{"component": "definition", "props": {"groups": [{"samples": [{"hash": "4YwFnJ2Z1KP", "uri": "/contracts/4YwFnJ2Z1KP#first-issue-date", "label": "Master Definitions and Construction Agreement", "score": 34.406036377, "published": true}, {"hash": "1LbJBnWP9oS", "uri": "/contracts/1LbJBnWP9oS#first-issue-date", "label": "Master Definitions and Construction Agreement", "score": 32.5609207153, "published": true}, {"hash": "duigjBRvzkN", "uri": "/contracts/duigjBRvzkN#first-issue-date", "label": "Master Definitions and Construction Agreement", "score": 32.5434799194, "published": true}], "size": 33, "snippet_links": [{"key": "the-issuer", "type": "definition", "offset": [24, 34]}, {"key": "covered-bonds", "type": "definition", "offset": [54, 67]}, {"key": "first-time", "type": "definition", "offset": [76, 86]}, {"key": "the-programme", "type": "clause", "offset": [99, 112]}], "snippet": "means the date on which the Issuer issues a Series of Covered Bonds for the first time pursuant to the Programme;", "hash": "089d6b8af98358adb284c167141c8b61", "id": 1}, {"samples": [{"hash": "kJtvOeRYooR", "uri": "https://ise-prodnr-eu-west-1-data-integration.s3-eu-west-1.amazonaws.com/legacy/Base+Prospectus_91413402-3af9-4e2d-bf3c-c10fa9ccd0d9.pdf", "label": "ise-prodnr-eu-west-1-data-integration.s3-eu-west-1.amazonaws.com", "score": 20.4224300385, "published": false}, {"hash": "iwmGoZ8Layu", "uri": "https://ise-prodnr-eu-west-1-data-integration.s3-eu-west-1.amazonaws.com/202104/6bce3780-8841-40ff-854a-4dc32cdeb1e8.PDF", "label": "ise-prodnr-eu-west-1-data-integration.s3-eu-west-1.amazonaws.com", "score": 19.4174690247, "published": false}, {"hash": "fZECtoD8mAI", "uri": "https://www.garantibbvainvestorrelations.com/tr/images/pdf/Base_Prospectus_Dated_April_2018.pdf", "label": "www.garantibbvainvestorrelations.com", "score": 11.3846683502, "published": false}], "size": 13, "snippet_links": [{"key": "the-issuer", "type": "definition", "offset": [24, 34]}, {"key": "covered-bonds", "type": "definition", "offset": [54, 67]}, {"key": "first-time", "type": "definition", "offset": [76, 86]}, {"key": "the-programme", "type": "clause", "offset": [99, 112]}], "snippet": "means the date on which the Issuer issues a Series of Covered Bonds for the first time pursuant to the Programme.", "hash": "68de2054381e67d9c9fb61f327b6167c", "id": 2}, {"samples": [{"hash": "9woWqk8fgKx", "uri": "https://sec.report/lux/doc/2216965.pdf", "label": "sec.report", "score": 11.3039016724, "published": false}, {"hash": "ju17iNzCTJg", "uri": "https://sec.report/lux/doc/2900890.pdf", "label": "sec.report", "score": 10.9479808807, "published": false}, {"hash": "iyV34MpagfJ", "uri": "https://sec.report/lux/doc/2565088.pdf", "label": "sec.report", "score": 10.8165636063, "published": false}], "size": 10, "snippet_links": [{"key": "date-of", "type": "clause", "offset": [16, 23]}, {"key": "first-series-of-covered-bonds", "type": "definition", "offset": [28, 57]}, {"key": "the-programme", "type": "clause", "offset": [71, 84]}], "snippet": "means the Issue Date of the first Series of Covered Bonds issued under the Programme.", "hash": "4e97dad6ffb7005517b60df6f0763536", "id": 3}, {"samples": [{"hash": "1cACOfw3Vr3", "uri": "https://cscwebcontentstorage.blob.core.windows.net/cscmarketing-cscblog-media/uploads/2024/02/Cimco-Marine-SEK-EUR-Notice-WP-incl-TC-20190128.pdf", "label": "Notice", "score": 17.9515342712, "published": false}, {"hash": "f1htKqvb0zR", "uri": "https://joolcorp.se/wp-content/uploads/2022/01/220128-oxemarine.pdf", "label": "Notice", "score": 15.0369606018, "published": false}, {"hash": "eQorTNkPOWU", "uri": "https://www.intertrustgroup.com/wp-content/uploads/2021/01/Cimco-Marine-NOK-Notice-WP-incl-TC-20190128.pdf", "label": "Notice", "score": 13.5366191864, "published": false}], "size": 