{"component": "definition", "props": {"groups": [{"samples": [{"hash": "hCfq8ZAMVLO", "uri": "https://leedejonesgable.com/wp-content/uploads/CIBC-Series-51-190527.pdf", "label": "leedejonesgable.com", "score": 9.7665977478, "published": false}, {"hash": "fVKhNr2G5h0", "uri": "https://www.cibc.com/content/dam/about_cibc/investor_relations/pdfs/debt_info/covered_bonds/legislative/prospectus/series-51-prospectus-en.pdf", "label": "www.cibc.com", "score": 9.6995210648, "published": false}, {"hash": "ih3DzDPrKT9", "uri": "https://www.bmo.com/ir/files/F19%20Files/Series46ProspectusSupplement.PDF", "label": "www.bmo.com", "score": 9.635181427, "published": false}], "size": 48, "snippet": "means $25.00 plus declared and unpaid dividends as at the date of the Trigger Event.", "snippet_links": [{"key": "declared-and-unpaid-dividends", "type": "clause", "offset": [18, 47]}, {"key": "date-of", "type": "clause", "offset": [58, 65]}, {"key": "trigger-event", "type": "definition", "offset": [70, 83]}], "hash": "5e42da65199a0e776223c317afe3ef0f", "id": 1}, {"samples": [{"hash": "jJ9ZzAfjPTX", "uri": "/contracts/jJ9ZzAfjPTX#share-value", "label": "Incentive Award Plan (CareTrust REIT, Inc.)", "score": 37.1149902344, "published": true}, {"hash": "wnlMZEevyj", "uri": "/contracts/wnlMZEevyj#share-value", "label": "Incentive Award Plan (CareTrust REIT, Inc.)", "score": 36.9589309692, "published": true}, {"hash": "1iflUX674Id", "uri": "/contracts/1iflUX674Id#share-value", "label": "Performance Stock Unit Award Agreement (Evolent Health, Inc.)", "score": 36.3511276245, "published": true}], "size": 36, "snippet": "means, with respect to a given trading day, the closing price of a company\u2019s common stock multiplied by the Accumulated Shares for such trading day.", "snippet_links": [{"key": "with-respect-to", "type": "clause", "offset": [7, 22]}, {"key": "trading-day", "type": "clause", "offset": [31, 42]}, {"key": "closing-price", "type": "definition", "offset": [48, 61]}, {"key": "common-stock", "type": "clause", "offset": [77, 89]}, {"key": "accumulated-shares", "type": "definition", "offset": [108, 126]}], "hash": "3ce1c6bcdadddb58bff64d39dd37ed60", "id": 2}, {"samples": [{"hash": "3JNieBUhvRN", "uri": "https://www.sec.gov/Archives/edgar/data/1060386/000079081620000012/exhibit102.htm", "label": "Incentive Plan (Brandywine Operating Partnership, L.P.)", "score": 17.1902809143, "published": false}, {"hash": "axVtQokmDh6", "uri": "https://d18rn0p25nwr6d.cloudfront.net/CIK-0000790816/bafa5a29-81af-43a2-9db3-cba8da543685.pdf", "label": "d18rn0p25nwr6d.cloudfront.net", "score": 10.6714582443, "published": false}, {"hash": "hAD0PC8e4W4", "uri": "https://investor.brandywinerealty.com/static-files/cafb6549-bd0d-4daf-beac-fa4a6c261f39", "label": "investor.brandywinerealty.com", "score": 10.5934295654, "published": false}], "size": 34, "snippet": "means, as applicable (including for purposes of determining TSR) and except as provided in the following sentence, the average of the closing prices of one Share on the New York Stock Exchange (the \u201cNYSE\u201d) (or, if not then listed on the NYSE, on the principal market or quotation system on which Shares are then traded) for (i) the 30 days on which Shares were traded prior to the Effective Date (for the value of a Share on the Effective Date); or (ii) the 30 days on which Shares were traded prior to and including the last day of the Measurement Period (for the value of a Share on the last day of the Measurement Period); provided that for purposes of Section 4 below and the \u201cpurchase\u201d of additional RSUs thereunder, \u201cShare Value\u201d means the closing price of one Share on the NYSE (or, if not then listed on the NYSE, on the principal market or quotation system on which Shares are then traded) on the applicable dividend payment date. 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provided, however, that if the Performance Period ends upon the consummation of a Change in Control, Share Value with respect to the Company shall mean the price per Share (or, in connection with a sale or other disposition of all or substantially all of the Company\u2019s assets, the implied price per Share, as determined by the Administrator) paid by the acquiror in connection with the Change in Control transaction or, to the extent that the consideration in the Change in Control transaction is paid in stock of the acquiror or its affiliate, then, unless otherwise determined by the Administrator, Share Value shall mean the value of the consideration paid per Share based on the average of the closing trading prices of a share of such acquiror stock on the principal exchange on which such shares are then traded for each trading day during the five consecutive trading days ending on and including the date on which a Change in Control occurs. 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