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or (2) if the rate referred to in clause (1) is not so published by 3:00 P.M., New York City time, on the related Calculation Date, the Bond Equivalent Yield (as defined below) of the rate for the applicable Treasury Bills as published in H.15 Daily Update, or another recognized electronic source used for the purpose of displaying the applicable rate, under the caption \u201cU.S. Government Securities/Treasury Bills/Auction High\u201d; or (3) if the rate referred to in clause (2) is not so published by 3:00 P.M., New York City time, on the related Calculation Date, the Bond Equivalent Yield of the auction rate of the applicable Treasury Bills as announced by the United States Department of the Treasury; or (4) if the rate referred to in clause (3) is not so announced by the United States Department of the Treasury, or if the Auction is not held, the Bond Equivalent Yield of the rate on the particular Interest Determination Date of the applicable Treasury Bills as published in H.15(519) under the caption \u201cU.S. Government Securities/Treasury Bills/Secondary Market\u201d; 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or (2) if the rate referred to in clause (1) is not so published by 3:00 P.M., New York City time, on the related Calculation Date, the Bond Equivalent Yield (as defined below) of the rate for the applicable Treasury Bills as published in H.15 Daily Update, or another recognized electronic source used for the purpose of displaying the applicable rate, under the caption \u201cU.S. Government Securities/Treasury Bills/Auction High\u201d; or (3) if the", "samples": [{"hash": "wsBeyUfitl", "uri": "/contracts/wsBeyUfitl#treasury-rate-notes", "label": "Global Note (Principal Life Insurance Co)", "score": 20.0, "published": true}, {"hash": "liFR6ohq7bd", "uri": "/contracts/liFR6ohq7bd#treasury-rate-notes", "label": "Global Note (Principal Life Insurance Co)", "score": 20.0, "published": true}, {"hash": "lcr1gSr1vBG", "uri": "/contracts/lcr1gSr1vBG#treasury-rate-notes", "label": "Indenture (Principal Life Insurance Co)", "score": 20.0, "published": true}], "size": 105, "snippet_links": [{"key": "interest-rate-basis", "type": "definition", "offset": [7, 26]}, {"key": "this-note", "type": "clause", "offset": [49, 58]}, {"key": "treasury-rate-note", "type": "definition", "offset": [78, 96]}, {"key": "unless-otherwise-specified", "type": "clause", "offset": [99, 125]}, {"key": "the-rate", "type": "definition", "offset": [173, 181]}, {"key": "the-auction", "type": "definition", "offset": [187, 198]}, {"key": "interest-determination-date", "type": "clause", "offset": [211, 238]}, {"key": "obligations-of-the-united-states", "type": "clause", "offset": [265, 297]}, {"key": "treasury-bills", "type": "definition", "offset": [300, 314]}, {"key": "index-maturity", "type": "definition", "offset": [328, 342]}, {"key": "investment-rate", "type": "definition", "offset": [391, 406]}, {"key": "reuters-service", "type": "definition", "offset": [426, 441]}, {"key": "in-clause", "type": "clause", "offset": [715, 724]}, {"key": "new-york-city-time", "type": "clause", "offset": [763, 781]}, {"key": "calculation-date", "type": "clause", "offset": [798, 814]}, {"key": "bond-equivalent-yield", "type": "definition", "offset": [820, 841]}, {"key": "the-applicable", "type": "clause", "offset": [877, 891]}, {"key": "h15-daily-update", "type": "definition", "offset": [923, 940]}, {"key": "electronic-source", "type": "definition", "offset": [964, 981]}, {"key": "for-the-purpose-of", "type": "definition", "offset": [987, 1005]}, {"key": "applicable-rate", "type": "definition", "offset": [1021, 1036]}, {"key": "government-securities", "type": "definition", "offset": [1062, 1083]}], "hash": "1a49d48b0d511afc4a007378d371a836", "id": 3}, {"snippet": "Treasury Rate Notes will bear interest at the interest rates (calculated with reference to the Treasury Rate and the Spread and/or Spread Multiplier, if any, subject to the Maximum Rate or Minimum Rate, if any) and will be payable on the dates specified in the applicable Pricing Supplement. Unless otherwise specified in the applicable Pricing Supplement, the \u201cCalculation Date\u201d with respect to a Treasury Interest Determination Date will be the tenth day after such Treasury Interest Determination Date or, if any such day is not a Business Day, the next succeeding Business Day.", "samples": [{"hash": "bpMYW2BujZs", "uri": "/contracts/bpMYW2BujZs#treasury-rate-notes", "label": "Indenture (Grupo Supervielle S.A.)", "score": 29.3175906913, "published": true}, {"hash": "ddqx07xt5EP", "uri": "/contracts/ddqx07xt5EP#treasury-rate-notes", "label": "Indenture (Cresud Inc)", "score": 27.8336755647, "published": true}, {"hash": "iHqupPM8Pdv", "uri": "/contracts/iHqupPM8Pdv#treasury-rate-notes", "label": "Indenture (Irsa Investments & Representations Inc)", "score": 21.9938398357, "published": true}], "size": 