Trigger Call Redemption Date definition

Trigger Call Redemption Date means the redemption date specified in the Transaction Trigger Notice. Falls die Anleihegläu- biger eben- falls ein Recht haben, die Schuld- verschrei- bungen vorzeitig zu kündigen, gilt folgen- des: Der Emittentin steht dieses Recht nicht in Bezug auf eine Schuldverschreibung zu, deren Rückzahlung bereits der Anleihegläubiger in Ausübung seines Rechts gemäß § 4(e) verlangt hat. The Issuer may not exercise such option in respect of any Note which is the subject of the prior exercise by the Noteholder thereof of its option to require the redemption of such Note in accordance with § 4(e). If Notes are also subject to early redemption at the option of the Noteholders, the following applies: Falls die Emittentin das Recht hat, die Schuldver- schreibun- gen wegen eines gerin- gen ausstehen- den Nennbe- trags vorzei- tigzurückzu- zahlen, gilt folgendes: [(v)] Sofern zu irgendeinem Zeitpunkt der Gesamtnennbetrag der ausstehenden Schuldverschreibungen auf 15 % oder weniger des Gesamtnennbetrages der Schuldverschreibungen der Serie, die ursprünglich ausgegeben wurden, fällt, ist die Emittentin berechtigt, die Schuldverschreibungen (insgesamt und nicht nur teilweise) durch Kündigungserklärung gemäß § 4(d) jederzeit mit Wirkung zu dem in der Kündigungserklärung gemäß § 4(d) festgelegten Kündigungstag zur vorzeitigen Rückzahlung zu kündigen. Wenn die Emittentin ihr Kündigungsrecht gemäß Satz 1 ausübt, ist die Emittentin verpflichtet, jede Schuldverschreibung an dem in der Kündigungserklärung gemäß § 4(d) festgelegten Rückzahlungstag zu ihrer Festgelegten Stückelung zuzüglich der bis zum festgelegten Kündigungstag (ausschließlich) aufgelaufenen Zinsen zurückzuzahlen. [(v)] If at any time the aggregate principal amount of the Notes outstanding is equal to or less than 15 per cent. of the aggregate principal amount of the Notes of the Series originally issued, the Issuer may, upon giving a notice of redemption in accordance with § 4(d), call the Notes for early redemption (in whole but not in part) at any time with effect on the redemption date specified in the notice in accordance with § 4(d). If the Issuer exercises its call right in accordance with sentence 1, the Issuer shall redeem each Note at its Specified Denomination together with interest accrued to but excluding the redemption date specified in the notice on the redemption date specified in the notice. If Notes are subject to early redemption at the option of the Issuer for a mini- mal out- standing principal ...
Trigger Call Redemption Date means the redemption date specified in the Transaction Trigger Notice which shall be not less than 30 days nor more than 60 days after the date of the Transaction Trigger Notice. (b) The Issuer shall call the Notes for early redemption pursuant to paragraph (a) by publishing a notice to the Holders in accordance with § [13] which notice shall be irrevocable and shall specify:
Trigger Call Redemption Date means the redemption date specified in the Transaction Trigger Notice which shall be not less than 30 days nor more than 60 days after the date of the Transaction Trigger Notice.

Examples of Trigger Call Redemption Date in a sentence

  • If the Issuer exercises its call right in accordance with sentence 1, the Issuer shall redeem each Note to be redeemed at the Transaction Trigger Redemption Amount together with interest accrued to but excluding the Trigger Call Redemption Date on the Trigger Call Redemption Date.

  • The Issuer may, upon giving a Transaction Trigger Notice in accordance with the requirements set out below and in accordance with paragraph (b), call the Notes for early redemption (in whole or in part) with effect on the Trigger Call Redemption Date.

  • If the Issuer exercises this right, the Issuer shall redeem each Note to be redeemed at the Transaction Trigger Redemption Amount together with interest accrued to the Trigger Call Redemption Date on the Trigger Call Redemption Date.

  • In making appointments under paragraph 4(b) above, the bishop’s council shall ensure that the persons appointed have, between them, - a.

  • See Condition 6(d)(iii) (Redemption, Purchase and Options– Redemption at the option of the Issuer).If Transaction Trigger Call Option is specified in the relevant Final Terms, the Issuer may, upon giving a Transaction Trigger Notice, call the Notes for early redemption, in whole or in part, at the Transaction Trigger Redemption Amount together with interest accrued to the Trigger Call Redemption Date.


