{"component": "definition", "props": {"groups": [{"snippet_links": [{"key": "daily-rate-index", "type": "definition", "offset": [10, 26]}, {"key": "fixed-rate-index", "type": "definition", "offset": [32, 48]}, {"key": "commercial-paper-rate-index", "type": "definition", "offset": [54, 81]}, {"key": "monthly-rate-index", "type": "definition", "offset": [87, 105]}, {"key": "annual-rate", "type": "definition", "offset": [116, 127]}, {"key": "term-rate-index", "type": "definition", "offset": [139, 154]}, {"key": "weekly-rate-index", "type": "definition", "offset": [163, 180]}], "snippet": "means the Daily Rate Index, the Fixed Rate Index, the Commercial Paper Rate Index, the Monthly Rate Index, the Semi-annual Rate Index, the Term Rate Index, or the Weekly Rate Index.", "samples": [{"hash": "frVGCzGcOVR", "uri": "/contracts/frVGCzGcOVR#rate-index", "label": "Trust Indenture (Consolidated Edison Co of New York Inc)", "score": 21.0, "published": true}, {"hash": "73WRx6NZSOS", "uri": "https://www.sec.gov/Archives/edgar/data/23632/000104786218000037/exhibit4281-201710k.htm", "label": "Amending and Supplementing the Indenture (Consolidated Edison Co of New York Inc)", "score": 18.1232032854, "published": false}, {"hash": "j72mtLnGJ53", "uri": "/contracts/j72mtLnGJ53#rate-index", "label": "Trust Indenture (Consolidated Edison Inc)", "score": 18.0, "published": true}], "size": 18, "hash": "ff01b4d5c93265e94cd4f83c3e576a4a", "id": 1}, {"snippet_links": [], "snippet": "has the meaning set forth in Section 1.1.5.", "samples": [{"hash": "ly0w6ASKwc7", "uri": "/contracts/ly0w6ASKwc7#rate-index", "label": "Credit Facility Agreement (Talk Com)", "score": 18.0, "published": true}, {"hash": "cEiStSuHZgP", "uri": "/contracts/cEiStSuHZgP#rate-index", "label": "Credit Facility Agreement (NBG Radio Network Inc)", "score": 18.0, "published": true}, {"hash": "9ZkE73nDAzg", "uri": "/contracts/9ZkE73nDAzg#rate-index", "label": "Credit Facility Agreement (MCG Finance Corp)", "score": 18.0, "published": true}], "size": 10, "hash": "be899fd19c383225d1c91947a02131dc", "id": 2}, {"snippet_links": [{"key": "to-the-trustee", "type": "clause", "offset": [28, 42]}, {"key": "most-recent", "type": "definition", "offset": [48, 59]}, {"key": "the-securities", "type": "clause", "offset": [70, 84]}, {"key": "municipal-swap-index", "type": "definition", "offset": [128, 148]}, {"key": "sifma-index", "type": "definition", "offset": [155, 166]}], "snippet": "means (i) if made available to the Trustee, the most recent seven-day The Securities Industry Financial Marketing AssociationTM Municipal Swap Index (the \u201cSIFMA Index\u201d), or (ii) if said SIFMA", "samples": [{"hash": "19xCLjNI2or", "uri": "https://hcr.ny.gov/system/files/documents/2025/04/april-10-2025-supplemental-materials-board-book-final.pdf", "label": "hcr.ny.gov", "score": 20.135470331, "published": false}, {"hash": "74Z8wpvNYL1", "uri": "https://hcr.ny.gov/system/files/documents/2025/03/march-18-2025-hfa-ahc-resolutions-board-book.pdf", "label": "hcr.ny.gov", "score": 18.0367322676, "published": false}, {"hash": "7eC9TUtVJIR", "uri": "https://hcr.ny.gov/system/files/documents/2025/02/february-13-2025-hfa-ahc-resolutions-board-book.pdf", "label": "hcr.ny.gov", "score": 17.9485621148, "published": false}], "size": 8, "hash": "956bc9f25e43e1e777e1baad43e82a07", "id": 3}, {"snippet_links": [{"key": "the-yield", "type": "clause", "offset": [6, 15]}, {"key": "the-wall-street-journal", "type": "clause", "offset": [26, 49]}, {"key": "applicable-rate-determination-date", "type": "definition", "offset": [57, 91]}, {"key": "actively-traded", "type": "definition", "offset": [105, 120]}, {"key": "treasury-notes", "type": "definition", "offset": [135, 149]}, {"key": "maturity-date", "type": "clause", "offset": [180, 193]}, {"key": "expiration-date", "type": "clause", "offset": [201, 216]}, {"key": "the-current", "type": "clause", "offset": [244, 255]}, {"key": "renewal-term", "type": "definition", "offset": [256, 268]}, {"key": "lease-advance", "type": "definition", "offset": [293, 306]}, {"key": "first-lease", "type": "definition", "offset": [322, 333]}, {"key": "initial-term", "type": "definition", "offset": [403, 415]}], "snippet": "means the yield quoted in the Wall Street Journal on the applicable Rate Determination Date for the most actively traded United States Treasury Notes having the nearest equivalent maturity date to the Expiration Date or the expiration date for the current Renewal Term, as applicable. 