6, "snippet_links": [{"key": "interest-rates", "type": "clause", "offset": [46, 60]}, {"key": "with-reference-to", "type": "clause", "offset": [73, 90]}, {"key": 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rate from the auction held on the Interest Determination Date (the \u201cAuction\u201d) of direct obligations of the United States (\u201cTreasury Bills\u201d) having the Index Maturity specified on the face hereof under the caption \u201cINVESTMENT RATE\u201d on the display on Telerate (or any successor service) on page 56 (or any other page as may replace that page on that service) (\u201cTelerate Page 56\u201d) or page 57 (or any other page as may replace that page on that service) (\u201cTelerate Page 57\u201d); or (2) if the rate referred to in clause (1) is not so published by 3:00 P.M., New York City time, on the related Calculation Date, the Bond Equivalent Yield (as defined below) of the rate for the applicable Treasury Bills as published in H.15 Daily Update, or another recognized electronic source used for the purpose of displaying the applicable rate, under the caption \u201cU.S. Government Securities/Treasury Bills/Auction High\u201d; or (3) if the rate referred to in clause (2) is not so published by 3:00 P.M., New York City time, on the related Calculation Date, the Bond Equivalent Yield of the auction rate of the applicable Treasury Bills as announced by the United States Department of the Treasury; or (4) if the rate referred to in clause (3) is not so announced by the United States Department of the Treasury, or if the Auction is not held, the Bond Equivalent Yield of the rate on the particular Interest Determination Date of the applicable Treasury Bills as published in H.15(519)", "samples": [{"hash": "8Av1EEyGLUM", "uri": "/contracts/8Av1EEyGLUM#treasury-rate-notes", "label": "Global Note (Ing Usa Annuity & Life Insurance Co)", "score": 20.0, "published": true}, {"hash": "6Q00extXAjS", "uri": "/contracts/6Q00extXAjS#treasury-rate-notes", "label": "Indenture (Ing Usa Annuity & Life Insurance Co)", "score": 20.0, "published": true}], "size": 4, "snippet_links": [{"key": "interest-rate-basis", "type": "definition", "offset": [7, 26]}, {"key": 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multiplier, if any, indicated in the applicable pricing supplement. Unless we specify otherwise in the applicable pricing supplement, the treasury rate will be the rate for the most recent auction, on the relevant treasury interest determination date, of treasury bills having the index maturity specified in the applicable pricing supplement, as that rate appears on Reuters Screen USAUCTION 10/11 by 3:00 p.m., New York City time, on the calculation date pertaining to the relevant interest determination date, under the heading \u201cINVEST RATE\u201d. For purposes of this prospectus supplement, \u201cReuters Screen USAUCTION 10/11\u201d means the display on the Reuters (or any successor service) pages designated as", "samples": [{"hash": "icsusCTYQ1G", "uri": "/contracts/icsusCTYQ1G#treasury-rate-notes", "label": "Calculation Agency Agreement (Toronto Dominion Bank)", "score": 27.4969199179, "published": true}], "size": 1, "snippet_links": [{"key": "treasury-rate-note", "type": "definition", "offset": [18, 36]}, {"key": "interest-rate", "type": "clause", "offset": [73, 86]}, {"key": "equal-to", "type": "definition", "offset": [87, 95]}, {"key": "spread-multiplier", "type": "definition", "offset": [144, 161]}, {"key": "pricing-supplement", "type": "definition", "offset": [199, 217]}, {"key": "the-rate", "type": "definition", "offset": [311, 319]}, {"key": "most-recent", "type": "definition", "offset": [328, 339]}, {"key": "the-relevant", "type": "clause", "offset": [352, 364]}, {"key": "treasury-interest-determination-date", "type": "definition", "offset": [365, 401]}, {"key": "treasury-bills", "type": "definition", "offset": [406, 420]}, {"key": "index-maturity", "type": "definition", "offset": [432, 446]}, {"key": "reuters-screen", "type": "definition", "offset": [519, 533]}, {"key": "new-york-city-time", "type": "clause", "offset": [564, 582]}, {"key": "the-calculation-date", "type": "definition", "offset": [587, 607]}, {"key": "pertaining-to", "type": "definition", "offset": [608, 621]}, {"key": "relevant-interest", "type": "definition", "offset": [626, 643]}, {"key": "for-purposes-of-this", "type": "clause", "offset": [697, 717]}, {"key": "prospectus-supplement", "type": "definition", "offset": [718, 739]}], "hash": "ba234ee6f534356d3a8a4dbbd6e77b91", "id": 9}, {"snippet": "If you purchase a treasury rate note, your note will bear interest at an interest rate equal to the treasury rate and adjusted by the spread or spread multiplier, if any, indicated in the applicable pricing supplement. Unless we specify otherwise in the applicable pricing supplement, the treasury rate will be the rate for the most recent auction, on the relevant treasury