Automatic Early Redemption Valuation Date(s definition

Automatic Early Redemption Valuation Date(s means each of the date(s) specified as such in the relevant Pricing Supplement or, if any such date is not a Scheduled Trading Day, the next following Scheduled Trading Day, subject to the provisions of Condition 19.5 which shall apply as if such Automatic Early Redemption Valuation Date were a Valuation Date;
Automatic Early Redemption Valuation Date(s means, if "Automatic Early Redemption" is specified as being applicable in the applicable Pricing Supplement, each of the date(s) specified as such in the applicable Pricing Supplement, subject to adjustment in accordance with Term 2 (Disrupted Days) or Term 7 (Adjustments in respect of Funds) below (as applicable), or, if any originally scheduled Automatic Early Redemption Valuation Date is not a Scheduled Valuation Day in relation to the relevant Underlying, the immediately preceding Scheduled Valuation Day;
Automatic Early Redemption Valuation Date(s means each of the date(s) specified as such in the applicable Final Terms or, if any of such Automatic Early Redemption Date(s) is not a Scheduled Trading Day, the next following Scheduled Trading Day, subject to the provisions of "Consequences of Disrupted Days" set forth above in Condition 10(a)(A), (B) or (C), as the case may be, as if such Automatic Early Redemption Valuation Date were a Valuation Date.

Examples of Automatic Early Redemption Valuation Date(s in a sentence

  • Automatic Early Redemption Valuation Date(s): In respect of any Index comprising the Basket, 105.00% of the Initial Level.

  • Automatic Early Redemption Event: In respect of all Automatic Early Redemption Valuation Dates, the AER Value is: greater than or equal to the Automatic Early Redemption Price.

  • Weighting: See table above for the purposes of determining the Premium Amount in respect of Premium Amount Valuation Dates i=13 to i=18 and for the purposes of determining the occurrence of an Automatic Early Redemption Event in respect of Automatic Early Redemption Valuation Dates i=13 to i=18.

  • Specific Number(s): In relation to Strike Date and/or Averaging Dates and/or Automatic Early Redemption Valuation Dates: 3 (three) Scheduled Trading Days.

  • Automatic Early Redemption Valuation Date(s): 13 July 2021 (n=1), 13 July 2022 (n=2), 13 July 2023 (n=3), 15 July 2024 (n=4) and 14 July 2025 (n=5).


More Definitions of Automatic Early Redemption Valuation Date(s

Automatic Early Redemption Valuation Date(s means each of the date(s) specified as such in the relevant Pricing Supplement or, if any such date is not a Scheduled Trading Day, the next following Scheduled Trading Day, subject to the provisions of Condition 20(e)(i) which shall apply as if such Automatic Early Redemption Valuation Date were a Valuation Date.(d) Knock-in and Knock-out ProvisionsIf "Knock-in Event" is specified as applicable in the Pricing Supplement in relation to any Cash Equity Note, Equity-Linked Note or Index-Linked Note, then each payment and/or delivery in respect of which a Knock-in Event applies, as specified in the relevant Pricing Supplement, shall be conditional upon the occurrence of such Knock-in Event.For the purposes hereof:
Automatic Early Redemption Valuation Date(s means the date(s) specified as such in the relevant Final Terms or, if any such date is not a Trading Day, the following Trading Day unless, in the opinion of the Calculation Agent, a Disruption Event occurs on such date, in which case, the corresponding provisions in the definition "Valuation Date" shall apply mutatis mutandis as if references in such provisions to "Valuation Date" were instead to "Automatic Early Redemption Valuation Date".
Automatic Early Redemption Valuation Date(s means each of the date(s) specified as such in the applicable Final Terms or, if any of such Automatic Early Redemption Date(s) is not a Scheduled Trading Day, the next following Scheduled Trading Day subject toConsequences of Disrupted Day(s)” set forth below.
Automatic Early Redemption Valuation Date(s means, each of the date(s) specified as such in the applicable Preference Share Confirmation or, if any originally scheduled Automatic Early Redemption Valuation Date is not a Scheduled Trading Day in relation to the relevant Underlying, the immediately preceding Scheduled Trading Day (as applicable), in each case subject to adjustment in accordance with Term 2 (Disrupted Days) below;
Automatic Early Redemption Valuation Date(s means, if “Automatic Early Redemption” is specified as being applicable in the Final Terms, each of the date(s) specified as such in the applicable Final
Automatic Early Redemption Valuation Date(s means each date specified as an Automatic Early Redemption Valuation Date(t) in the Condition 6 above; and
Automatic Early Redemption Valuation Date(s means 30 December 2022, 30 March 2023, 30 June 2023, 29September 2023, 29 December 2023, 28 March 2024, 28 June 2024, 30 September 2024, 30 December 2024,31 March 2025, 30 June 2025, 30 September 2025, 30 December 2025, 30 March 2026, 30 June 2026, 30September 2026;