9, "snippet_links": [{"key": "february-2018", "type": "clause", "offset": [9, 22]}], "snippet": "means 15 February 2018.", "hash": "07df8927efbbd96b596db0b0401e77e6", "id": 4}, {"samples": [{"hash": "fRYAtnjnqHJ", "uri": "/contracts/fRYAtnjnqHJ#first-issue-date", "label": "Terms and Conditions", "score": 28.8208045959, "published": true}, {"hash": "6kyio81eW1Z", "uri": "/contracts/6kyio81eW1Z#first-issue-date", "label": "Amendment and Restatement Agreement", "score": 24.9767284393, "published": true}, {"hash": "caOvxwct1rN", "uri": "/contracts/caOvxwct1rN#first-issue-date", "label": "Amendment and Restatement Agreement", "score": 24.7713890076, "published": true}], "size": 9, "snippet_links": [{"key": "trustee-shall", "type": "definition", "offset": [35, 48]}, {"key": "the-trustee", "type": "clause", "offset": [93, 104]}, {"key": "in-writing", "type": "definition", "offset": [105, 115]}, {"key": "the-issuer", "type": "definition", "offset": [120, 130]}, {"key": "press-release", "type": "clause", "offset": [178, 191]}], "snippet": "means 11 October 2016. The Issuing Trustee shall confirm the First Issue Date to the CSD and the Trustee in writing and the Issuer shall publish the First Issue Date by way of a press release.", "hash": "b9f461d32d6d74b686cdc95f047483c1", "id": 5}, {"samples": [{"hash": "9ujYFmZaRZF", "uri": "https://feed.stamdata.com/documents/SE0017133564_SB_01_20250226.pdf", "label": "Notice", "score": 24.0242881775, "published": false}, {"hash": "3aSMYExqboM", "uri": "https://feed.stamdata.com/documents/SE0017133564_SB_01_20241203.pdf", "label": "Notice", "score": 23.6434555054, "published": false}, {"hash": "32pME8Zo5Q3", "uri": "https://ehab.group/wp-content/uploads/2025/01/Amended-and-restated-Terms-and-Conditions-3-January-2025.pdf", "label": "ehab.group", "score": 19.9985694885, "published": false}], "size": 9, "snippet_links": [], "snippet": "means 26 January 2022.", "hash": "d39bc631a3cdd42c04d81787e5c57cea", "id": 6}, {"samples": [{"hash": "32pqdrS9yac", "uri": "/contracts/32pqdrS9yac#first-issue-date", "label": "Indenture (Gevo, Inc.)", "score": 29.0314846039, "published": true}, {"hash": "89NS2qoRbi6", "uri": "/contracts/89NS2qoRbi6#first-issue-date", "label": "Indenture (Gevo, Inc.)", "score": 28.4661197662, "published": true}, {"hash": "aUZ0ontHniA", "uri": "/contracts/aUZ0ontHniA#first-issue-date", "label": "Exchange and Purchase Agreement (Gevo, Inc.)", "score": 28.2991104126, "published": true}], "size": 8, "snippet_links": [{"key": "the-initial-notes", "type": "clause", "offset": [15, 32]}, {"key": "originally-issued", "type": "definition", "offset": [37, 54]}, {"key": "pursuant-to-the-purchase-agreement", "type": "clause", "offset": [76, 110]}], "snippet": "means the date the Initial Notes are originally issued under this Indenture pursuant to the Purchase Agreement.", "hash": "ced872f24849c5d9f0daef889f41e107", "id": 7}, {"samples": [{"hash": "odQhI9roR", "uri": "https://www.sec.gov/Archives/edgar/data/925928/000101540201001134/0002.txt", "label": "Telscape International Inc", "score": 2.0, "published": false}, {"hash": "colmo6BinWS", "uri": "https://www.sec.gov/Archives/edgar/data/925928/000101540200001687/0003.txt", "label": "Telscape International Inc", "score": 2.0, "published": false}, {"hash": "5eTunxF6Lev", "uri": "https://www.sec.gov/Archives/edgar/data/1069625/000090256101000021/0004.txt", "label": "TSG Capital Fund Iii L P", "score": 2.0, "published": false}], "size": 8, "snippet_links": [{"key": "first-date", "type": "definition", "offset": [10, 20]}, {"key": "class-e-preferred-stock", "type": "definition", "offset": [40, 63]}], "snippet": "means the first date on which shares of Class E Preferred Stock were first issued.", "hash": "deb1a0629af6fdad7fee55187b127862", "id": 