{"component": "definition", "props": {"groups": [{"snippet": "means (a) with respect to a redemption of any Trust Securities, Trust Securities having a Liquidation Amount equal to the principal amount of Notes to be contemporaneously redeemed or paid at maturity in accordance with the Indenture, the proceeds of which will be used to pay the Redemption Price of such Trust Securities, (b) with respect to a distribution of Notes to Holders of Trust Securities in connection with a dissolution of the Trust, Notes having a principal amount equal to the Liquidation Amount of the Trust Securities of the Holder to whom such Notes are distributed and (c) with respect to any distribution of Additional Interest Amounts to Holders of Trust Securities, Notes having a principal amount equal to the Liquidation Amount of the Trust Securities in respect of which such distribution is made.", "size": 290, "snippet_links": [{"key": "with-respect-to", "type": "clause", "offset": [10, 25]}, {"key": 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Amount equal to the principal amount of Notes to be contemporaneously redeemed or paid at maturity in accordance with the Indenture, the proceeds of which will be used to pay the Redemption Price of such Trust Securities, (b) with respect to a distribution of Notes to Holders of Trust Securities in connection with a dissolution of the Trust, Notes having a principal amount equal to the Liquidation Amount of the Trust Securities of the Holder to whom such Notes are distributed and (c) with respect to any distribution of Additional Interest Amounts to Holders of Trust Securities, Notes having a principal amount equal to the Liquidation Amount of the Trust Securities in respect of which such distribution is made.", "title": "Like Amount", "size": 1608, "id": "like-amount", "examples": ["On each Note Redemption Date, on the stated maturity (or any date of principal repayment upon early maturity) of the Notes and on each other date on (or in respect of) which any principal on the Notes is repaid, the Trust will be required to redeem a <strong>Like Amount</strong> of Trust Securities at the Redemption Price.", "Such Debentures shall be redeemed pursuant to this Section 3.3(b) only in exchange for and upon surrender by the Company to the Property Trustee of the Preferred Securities and a proportionate amount of Common Securities, whereupon the Property Trustee shall cancel the Preferred Securities and Common Securities so surrendered and a <strong>Like Amount</strong> (as defined in the Trust Agreement) of Debentures shall be extinguished by the Trustee and shall no longer be deemed Outstanding.", "If an Early Termination Event specified in clause (a), (b), or (d) of Section 902 occurs or upon the Expiration Date, the Trust shall be liquidated by the Trustees as expeditiously as the Trustees determine to be possible by distributing, after satisfaction of liabilities to creditors of the Trust as provided by applicable law, to each Securityholder a <strong>Like Amount</strong> of Debentures, subject to Section 904(d).", "On each Debenture Redemption Date and on the maturity of the Debentures, the Trust shall be required to redeem a <strong>Like Amount</strong> of Trust Securities at the Redemption Price.", "Such Debentures shall be redeemed pursuant to this Section 3.2(d) only in exchange for and upon surrender by the Company to the Property Trustee of the Trust Preferred Securities and a proportionate amount of Common Securities, whereupon the Property Trustee shall cancel the Trust Preferred Securities and Common Securities so surrendered and a <strong>Like Amount</strong> (as defined in the Trust Agreement) of Debentures shall be extinguished by the Trustee and shall no longer be deemed Outstanding.", "On each Redemption Date with respect to the Junior Subordinated Notes, the Trust will be required to redeem a <strong>Like Amount</strong> of Trust Securities at the Redemption Price.", "On each Debenture Redemption Date and on the stated maturity of the Debentures the Trust shall be required to redeem a <strong>Like Amount</strong> of Trust Securities at the Redemption Price.", "Subject to receipt by the Sponsor of any and all required regulatory approvals and to certain other conditions set forth in the Trust Agreement and the Indenture, the Property Trustee may, at the direction of the Sponsor, at any time terminate the Trust and cause the Debentures to be distributed to the holders of the Securities in liquidation of the Trust or, simultaneously with any redemption of the Debentures, cause a <strong>Like Amount</strong> of the Securities to be redeemed by the Trust.", "On (i) each Debenture Redemption Date; (ii) the accelerated maturity of the Debentures; or (iii) the stated maturity of the Debentures the Trust shall be required to redeem a <strong>Like Amount</strong> of Trust Securities at the Redemption Price.", "If a Failed Remarketing occurs but on the Stock Purchase Date there is no Deferred Note Interest Amount outstanding, then promptly after the Stock Purchase Date the Issuer Trust shall redeem the Capital APEX, in whole but not in part, in kind by exchanging for each Capital APEX a <strong>Like Amount</strong> of Notes."], "related": [["mo-amount", "M&O Amount", "M&amp;O Amount"], ["hurdle-amount", "Hurdle Amount", "Hurdle Amount"], ["broken-amount", "Broken Amount", "Broken Amount"], ["maximum-contribution-amount", "Maximum Contribution Amount", "Maximum Contribution Amount"], ["fx-reduction-amount", "FX Reduction Amount", "FX Reduction Amount"]], "related_snippets": [], "updated": "2025-07-10T05:58:13+00:00"}, "json": true, "cursor": ""}}