Interest Basis Clausole campione

Interest Basis. In respect of: (i) the Interest Payment Date scheduled to fall on January 15, 2017 and the Interest Payment Date scheduled to fall on January 15, 2018, 6.00 per cent. (6.00%) Fixed Rate; and (ii) each Interest Payment Date (other than the Interest Payment Date scheduled to fall on January 15, 2017 and the Interest Payment Date scheduled to fall on January 15, 2018), USD- LIBOR Floating Rate.
Interest Basis. See section “PROVISIONS RELATING TO INTEREST (IF ANY) PAYABLE” below.
Interest Basis. Fixed Rate and Floating Rate (further particulars specified below)
Interest Basis. See section “PROVISIONS RELATING TO INTEREST (IF
Interest Basis. 5.60 per cent. per annum Fixed Rate (further particulars specified at point 19 below)
Interest Basis. 3.25 per cent. (3.25%) Fixed Rate and EURIBOR Floating Rate. (i) Fixed Interest Commencement Date: (ii) Floating Interest Commencement Date: Issue Date. The date on which the Interest Payment Date scheduled to fall on April 20, 2019 is scheduled to fall.
Interest Basis. 7% per annum payable annually, in accordance with the provision 15 set out below.
Interest Basis. In respect of each Interest Payment Date, 6.25 per cent. (6.25%) Fixed Rate.
Interest Basis. In respect of: (i) the Interest Payment Date scheduled to fall on November 26, 2016 and the Interest Payment Date scheduled to fall on November 26, 2017, 3.00 per cent. (3.00%) Fixed Rate; and (ii) each Interest Payment Date (other than the Interest Payment Date scheduled to fall on November 26, 2016 and the Interest Payment Date scheduled to fall on November 26, 2017), EURIBOR Floating Rate.