Final Redemption Condition Level definition

Final Redemption Condition Level means 60.00%
Final Redemption Condition Level means 70%.
Final Redemption Condition Level means 60%.

Examples of Final Redemption Condition Level in a sentence

  • If FR Barrier Value is less than the Final Redemption Condition Level and a Knock-in Event has occurred:Min (100%, Final Redemption Value).


More Definitions of Final Redemption Condition Level

Final Redemption Condition Level means 75%.
Final Redemption Condition Level means 100 per cent
Final Redemption Condition Level means 70%. "Final Redemption Value" means, in respect of a ST Valuation Date, Worst Value. “Initial Closing Price” means the RI Closing Value of a Reference Item on the Valuation Date, which shall be the Strike Date. “Redemption Valuation Date” means 9 December 2022 "RI Closing Value" means, in respect of a Reference Item, and a ST Valuation Date, the Settlement Price (as defined in the ETF Linked Conditions), in respect of such ST Valuation Date. "RI Initial Value" means, in respect of a Reference Item, the Initial Closing Price. "RI Value" means, in respect of a Reference Item and a ST Valuation Date, (i) the RI Closing Value for such Reference Item in respect of such ST Valuation Date, divided by (ii) the relevant RI Initial Value (expressed as a percentage). "ST Redemption Valuation Date" means the Redemption Valuation Date. "ST Valuation Date" means the Redemption Valuation Date. "Strike Date" means 9 December 2021, subject to adjustment "Worst Value" means, in respect of a ST Valuation Date, the RI Value for the Reference Item(s) with the lowest or equal lowest RI Value for any Reference Item in the Basket in respect of such ST Valuation Date.“Performing RI Strike Price” means, in respect of a ST Valuation Date, the RI Initial Value in respect of the Reference Item which is the Entitlement Value on such ST Valuation Date.“Physical Delivery Price” means, in respect of a ST Valuation Date, the RI Closing Value in respect of the Reference Item with the Entitlement Value in respect of such ST Valuation Date.Automatic Early RedemptionIf an AER Value Automatic Early Redemption Event occurs on any Automatic Early Redemption Valuation Date, the Notes will be redeemed early on the immediately following Automatic Early Redemption Date at the Automatic Early Redemption Amount. The Automatic Early Redemption Amount payable per Note is equal to USD 1,000 multiplied by the AER percentage."AER Value Automatic Early Redemption Event" means the AER Value is greater than or equal to the Automatic Early Redemption Price.Where:"AER Percentage" means 100%. "AER Value" means the Worst Value."Automatic Early Redemption Date" means 16 March 2022, 16 June 2022 and 16 September 2022, each subject to business day adjustment. "Automatic Early Redemption Price" means 100%. "Automatic Early Redemption Valuation Date" means each of 9 March 2022, 9 June 2022 and 9 September 2022, each subject to adjustment. “Initial Closing Price” means the RI Closing Value of a Reference Item on t...
Final Redemption Condition Level means 130.00%
Final Redemption Condition Level means 50.00%
Final Redemption Condition Level means 65%.
Final Redemption Condition Level means 75 per cent.