Common use of Maturity Date Clause in Contracts

Maturity Date. 6. In the case of a Fixed Rate Certificated Note, the Interest Rate, whether such Note will pay interest annually or semiannually and whether such Note is an Amortizing Note and, if so, the amortization schedule, or, in the case of a Floating Rate Certificated Note, the Initial Interest Rate (if known at such time), Interest Payment Date(s), Interest Payment Period, Calculation Agent, Base Rate, Index Maturity, Index Currency, Interest Reset Period, Initial Interest Reset Date, Interest Reset Dates, Spread or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate (if any) and the Alternate Rate Event Spread (if any).

Appears in 23 contracts

Samples: Distribution Agreement (Toronto Dominion Bank), MSFL Warrant Agreement (Morgan Stanley Finance LLC), MSFL Warrant Agreement (Morgan Stanley Finance LLC)

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Maturity Date. 6. In the case of a Fixed Rate Certificated Note, the Interest Rate, whether such Note will pay interest annually annually, semiannually or semiannually and whether such Note is an Amortizing Note and, if so, the amortization schedule, quarterly or, in the case of a Floating Rate Certificated Note, the Initial Interest Rate (if known at such time), Interest Payment Date(s), Interest Payment Period, Calculation Agent, Base Rate, Index Maturity, Index Currency, Interest Reset Period, Initial Interest Reset Date, Interest Reset Dates, Spread or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate (if any) and the Alternate Rate Event Spread (if any).

Appears in 11 contracts

Samples: Distribution Agreement (Deutsche Bank Aktiengesellschaft), Distribution Agreement (Deutsche Bank Aktiengesellschaft), Terms Agreement (Deutsche Bank Aktiengesellschaft)

Maturity Date. 6. In the case of a Fixed Rate Certificated Note, the Interest Rate, whether such Note will pay interest annually or semiannually and whether such Note is an Amortizing Note and, if so, the amortization schedule, or, in the case of a Floating Rate Certificated Note, the Initial Interest Rate (if known at such time), Interest Payment Date(s), Interest Payment Period, Calculation Agent, Base Rate, Index Maturity, Index Currency, Interest Reset Period, Initial Interest Reset Date, Interest Reset Dates, Spread or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate (if any) and the Alternate Rate Event Spread (if any).

Appears in 6 contracts

Samples: Notes Terms Agreement (Royal Bank of Scotland Group PLC), Notes Terms Agreement (Abn Amro Bank Nv), Notes Terms Agreement (Abn Amro Bank Nv)

Maturity Date. 63. In the case of a Fixed Rate Certificated Book-Entry Note, the Interest Rate, whether such Note will pay interest annually or semiannually and whether such Note is an Amortizing Note Note, and, if so, the amortization schedule, or, in the case of a Floating Rate Certificated Book-Entry Note, the Initial Interest Rate (if known at such time), Interest Payment Date(s), Interest Payment Period, Calculation Agent, Base Rate, Index Maturity, Index Currency, Interest Reset Period, Initial Interest Reset Date, Interest Reset Dates, Spread or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate (if any) and the Alternate Rate Event Spread (if any).

Appears in 5 contracts

Samples: Terms Agreement (FMC Corp), Terms Agreement (Aeroquip-Vickers Inc), Terms Agreement (Amgen Inc)

Maturity Date. 63. In the case of a Fixed Rate Certificated Book-Entry Note, the Interest Rate, whether such Note will pay interest annually or semiannually and whether such Note is an Amortizing Note Note, and, if so, the amortization schedule, or, in the case of a Floating Rate Certificated Book-Entry Note, the Initial Interest Rate (if known at such time), Interest Payment Date(s), Interest Payment Period, Calculation Agent, Base Rate, Index Maturity, Index Currency, Interest Reset Period, Initial Interest Reset Date, Interest Reset Dates, Spread or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate (if any) and the Alternate Rate Event Spread (if any).

