H.15 Report definition

H.15 Report means the Federal Reserve Board's Statistical Release H.15, "Selected Interest Rates." The H.15 Report is generally available at the Federal Reserve Board's website: ▇▇▇.▇▇▇▇▇▇▇▇▇▇▇▇▇▇.▇▇▇. If the H.15 Report is replaced or otherwise unavailable, Lender will (in its discretion) designate the replacement report or another report reasonably comparable to the H.15 Report. Lender's designated replacement report will replace the H.15 Report.

Examples of H.15 Report in a sentence

  • Interest amounts will be calculated using the 7 year Constant Maturity Treasury rate reported for the last working day of that calendar month as reported in the Federal Reserve H15 Report.

  • Claims remaining unpaid by Continental for more than 30 days after the receipt of final papers will incur interest calculated from that date using the 7 year Constant Maturity Treasury Rate as reported for the last working date of that month in the Federal Reserve H15 Report.

  • Interest amounts will be calculated using the 7 year Constant Maturity Treasury rate reported for the last working day of the [time period] of the due date as reported in the Federal Reserve H15 Report.

  • Any and all cash dividends and stock dividends with respect to Unvested Shares shall be withheld by the Company for the Grantee’s account, and interest shall be credited on the amount of the cash dividends withheld at an annual rate equal to the 3-year Treasury Constant Maturity Rate published in the Federal Reserve Board’s H.15 Report as of the last day of the preceding calendar year, compounded quarterly.

  • Claims remaining unpaid by Continental for more than thirty (30) days after the receipt of final papers will incur interest calculated from that date using the 7 year Constant Maturity Treasury Rate as reported for the last working date of that month in the Federal Reserve H15 Report.

  • Interest shall be calculated using the 7 year Constant Maturity Treasury rate reported for the last working date of that calendar month in the Federal Reserve H15 Report.

  • Interest amounts will be calculated using the 7-year Constant Maturity Treasury rate reported for the last working day of that calendar month in the Federal Reserve H15 Report.

  • Rate date is obtained, at the time of prepayment, from the most recent Federal Reserve H-15 Report using data from the most recent week ending column.

  • Claims remaining unpaid by Continental for more then 30 days after the receipt of final papers will incur interest calculated from that date using the 7 year Constant Maturity Treasury Rate reported for the last working date of that month in the Federal Reserve H15 Report.

  • If accepted by the Borrower, such fixed rate shall be set for the remainder of the term of the Loan and shall be offered by the Lender, as determined by the Lender, based on the closest whole-year interest rate swaps reported in the Federal Reserve H-15 Report of the day prior to fixing the rate, plus 200 basis points (2.00%).

Related to H.15 Report

  • GLJ Report means the independent engineering reserves evaluation of certain oil, NGL and natural gas interests of the Company prepared by GLJ dated February 8, 2016 and effective December 31, 2015;

  • MI Report means a report containing Management Information submitted to the Authority in accordance with Framework Schedule 9 (Management Information);

  • ESDM Report means the Emission Summary and Dispersion Modelling Report prepared in accordance with the Procedure Document by Canadian ORTECH Environmental Inc. and dated March 26, 2004 submitted in support of the application, and includes any amendments to the ESDM Report listed in Schedule A, and all up-dated ESDM Reports prepared as required by the Documentation Requirements conditions of this Certificate.

  • Pick Up Report means the report detailing the number of sleeping rooms per day actually used out of the Program’s room block.

  • Evaluation Report means that document which becomes a part of the employee’s personnel file.