Put Option Redemption Date definition

Put Option Redemption Date means, in respect of any Change of Control, the date specified in the relevant Change of Control Notice by the Issuer, being a date not earlier than five nor later than 10 Business Days after expiry of the Change of Control Notice Period;
Put Option Redemption Date means, in respect of any Put Event, the date specified in the relevant Put Event Notice by the Issuer, being a date not earlier than five nor later than 10 Business Days after expiry of the Put Event Notice Period;

Examples of Put Option Redemption Date in a sentence

  • However, the settlement of the Put Option will be based on each Bondholders holding of Bonds at the Put Option Redemption Date.

  • The Put Option Redemption Date will be the 10th Business Day after the end of the Change of Control Exercise Period.

  • In the event of the conversion of Bonds pursuant to paragraph (a) (ii) above, the Issuer shall as soon as possible, but in no event later than on the Put Option Redemption Date, issue to and in the names of the relevant Bondholder the number of Shares which are necessary in order to fulfil the Issuer’s obligations to issue new Shares to the relevant Bondholder pursuant to its Conversion Rights.

  • The settlement of the Put Option will be based on each Bondholders holding of Bonds at the Put Option Redemption Date.

  • Interest will be payable on the Nominal Amount in respect of each successive Interest Period (as defined below) from the Issue Date to the Maturity Date, the Call Option Redemption Date, or the Put Option Redemption Date (as the case may be) only, in arrear on the relevant Interest Payment Date.


More Definitions of Put Option Redemption Date

Put Option Redemption Date. The term "Put Option Redemption Date" shall have the meaning specified in Section 3.03(a).
Put Option Redemption Date means, in respect of a Put Option Exchange Date, the earlier of (i) the second Business Day following such Put Option Exchange Date, and (ii) the Maturity Date.SCHEDULE FORM OF PUT OPTION EXERCISE NOTICE JPMORGAN CHASE BANK, N.A.STRUCTURED PRODUCTS PROGRAMME FOR THE ISSUANCE OF NOTES, WARRANTS AND CERTIFICATESin respect of Securities issued by JPMorgan Chase Bank, N.A. Series No. [ ]By depositing this duly completed Put Option Exercise Notice with the Paying Agent, the Transfer Agent or the Registrar for the Securities of the above Series (the "Securities") (and by notifying such Put Option to the Issuer) the undersigned Holder of such of the Securities as are, or are represented by the registered certificate that is, surrendered with this Put Option Exercise Notice and referred to below irrevocably exercises its option to have such Securities, or the nominal amount of Securities specified below, redeemed on the Put Option Redemption Date under General Condition 5.2, as amended by the Pricing Supplement in respect of the Securities dated 25 July 2018.This Put Option Exercise Notice relates to Securities in the aggregate nominal amount of HKD []. In respect of the aggregate nominal amount of Securities referenced above, [Cash Settlement] / [Physical Settlement] shall apply. If Physical Settlement applies, this notice must be accompanied by a Reference Asset Transfer Notice as specified in General Conditions 14.1 and 32.1.If the Securities (or the registered certificate representing them) to which this Put Option Exercise Notice relates are to be returned, or, in the case of a partial exercise of an option in respect of a single holding of Registered Securities, a new registered certificate representing the balance of such holding in respect of which no option has been exercised is to be issued, to their Holder, they should be returned by post to1: Payment Instructions Please make payment in respect of the above Securities as follows: *(a) by Hong Kong Dollar cheque drawn on a bank in Hong Kong and mailed to the *[above address/address of the Holder appearing in the Register].*(b) by transfer to the following [currency] account: Bank: []Branch Address: [] Branch Code: [] Account Number: [] Account Name: []
Put Option Redemption Date means, in respect of any Note, the date which falls 10 Business Days after the date on which the relevant Noteholder exercises its option in accordance with Clause 8.7.1.
Put Option Redemption Date shall have the meaning specified in Section 3.03(a).
Put Option Redemption Date means, in respect of a Put Option Exchange Date, the earlier of (i) the tenth Business Days following such Put Option Exchange Date, and (ii) the Maturity Date.Registered Office of J.P. Morgan Structured Products B.V.
Put Option Redemption Date means, in respect of a Put Option Notice Date, the earlier of (i) the second Business Day following the corresponding Put Option Exchange Date to fall latest in time, and(ii) the Maturity Date.
Put Option Redemption Date means, in respect of a(i) where "Physical Settlement" has been specified by the Holder in the Put Option Notice, in respect of a Put Option Exchange Date, the earlier of (ia) the tenth Business Day following thesuch Put Option Notice Date, and (iiExchange Date, and (b) the Maturity Date; and (ii) where "Cash Settlement" has been specified by the Holder inthe Put Option Notice, in respect of a Put Option Notice Date, the earlier of (a) the tenth Business Day following such Put Option Notice Date, and (b) the Maturity Date.