8}, {"samples": [{"hash": "3lT51hwOKlF", "uri": "https://feed.stamdata.com/documents/SE0011923267_LA_01_20220531.pdf", "label": "feed.stamdata.com", "score": 11.2053384781, "published": false}, {"hash": "dzCbE2KaxIB", "uri": 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is made to the general nature of the business carried on by the Group as of the <strong>First Issue Date</strong> if such substantial change would have a Material Adverse Effect.", "The Guarantor shall deliver to the Account Bank prior to the <strong>First Issue Date</strong>, the duly executed relevant Mandates in or substantially in the forms set out in Schedule 1 hereto relating to the Guarantor Accounts, and the Account Bank hereby confirms to the Bond Trustee that such Mandates have been provided to it, that the Guarantor Accounts are open and that the respective Mandates are operative.", "The repayment price per Bond shall equal the repaid percentage of the Nominal Amount (rounded down to the nearest EUR 1.00) plus up to, but excluding, the date falling 30 months after the <strong>First Issue Date</strong> a premium on the repaid amount equal to the Call Option Amount set out in Clause 9.3(a)(ii) and thereafter, as applicable considering when the repayment occurs, a premium on the repaid amount equal to the Call Option Amount for the relevant period together with accrued but unpaid Interest.", "Initial Notes shall be issued on the <strong>First Issue Date</strong> upon the Company\u2019s compliance with Section 3.04.", "Issue Dates On the Completion Date, simultaneously to Completion (the \u201c<strong>First Issue Date</strong>\u201d, the Class B Preferred Shares issued on the <strong>First Issue Date</strong> being referred to as the \u201cCompletion Class B Preferred Shares\u201d); and on the date of payment of the Post-Completion Price Adjustment, if any (the \u201cSecond Issue Date\u201d, the Class B Preferred Shares issued on the Second Issue Date being referred to as the \u201cPost-Completion Class B Preferred Shares\u201d).", "The Issuer and US HoldCo shall procure that no substantial change is made to the general nature of the business carried on by the Group as of the <strong>First Issue Date</strong> if such substantial change would have a Material Adverse Effect.", "Notwithstanding the proviso in the foregoing sentence, (i) interest on the first Interest Payment Date after the <strong>First Issue Date</strong> will be payable only in cash, and (ii) if the Initial Holders elect to exercise the option under the Purchase Agreement to purchase any Option Notes on or after the first Interest Payment Date after the <strong>First Issue Date</strong>, interest on the second Payment Date after the <strong>First Issue Date</strong> will be payable only in cash.", "The Guarantor LP has delivered to the Account Bank prior to the <strong>First Issue Date</strong>, the duly executed relevant Mandates in or substantially in the forms set out in Schedule 1 hereto relating to the Guarantor LP Accounts, and the Account Bank hereby confirms to the Bond Trustee that such Mandates have been provided to it, that the Guarantor LP Accounts are open and that the respective Mandates are operative.", "The Investor Report prepared in respect of the <strong>First Issue Date</strong> may be prepared on a pro forma basis (assuming an offering size)."], "related": [["issue-date", "Issue Date", "Issue Date"], ["series-issue-date", "Series Issue Date", "Series Issue Date"], ["initial-issue-date", "Initial Issue Date", "Initial Issue Date"], ["series-b-original-issue-date", "Series B Original Issue Date", "Series B Original Issue Date"], ["series-c-original-issue-date", "Series C Original Issue Date", "Series C Original Issue Date"]], "related_snippets": [], "updated": "2026-02-21T05:44:01+00:00"}, "json": true, "cursor": ""}}