Appears in 4 contracts

Samples: Distribution Agreement (Parker Hannifin Corp), Terms Agreement (Parker Hannifin Corp), Distribution Agreement (Parker Hannifin Corp)

Maturity Date. 63. In the case of a Fixed Rate Certificated Book-Entry Note, the Interest Rate, whether such Note will pay interest annually or semiannually and whether such Note is an Amortizing Note and, if so, the amortization scheduleAmortization Schedule, or, in the case of a Floating Rate Certificated Book-Entry Note, the Initial Interest Rate (if known at such time), Interest Payment Date(s), including the Initial Interest Payment Date, Interest Payment Period, Calculation Agent, Base Rate, Index Maturity, Index Currency, Interest Reset Period, Initial Interest Reset Date, Interest Reset Dates, Spread or Spread Multiplier (if any), Minimum Interest Rate (if any), ) and Maximum Interest Rate (if any) and the Alternate Rate Event Spread (if any).

Appears in 3 contracts

Samples: Terms Agreement (Case Credit Corp), Distribution Agreement (Case Credit Corp), Carpenter Technology Corp

Maturity Date. 63. In the case of a Fixed Rate Certificated Book-Entry Note, the Interest Rate, whether such Note will pay interest annually or semiannually semi-annually and whether such Note is an Amortizing Note Note, and, if so, the amortization schedule, or, in the case of a Floating Rate Certificated Book-Entry Note, the Initial Interest Rate (if known at such time), Interest Payment Date(s), Interest Payment Period, Calculation Agent, Base Rate, Index Maturity, Index Currency, Interest Reset Period, Initial Interest Reset Date, Interest Reset DatesDate, Spread or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate (if any) ), and the Alternate Rate Event Spread (if any).

Appears in 2 contracts

Samples: Distribution Agreement (Mattel Inc /De/), Distribution Agreement (Mattel Inc /De/)

Maturity Date. 63. In the case of a Fixed Rate Certificated Book-Entry Note, the Interest Rate, whether such Note will pay interest annually or semiannually and whether such Note is an Amortizing Note Note, and, if so, the amortization schedule, or, in the case of a Floating Rate Certificated Book-Entry Note, the Initial Interest Rate (if known at such time), Interest Payment Date(s), Interest Payment Period, Calculation Agent, Base Rate, Index Maturity, Index Currency, Interest Reset Period, Initial Interest Reset Date, Interest Reset Dates, Spread or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate (if any) and the Alternate Rate Event Spread (if any). 4. Redemption or repayment provisions (if any). 5. Settlement date and time (Original Issue Date).

Appears in 2 contracts

Samples: Terms Agreement (FMC Corp), Terms Agreement (FMC Corp)

Maturity Date. 6. In the case of a Fixed Rate Certificated Note, the Interest Rate, whether such Note will pay interest annually or semiannually and whether such Note is an Amortizing Note and, if so, the amortization schedule, or, in the case of a Floating Rate Certificated Note, the Initial Interest Rate (if known at such time), Interest Payment Date(s), Interest Payment Period, Calculation Agent, Base Rate, Index Maturity, Index Currency, Interest Reset Period, Initial Interest Reset Date, Interest Reset Dates, Spread or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate (if any) and the Alternate Rate Event Spread (if any). 7. Redemption or repayment provisions, if any. 8. Ranking. 9. Settlement date and time (Original Issue Date). 10.

Appears in 1 contract

Samples: Canadian Imperial Bank of Commerce /Can/

Maturity Date. 63. In the case of a Fixed Rate Certificated Book-Entry Note, the Interest Rate, whether such Note will pay interest annually or semiannually and whether such Note is an Amortizing Note Note, and, if so, the amortization schedule, or, in the case of a Floating Rate Certificated Book-Entry Note, the Initial Interest Rate (if known at such time), Interest time),Interest Payment Date(s), Interest Payment Period, Calculation Agent, Base Rate, Index Maturity, Index Currency, Interest Reset Period, Initial Interest Reset Date, Interest Reset Dates, Spread or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate (if any) and the Alternate Rate Event Spread (if any).