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148]}, {"key": "sifma-index", "type": "definition", "offset": [155, 166]}, {"key": "bond-buyer", "type": "definition", "offset": [291, 301]}], "snippet": "means (i) if made available to the Trustee, the most recent seven-day The Securities Industry Financial Marketing AssociationTM Municipal Swap Index (the \u201cSIFMA Index\u201d), or (ii) if said SIFMA Index is not made available to the Trustee, the most recent seven-day SIFMA Index published in The Bond Buyer within the last 30 days.", "samples": [{"hash": "emfk8SnLJaT", "uri": "https://hcr.ny.gov/system/files/documents/2023/03/march-2023-supplemental-book.pdf", "label": "Mortgage", "score": 13.5831622177, "published": false}, {"hash": "jynne2D4OSl", "uri": "https://hcr.ny.gov/system/files/documents/2021/07/supplemental-book.pdf", "label": "hcr.ny.gov", "score": 10.7577002053, "published": false}, {"hash": "1SwtWxQl1R9", "uri": "https://hcr.ny.gov/system/files/documents/2024/02/supplemental-materials-book-february-2024.pdf", 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"examples": ["The APR (other than the Introductory APR) is a variable rate determined quarterly by adding a margin of 4.65% to 14.40%, not to exceed 17.90% APR, (depending on our review of your application and creditworthiness) to the Prime Rate (Index).", "The applicable <strong>Rate Index</strong> for each Portion will be either the Prime Rate or an Adjusted LIBO Rate.", "In the case of a Fixed Rate Book-Entry Note, the interest rate, or, in the case of a Floating Rate Book-Entry Note, Base Rate, Index Maturity, Initial Interest Rate, Maximum Interest Rate, Minimum Interest Rate, Interest Reset Dates, Interest Payment Dates, Calculation Dates, Interest Reset Dates and Spread and/or Spread Multiplier.", "In the case of Fixed Rate Certificated Note, the interest rate, or, in the case of a Floating Rate Certificated Note, the Initial Interest Rate (if known at such time), Base Rate, Index Maturity, Interest Reset Period, Interest Reset Dates, Interest Determination Dates, Interest Payment Period, Spread or Spread Multiplier (if any), Minimum Interest Rate (if any) and Maximum Interest Rate (if any).", "The applicable <strong>Rate Index</strong> for each Portion may be changed by Borrowers as of the first calendar day after the end of the applicable Interest Period for such Portion.", "If Administrative Agent does not timely receive such written notification as to any Portion, then the then-current <strong>Rate Index</strong> will be the applicable <strong>Rate Index</strong> for the outstanding balance of such unspecified Portion during the subsequent Interest Period.", "Such election to change the <strong>Rate Index</strong> must be made by providing Administrative Agent written notice thereof at any time within 10 Business Days after receipt of such notice of adjustment (notwithstanding any restriction hereunder limiting <strong>Rate Index</strong> changes to certain dates, but subject to the requirement to pay all associated costs therewith).", "If any Lender provides any such notice of adjustment, then Borrowers may elect to change the then-applicable <strong>Rate Index</strong> (using the same Rate Margin category) to the Prime Rate for any Portion then subject to an Adjusted LIBO Rate.", "In the case of a Fixed Rate Book-Entry Note, the interest rate, or, in the case of a Floating Rate Book-Entry Note, the Initial Interest Rate (if known at such time), Base Rate, Index Maturity, Interest Reset Period, Interest Reset Dates, Interest Determination Dates, Interest Payment Period, Spread or Spread Multiplier (if any), Minimum Interest Rate (if any) and Maximum Interest Rate (if any).", "With respect to the proceeds of each Advance under the Term Loan Facility, unless Borrowers request a particular <strong>Rate Index</strong> at the time of such Advance, then Administrative Agent may select the applicable <strong>Rate Index</strong> from the corresponding Settlement Date for such Advance until the next date on which the <strong>Rate 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