Par Value Redemption Price definition

Par Value Redemption Price has the meaning set forth in Section 3.3(a).
Par Value Redemption Price means the aggregate principal amount of the applicable Convertible Notes being redeemed, plus any accrued and unpaid interest on the Convertible Notes through the applicable date of consummation of the redemption (as specified in Section 3.4 below).
Par Value Redemption Price has the meaning set forth in Section 3.2(d). SECURITIES PURCHASE AGREEMENT - Page 9 (AutoBond Acceptance Corporation)

Examples of Par Value Redemption Price in a sentence

  • The Company may, and shall be obligated to, prepay all or a portion of this Convertible Note at either the Par Value Redemption Price or Formula Price, as applicable, on the terms and conditions specified in the Agreement.

  • During the Bridge Period, the Company may, at its option, repay, in whole or in part, the Convertible Notes at a price equal to 100% of the aggregate principal amount then outstanding, together with all accrued and unpaid interest thereon (the "Par Value Redemption Price").

  • On March 31, 2001 the remaining outstanding principal balance of the Convertible Note plus all accrued and unpaid interest thereon shall be due and payable in full (including, without limitation, Default Interest, if any) (the unpaid principal balance of the Convertible Note, plus all accrued and unpaid interest thereon, including Default Interest, if any, is herein referred to as the "Par Value Redemption Price").

  • If such redemption occurs prior to the expiration of the Bridge Period, the redemption price shall be Par Value Redemption Price.

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Related to Par Value Redemption Price

  • Series A Redemption Price has the meaning set forth in Section 16.6(a).

  • Note Redemption Price means, for the Redemption Date, an amount equal to the sum of:

  • Optional Redemption Price shall have the meaning set forth in Section 3.2.

  • Make-Whole Redemption Price means the sum of the outstanding principal amount of the Notes to be redeemed plus the Make-Whole Amount of such Notes. Calculation or verification of the calculation of the Make-Whole Redemption Price is not the responsibility of the Trustee and the Trustee may conclusively rely on an Officers’ Certificate with respect thereto without investigation.

  • Special Redemption Price has the meaning set forth in paragraph 4(a) of Annex I.

  • Triggering Redemption Amount means, for each share of Preferred Stock, the sum of (a) the greater of (i) 130% of the Stated Value and (ii) the product of (y) the VWAP on the Trading Day immediately preceding the date of the Triggering Event and (z) the Stated Value divided by the then Conversion Price, (b) all accrued but unpaid dividends thereon and (c) all liquidated damages and other costs, expenses or amounts due in respect of the Preferred Stock.

  • Series A Redemption Date has the meaning set forth in Section 16.6.

  • Series A Redemption Notice has the meaning set forth in Section 16.6(b).

  • Optional Redemption Amount means the sum of (a) 120% of the then outstanding principal amount of the Debenture, (b) accrued but unpaid interest and (c) all liquidated damages and other amounts due in respect of the Debenture.

  • Mandatory Redemption Price means $25,000 per share of AMPS plus an amount equal to accumulated but unpaid dividends (whether or not earned or declared) to the date fixed for redemption and excluding Additional Dividends.

  • Final Redemption Amount means, in respect of any Note, its principal amount or such other amount as may be specified in, or determined in accordance with, the relevant Final Terms;

  • Make-Whole Redemption Amount means the sum of:

  • Optional Redemption Premium means, with respect to any Series, the premium (expressed as a percentage of the Liquidation Preference of the shares of such Series) payable by the Fund upon the redemption of MuniFund Term Preferred Shares of such Series at the option of the Fund, as set forth in the Appendix for such Series.

  • Indenture Redemption Price has the meaning specified in Section 4.2(c).

  • Minimum Redemption Amount has the meaning specified in the applicable Final Terms;

  • Optional Redemption Date shall have the meaning set forth in Section 6(a).

  • Term Redemption Date means, with respect to any Series, the date specified as the Term Redemption Date in the Appendix for such Series.

  • Final Redemption Date means for each Series, the final redemption date specified in the Final Terms for such Series.

  • Special Event Redemption Price has the meaning specified in Section 11.2.

  • Redemption Call Purchase Price has the meaning provided in Section 1.4;

  • Change of Control Redemption Price shall have the meaning set forth in Section 7.3;