Appears in 1 contract

Samples: Distribution Agreement (Aeroquip-Vickers Inc)

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Maturity Date. 6. In the case of a Fixed Rate Certificated Note, the Interest Rate, whether such Note will pay interest annually or semiannually semi-annually and whether such Note is an Amortizing Note and, if so, the amortization scheduleAmortization Schedule, or, in the case of a Floating Rate Certificated Note, the Initial Interest Rate (if known at such time), Interest Payment Date(s), Interest Payment Period, Calculation Agent, Base Rate, Index Maturity, Index Currency, Interest Reset Period, Initial Interest Reset Date, Interest Reset Dates, Spread or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate (if any) and the Alternate Rate Event Spread (if any).

Appears in 1 contract

Samples: Distribution Agreement (Barnett Banks Inc)

Maturity Date. 6. In the case of a Fixed Rate Certificated Note, the Interest Rate, whether such Note will pay interest annually or semiannually semi-annually and whether such Note is an Amortizing Note and, if so, the amortization scheduleAmortization Schedule, or, in the case of a Floating Rate Certificated Note, the Initial Interest Rate (if known at such time), Interest Payment Date(s), Interest Payment Period, Calculation Agent, Base Rate, Index Maturity, Index Currency, Interest Reset Period, Initial Interest Reset Date, Interest Reset Dates, Spread or Spread Multiplier (if any), the Minimum Interest Rate (if any), Maximum Interest Rate (if any) and the Alternate Maximum Interest Rate Event Spread (if any).

Appears in 1 contract

Samples: Distribution Agreement (Security Capital Group Inc/)

Maturity Date. 63. In the case of a Fixed Rate Certificated Book-Entry Note, the Interest Rate, whether such Note will pay interest annually or semiannually semi-annually and whether such Note is an Amortizing Note and, if so, the amortization scheduleAmortization Schedule, or, in the case of a Floating Rate Certificated Book-Entry Note, the Initial Interest Rate (if known at such time), Interest Payment Date(s), Interest Payment Period, Calculation Agent, Base Rate, Index Maturity, Index Currency, Interest Reset Period, Initial Interest Reset Date, Interest Reset Dates, Spread or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate (if any) and the Alternate Rate Event Spread (if any).

Appears in 1 contract

Samples: Distribution Agreement (Barnett Banks Inc)

Maturity Date. 6. In the case of a Fixed Rate Certificated Note, the Interest Rate, whether such Note will pay interest annually or semiannually the Interest Payment Dates and whether such Note is an Amortizing Note and, if so, the amortization schedule, or, in the case of a Floating Rate Certificated Note, the Initial Interest Rate (if known at such time), Interest Payment Date(s), Interest Payment Period, Calculation Agent, Base Rate, Index Maturity, Index Currency, Interest Reset Period, Initial Interest Reset Date, Interest Reset Dates, Spread or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate (if any) and the Alternate Rate Event Spread (if any).

Appears in 1 contract

Samples: Terms Agreement (Applied Materials Inc /De)

Maturity Date. 63. In the case of a Fixed Rate Certificated Book-Entry Note, the Interest Rate, whether such Note will pay interest annually or semiannually semi-annually and whether such Note is an Amortizing Note Note, and, if so, the amortization schedule, or, in the case of a Floating Rate Certificated Book-Entry Note, the Initial Interest Rate (if known at such time), Interest Payment Date(s), Interest Payment Period, Calculation Agent, Base Rate, Index Maturity, Index Currency, Interest Reset Period, Initial Interest Reset Date, Interest Reset Dates, Spread or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate (if any) and the Alternate Rate Event Spread (if any).

Appears in 1 contract

Samples: Eli Lilly and Company (Lilly Eli & Co)

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