Xf definition

Xf means the Final Index Level, and “Xi” means the Initial Index Level.
Xf means the Final Index Level of the Worst Performing Index, and
Xf means the Final Closing Price, and “Xi” means the Initial Closing Price.

Examples of Xf in a sentence

  • Y -- Freshwater springs; oases.Zg -- Geothermal wetlandsZk(b) – Karst and other subterranean hydrological systems, inland Note: “floodplain” is a broad term used to refer to one or more wetland types, which may include examples from the R, Ss, Ts, W, Xf, Xp, or other wetland types.

  • In this example, the Initial Portfolio Value (Xi) is $20,000,000.00 and the Final Portfolio Value (Xf) is $14,000,000.00.

  • Y -- Freshwater springs; oases.Zg -- Geothermal wetlandsZk(b) – Karst and other subterranean hydrological systems, inlandNote: “floodplain” is a broad term used to refer to one or more wetland types, which may include examples from the R, Ss, Ts, W, Xf, Xp, or other wetland types.

  • To account for objects with optical magnitudes below our limit of R 25.5, we introduced a simple completeness correction as- suming that the log f X/f opt distribution can be described by the same Gaussian function at all redshifts (Section 3.2).

  • We thus believe our approach of considering only robust optical coun- terparts to X-ray sources and modelling the distribution of f X/f opt ratios, in addition to our colour pre-selection approach at high red- shifts, constitutes a more robust treatment of completeness than in previous work.Figure 10.


More Definitions of Xf

Xf means the Final Index Level, and
Xf means the Final Closing Price, and
Xf means the Final Closing Price, and “Xi” means the Initial Closing Price.Sample Calculations: See Appendix C to this pricing supplement for sample calculations of the FinalRedemption Amount or Autocall Redemption Amount (in the event of an Autocall Redemption Event) and any Interest Payments payable on the Securities at or prior to (in the event of an Autocall Redemption Event) the Maturity Date.Issuer Credit Rating: Moody’s: Aa1 Standard & Poor’s: AA- DBRS: AAThe Securities themselves have not been and will not be rated. See “Description of theSecurities — Ratings” in the program supplement.Extraordinary Events: Determination of the Closing Price, including the Initial Closing Price and/or the FinalClosing Price, and the Final Redemption Amount may be postponed, or the Bank can accelerate determination of the Final Closing Price and the Final Redemption Amount and repay the Securities in full prior to their maturity, in certain circumstances. If an Extraordinary Event occurs then the Calculation Agent may, but is not required to, make such adjustments to any payment or other term of the Securities as it determines to be appropriate, acting in good faith, to account for the economic effect of such event on the Securities and determine the effective date of any such adjustment. See “Description of the SecuritiesSpecial Circumstances” in the program supplement and “Description of the Equity, Unit and Debt Linked Securities — Extraordinary Events” in the product supplement.Summary of Fees and Expenses: A commission of 3.00% of the Principal Amount of Securities issued under thisoffering will be paid to the Dealers for further payment to representatives, including representatives employed by the Dealers, whose clients purchase the Securities. An agency fee will also be paid, from the Bank’s own funds, to Raymond James Ltd. in an amount up to 0.15% of the Principal Amount of the Securities issued under this offering for acting as independent agent. The selling commissions and the agency fee are indirectly borne by holders of the Securities. There are no fees directly payable by a holder of Securities. See “Description of the Securities — Summary of Fees and Expenses” in the program supplement. An early trading charge may also apply. See “Secondary Market” below.Eligibility for Investment: Eligible for RRSPs, RRIFs, RESPs, RDSPs, FHSAs, DPSPs and TFSAs. See
Xf means the Final Closing Price of the Worst Performing Underlying Security, and
Xf means the Final IndexLevelof the Worst Performing Index, and
Xf means the Final IndexLevel, and
Xf means the Final Index Level, and “Xi” means the Initial Index Level.As a result, the Redemption Amount will not be determinable before the Final Valuation Date. See “Risk Factors” below.The Redemption Amount will be paid in addition to the Interest Payment that is due on the Maturity Date.Sample Calculations: See Appendix B to this pricing supplement for sample calculations of the RedemptionAmount and the Interest Payments payable on the Securities.Issuer Credit Rating: Moody’s: Aa1 Standard & Poor’s: AA­ DBRS: AAThe Securities themselves have not been and will not be rated. See “Description of the Securities — Ratings” in the program supplement.Extraordinary Events: Determination of the Closing Level, including the Initial Index Level and/or the FinalIndex Level, and the Redemption Amount may be postponed, or the Bank can accelerate determination of the Final Index Level and the Redemption Amount and repay the Securities in full prior to their maturity, in certain circumstances. If an Extraordinary Event occurs then the Calculation Agent may, but is not required to, make such adjustments to any payment or other term of the Securities as it determines to be appropriate, acting in good faith, to account for the economic effect of such event on the Securities and determine the effective date of any such adjustment. See