More Definitions of Trigger Call Redemption Date

Trigger Call Redemption Date means the redemption date specified in the Transaction Trigger Notice.
Trigger Call Redemption Date means the next Interest Payment Date specified in the Transaction Trigger Notice which shall be not less than 30 days after the date of the Transaction Trigger Notice.
Trigger Call Redemption Date means the date fixed for redemption of the Notes pursuant to
Trigger Call Redemption Date means the next Interest Payment Date following the expiration of the Transaction Notice Period, specified in the Transaction Trigger Notice.
Trigger Call Redemption Date means the redemption date specified in the Transaction Trigger Notice which shall be not less than 30 days nor more than 60 days after the date of the Transaction Trigger Notice. (b) The Issuer shall call the Notes for early redemption pursuant to paragraph (a) by publishing a notice to the Holders in accordance with § [13] which notice shall be irrevocable and shall specify: (i) the series of Notes subject to redemption; (ii) whether such Series is to be redeemed in whole or in part only and, if in part only, the aggregate principal amount of the Notes which are to be redeemed; (iii) the Trigger Call Redemption Date and; (iv) the Trigger Call Redemption Amount at which such Notes are to be redeemed. (c) In the case of a partial redemption of Notes, Notes to be redeemed shall be selected in accordance with the rules and procedures of the relevant Clearing System. [In the case of Notes in NGN form the following applies: Such partial redemption shall be reflected in the records of CBL and Euroclear as either a pool factor or a reduction in aggregate principal amount, at the discretion of CBL and Euroclear.]] § 6AGENTS (1) Appointment; Specified Office. The initial Fiscal Agent [, the initial Paying Agent] and the initial Calculation Agent and their initial specified offices shall be: Fiscal Agent Deutsche Bank Aktiengesellschaft and Paying Agent: Trust & Agency ServicesTaunusanlage 1260325 Frankfurt am Main Federal Republic of Germany Calculation Agent: [●] The Fiscal Agent[, the Paying Agent] and the Calculation Agent reserve the right at any time to change their specified offices to some other specified office in the same country. (2) Variation or Termination of Appointment. The Issuer reserves the right at any time to vary or terminate the appointment of the Fiscal Agent[, the Paying Agent] and the Calculation Agent and to appoint another Fiscal Agent[, Paying Agent] and another Calculation Agent. The Issuer shall at all times maintain a Fiscal Agent, a Paying Agent (which may be the Fiscal Agent) with a specified office in the Federal Republic of Germany [in the case of payments in U.S. Dollar the following applies: [,] if payments at or through the offices of all Paying Agents outside the United States (as defined in § 1) become illegal or are effectively precluded because of the imposition of exchange controls or similar restrictions on the full payment or receipt of such amounts in United States Dollar, a Paying Agent with a specified office in New Yo...
Trigger Call Redemption Date means the redemption date specified in the Transaction Trigger Notice which shall be not less than 30 days nor more than 60 days after the date of the Transaction Trigger Notice. (b) Die Emittentin hat die Kündigung der Schuldverschreibungen zur vorzeitigen Rückzahlung gemäß Absatz (a) durch Veröffentlichung einer Bekanntmachung an die Gläubiger gemäß § 15 zu erklären. Die Kündigung ist unwiderruflich und hat folgende Angaben zu enthalten:
Trigger Call Redemption Date means the redemption date specified in the Transaction Trigger Notice which shall be not less than 30 days nor more than 60 days after the date of the Transaction Trigger Notice. "Ereignis-Wahl-Rückzahlungstag" bezeichnet den in der Transaktions-Mitteilung festgelegten Rückzahlungstag, der nicht weniger als 30 Tage und nicht mehr als 60 Tage nach dem Tag der Transaktions-Mitteilung liegen darf. (b) The Issuer shall call the Notes for early redemption pursuant to paragraph (a) by publishing a notice to the Holders in accordance with § 15 which notice shall be irrevocable and shall specify: (b) Die Emittentin hat die Kündigung der Schuldverschreibungen zur vorzeitigen Rückzahlung gemäß Absatz (a) durch Veröffentlichung einer Bekanntmachung an die Gläubiger gemäß § 15 zu erklären. Die Kündigung ist unwiderruflich und hat folgende Angaben zu enthalten: (i) the series of Notes subject to redemption; (i) die zurückzuzahlende Serie von Schuldverschreibungen; (ii) whether the Notes will be redeemed in whole or in part and, if only in part, the aggregate principal amount of the Notes which are to be redeemed; (ii) eine Erklärung, ob die Schuldverschreibungen ganz oder teilweise zurückgezahlt werden und im letzteren Fall den Gesamtnennbetrag der zurückzuzahlenden Schuldverschreibungen; (iii) the Trigger Call Redemption Date and; (iii) den Ereignis-Wahl-Rückzahlungstag; und (iv) the Trigger Call Redemption Amount at which such Notes are to be redeemed. (iv) den Ereignis-Wahl-Rückzahlungsbetrag zu dem die Schuldverschreibungen zurückgezahlt werden. (c) In the case of a partial redemption of Notes, the relevant Notes to be redeemed shall be selected in accordance with the rules of the relevant Clearing System. (c) Wenn die Schuldverschreibungen nur teilweise zurückgezahlt werden, werden die betreffenden zurückzuzahlenden Schuldverschreibungen in Übereinstimmung mit den Regeln des betreffenden Clearingsystems ausgewählt. [In the case of Notes in NGN form the following applies: Such partial redemption shall be reflected in the records of Clearstream Luxembourg and Euroclear either as a pool factor or a reduction in aggregate principal amount, at the discretion of Clearstream Luxembourg and Euroclear.]] [Fall die Schuldverschreibungen in Form einer NGN begeben werden, ist folgendes anwendbar: Die teilweise Rückzahlung wird in den Registern von Clearstream Luxemburg und Euroclear nach deren Ermessen entweder als Pool-Faktor oder als Reduzierung des Gesamtnennbetrages wiede...