interest determination date, of treasury bills having the index maturity specified in the applicable pricing supplement, as that rate appears on Reuters Screen USAUCTION 10/11 by 3:00 p.m., New York City time, on the calculation date pertaining to the relevant interest determination date, under the heading \u201cINVEST RATE\u201d. For purposes of this prospectus supplement, \u201cReuters Screen USAUCTION 10/11\u201d means the display on the Reuters (or any successor service) pages designated as \u201cUSAUCTION 10\u201d or \u201cUSAUCTION 11\u201d or any other page that replaces the applicable page on that service for the purpose of displaying the rate for the most recent auction of treasury bills. If the treasury rate cannot be determined as described above, unless otherwise specified in the applicable pricing supplement, the following procedures will apply: \u2022 If the rate described above does not appear on Reuters Screen USAUCTION 10/11 page by 3:00 P.M., New York City time, on the relevant interest calculation date, unless the calculation is made earlier and the rate is available from that source at that time, the treasury rate will be the bond equivalent yield of the rate, for the relevant interest determination date, for the type of treasury \u2587\u2587\u2587\u2587 described above, as published in H.15 Daily Update, under the heading \u201cU.S. government securities/treasury bills (secondary market),\u201d or another recognized electronic source used for displaying that rate. The rate will be expressed as a bond equivalent on the basis of a year of 365 or 366 days, as applicable, and applied on a daily basis. \u2022 If the rate described in the prior paragraph does not appear in H.15 Daily Update or another recognized electronic source by 3:00 P.M., New York City time, on the relevant interest calculation date, unless the calculation is made earlier and the rate is available from one of those sources at that time, the treasury rate will be the bond equivalent yield of the auction rate, for the relevant treasury interest determination date and for treasury bills of the kind described above, as announced by the U.S. Table of Contents Department of the Treasury. The auction rate will be expressed as a bond equivalent on the basis of a year of 365 or 366 days, as applicable, and applied on a daily basis. \u2022 If the auction rate described in the prior paragraph is not so announced by 3:00 P.M., New York City time, on the relevant interest calculation date, or if no such auction is held for the relevant week, then the treasury rate will be the bond equivalent yield of the rate, for the relevant treasury interest determination date and for treasury bills having a remaining maturity closest to the index maturity specified in the applicable pricing supplement, as published in H.15(519) under the heading \u201cU.S. government securities/treasury bills (secondary market)\u201d or in another recognized electronic source used for the purpose of displaying that rate. The rate will be expressed as a bond equivalent on the basis of a year of 365 or 366 days, as applicable, and applied on a daily basis. \u2022 If the rate described in the prior paragraph does not appear in H.15(519) by 3:00 P.M., New York City time, on the relevant interest calculation date, unless the calculation is made earlier and the rate is available from one of those sources at that time, then the treasury rate will be the rate, for the relevant treasury interest determination date and for treasury bills having a remaining maturity closest to the index maturity specified in the applicable pricing supplement, as published in H.15 Daily Update under the heading \u201cU.S. government securities/treasury bills (secondary market),\u201d or another recognized electronic source used for displaying that rate. \u2022 If the rate described in the prior paragraph does not appear in H.15 Daily Update or another recognized electronic source by 3:00 P.M., New York City time, on the relevant interest calculation date, unless the calculation is made earlier and the rate is available from one of those sources at that time, the treasury rate will be the bond equivalent yield of the arithmetic mean of the following secondary market bid rates for the issue of treasury bills with a remaining maturity closest to the index maturity specified in the applicable pricing supplement: the rates bid as of approximately 3:30 P.M., New York City time, on the relevant treasury interest determination date, by three primary U.S. government securities dealers in New York City, one of which may be TD or an affiliate, selected by the calculation agent. \u2022 If fewer than three dealers selected by the calculation agent are quoting as described in the prior paragraph, the treasury rate in effect for the new interest period will be the treasury rate in effect for the prior interest period. 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