Debt Securities Payable on Redemption Date. Notice of redemption having been given as aforesaid, any Debt Securities so to be redeemed shall, on the Redemption Date, become due and payable at the Redemption Price in the Currency in which the Debt Securities of such series are payable (except as otherwise specified pursuant to Sections 3.1 or 3.10), and from and after such date (unless the Company shall default in the payment of the Redemption Price) such Debt
Appears in 2 contracts
Samples: Indenture (Rga Capital Trust Ii), Reinsurance Group of America Inc
Debt Securities Payable on Redemption Date. Notice of redemption having been given as aforesaid, any the Debt Securities so to be redeemed shall, on the Redemption Date, become due and payable at the Redemption Price in the Currency in which therein specified (except as otherwise provided pursuant to Section 3.1 for the Debt Securities of such series are payable (except as otherwise specified pursuant to Sections 3.1 or 3.10), series) and from and after such date (unless the Company shall default in the payment of the Redemption Price) such Debt63 - 58 -
Appears in 1 contract
Samples: American Annuity Group Inc
Debt Securities Payable on Redemption Date. Notice of redemption having been given as aforesaid, any the Debt Securities so to be redeemed shall, on the Redemption Date, become due and payable at the Redemption Price in the Currency in which therein specified (except as otherwise provided pursuant to Section 3.1 for the Debt Securities of such series are payable (except as otherwise specified pursuant to Sections 3.1 or 3.10), series) and from and after such date (unless the Company shall default in the payment of the Redemption Price) such Debt62 - 58 -
Appears in 1 contract
Samples: American Annuity Group Inc