN Issuer issued under the Regal REIT MTN Programme a series of United States dollar denominated senior unsecured 5-year term notes in an aggregate nominal principal amount of US$150.0 million at a coupon interest rate of 4.10% per annum.

  • Under the MTN Programme, the MTN Issuer may, subject to the compliance with all relevant laws, regulations and directives, from time to time issue notes in series or in tranches in Singapore dollars, United States dollars or any other currency (the "Notes").


More Definitions of MTN ISSUER

MTN ISSUER means Barclaxxxxx Xunding PLC, a public limited company incorporated under the laws of England and Wales with company number 2530163, in its capacity as issuer of medium term notes and medium term note certificates under the Programme;
MTN ISSUER. Available Funds (Series 03-3 Class C)" means, in relation to any Party B Floating Rate Payer Payment Date, the aggregate amount of Finance Charge Collections and Acquired Interchange that is distributed by the Receivables Trustee to Barclaycard
MTN ISSUER means Silver Funding Limited whose registered office is at Xxxxxxxx Xxxxxxxx, Xxx Xxxxxx, St. Helier, Jersey, JE4 9WG, Channel Islands;
MTN ISSUER means Silver Funding Limited whose registered office is at Xxxxxxxx Xxxxxxxx, Xxx Xxxxxx, St. Helier, Jersey, JE4 9WG, Channel Islands; MTN Issuer Account Bank means Deutsche Bank AG, Amsterdam and any other successor bank appointed in accordance with the Cash Management Agreement;
MTN ISSUER means Barclaycard Funding PLC a public limited company incorporated in England and Wales whose registered office is at 54 Lombard Street, London EC3P 3AH;
MTN ISSUER means Barclaycard Xxxxxxg PLC;
MTN ISSUER. Available Funds (Series 03-3 Class A2)" means, in relation to any Party B Floating Rate Payer Payment Date, the aggregate amount of Finance Charge Collections and Acquired Interchange that is distributed by the Receivables Trustee to Barclaycard Funding plc (the "MTN Issuer") by the Receivables Trustee (and deposited in the Series 03-3 Distribution Account) on the related Distribution Date in respect of the Class A2 Monthly Finance Amount (provided that, for the avoidance of doubt, MTN Issuer Available Funds (Series 03-3 Class A2) excludes any amounts distributed by the Receivables Trustee to the MTN Issuer in respect of Excess Finance Charge Amounts). "Party B Available Funds (Series 03-3 Class A2)" means, in relation to any Party B Floating Rate Payer Payment Date, the amount that is available to Party B for payment of the Party B Floating Rate Payer Payment Amount calculated for that Party B Floating Rate Payer Payment Date in accordance with the priority of payments set forth in the Trust Deed (provided that, for the avoidance of doubt, Party B Available Funds (Series 03-3 Class A2) shall exclude any amounts received by Party B in respect of Further Interest on the Series 03-3 MTN Certificate).