Definizione di Designated Maturity

Designated Maturity is as defined in Condition 32(b)(ii); "Determination Date(s)" is as defined in Condition 32(c); "Determination Period" is as defined in Condition 32(c); "Disqualified Transferee" is as defined in Condition 2.4(c);
Designated Maturity is as defined in Condition 32(b)(ii); "Disqualified Transferee" is as defined in Condition 2.4(c); "Disrupted Amount" is as defined in Condition 5.6(vi); "Disrupted Settlement Date" is as defined in Condition 5.6(vi);
Designated Maturity means the period set out in the relevant Final Terms;

Examples of Designated Maturity in a sentence

  • For the purposes of this sub-paragraph (iii), "Floating Rate", "Calculation Agent", "Floating Rate Option", "Designated Maturity" and "Reset Date" have the meanings given to those terms in the ISDA Definitions.

  • For the purposes of this subparagraph (B), Floating Rate, Calculation Agent, Floating Rate Option, Designated Maturity and Reset Date have the meanings given to those terms in the ISDA Definitions.

  • For the purposes of this subparagraph (x), Floating Rate, Calculation Agent, Floating Rate Option, Designated Maturity, Reset Date and Swap Transaction have the meanings given to those terms in the ISDA Definitions.

  • For purposes of this sub-paragraph, Floating Rate, Calculation Agent, Floating Rate Option, Designated Maturity, Reset Date and Euro-zone have the meanings given to those terms in the 2006 ISDA Definitions published by the International Swaps and Derivatives Association, Inc.

Related to Designated Maturity

  • Interest Period End Final Date" is as defined in Condition 32(a) and Condition 32(b)(i);

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  • Valuta di denominazione Valuta o moneta in cui sono espresse le prestazioni contrattuali.

  • Series No. of the Securities: Number of Securities the subject of this notice: The undersigned understands that if this Renouncement Notice is not completed and delivered as provided in the Security Terms or is determined to be incomplete or not in proper form (in the determination of the Italian Security Agent), it will be treated as null and void. If this Renouncement Notice is subsequently corrected to the satisfaction of the Italian Security Agent, it will be deemed to be a new Renouncement Notice submitted at the time such correction was delivered to the Italian Security Agent. Expressions defined in the Security Terms shall bear the same meanings in this Renouncement Notice. Place and date: Signature of the Holder Name of beneficial owner of the Securities Signature

  • Denominazione I Titoli (se del caso) saranno emessi al valore nominale di volta in

  • Scheduled Trading Day Single Share Basis.

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  • Interest Not applicable.

  • Codice CPV principale 45233141-9

  • Termination Date means the date on which the Early Termination Event occurs in the determination of the Calculation Agent

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  • Early Termination Date Not Applicable Valuation Date: 8, or in respect of an Emerging Market Disruption Event only, 180 Issuer Call Date: 8, or in respect of an Emerging Market Disruption Event only, 180 Reset Date: As stated in Product Condition 1, on the 15th day of each calendar month Settlement Currency: EUR Settlement Date: Means (i) the sixth Business Day following the Termination Date if an Early Termination Event has occurred, (ii) the third Business Day following the Issuer Call Date if an Issuer Call has occurred and otherwise (iii) the third Business Day following the Valuation Date Redemption Date: Not Applicable Standard Currency: As stated in Product Condition 1 Underlying Currency: EUR Valuation Date(s): The Exercise Date Valuation Time: The time with reference to which the Index Sponsor calculates the "opening-auction price" of each Share that comprises the relevant Index on the Exchange Amendments to General Conditions and/or Product Conditions: Amendments to the Offering Procedure for the Securities: As specified in Additional Condition 1 Not Applicable ISIN: GB00B85WT870 Common Code: Not Applicable Fondscode: Not Applicable WKN: Not Applicable

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