{"component": "definition", "props": {"groups": [{"size": 98, "samples": [{"hash": "iKWxlP6emcJ", "uri": "/contracts/iKWxlP6emcJ#treasury-bonds", "label": "Bylaws (Pimco Municipal Income Fund Ii)", "score": 33.1984939575, "published": true}, {"hash": "i8TNPYTdn2n", "uri": "/contracts/i8TNPYTdn2n#treasury-bonds", "label": "Bylaws (Pimco California Municipal Income Fund Ii)", "score": 33.1984939575, "published": true}, {"hash": "aMG56LBPoT", "uri": "/contracts/aMG56LBPoT#treasury-bonds", "label": "Bylaws (Pimco California Municipal Income Fund Iii)", "score": 33.1984939575, "published": true}], "snippet": "means United States Treasury Bonds or Notes.", "snippet_links": [{"key": "united-states-treasury", "type": "definition", "offset": [6, 28]}, {"key": "bonds-or-notes", "type": "definition", "offset": [29, 43]}], "hash": "42b01fcc12951c8b9f4a4a3949dfee05", "id": 1}, {"size": 42, "samples": [{"hash": "cJKn1IWKy9b", "uri": 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{"hash": "fEHTKVp0Jm8", "uri": "https://www1.hkexnews.hk/listedco/listconews/sehk/2025/0430/2025043000815.pdf", "label": "www1.hkexnews.hk", "score": 13.4566297531, "published": false}, {"hash": "eRFOPqttXJm", "uri": "https://www1.hkexnews.hk:443/listedco/listconews/sehk/2021/0824/2021082401072.pdf", "label": "www1.hkexnews.hk:443", "score": 10.8220396042, "published": false}], "snippet": "means the RMB denominated and settled fixed-rate bonds issued by the Ministry of Finance (\u4e2d\u83ef\u4eba\u6c11\u5171\u548c\u570b\u8ca1\u653f\u90e8) of the PRC and distributed within the PRC mainland.", "snippet_links": [{"key": "issued-by", "type": "definition", "offset": [55, 64]}, {"key": "the-ministry-of-finance", "type": "clause", "offset": [65, 88]}, {"key": "the-prc", "type": "definition", "offset": [105, 112]}, {"key": "prc-mainland", "type": "definition", "offset": [140, 152]}], "hash": "ff594a982234cccbc2a18b656dbee5e3", "id": 4}, {"size": 7, "samples": [{"hash": "bnCd6xGT47j", "uri": "https://www.sec.gov/Archives/edgar/data/1222922/000175272420114276/NCEN_5340249035721833.htm", "label": "Eaton Vance LTD Duration Income Fund", "score": 15.4175224304, "published": false}, {"hash": "bZQG7eLnor4", "uri": "https://www.sec.gov/Archives/edgar/data/1222922/000094039420001214/ex-5z03.htm", "label": "Eaton Vance LTD Duration Income Fund", "score": 13.6146478653, "published": false}, {"hash": "fn5ZW6j1Imt", "uri": "https://www.sec.gov/Archives/edgar/data/1288992/000095013504004413/b51660efexv99wxbyx2y.txt", "label": "Agreement and Declaration of Trust (Eaton Vance Floating-Rate Income Trust)", "score": 6.0, "published": false}], "snippet": "means United States Treasury Bills, Bonds or Notes.", "snippet_links": [{"key": "united-states-treasury-bills", "type": "clause", "offset": [6, 34]}, {"key": "bonds-or-notes", "type": "definition", "offset": [36, 50]}], "hash": "3681f3f0076578ba8e9ad9d00fd6b0dc", "id": 5}, {"size": 7, "samples": [{"hash": "imI98v8t0BS", "uri": "/contracts/imI98v8t0BS#treasury-bonds", "label": "Bylaws (Putnam Municipal Opportunities Trust)", "score": 19.0, "published": true}, {"hash": "4nBvVeo7DRK", "uri": "/contracts/4nBvVeo7DRK#treasury-bonds", "label": "Bylaws (Putnam Municipal Opportunities Trust)", "score": 19.0, "published": true}, {"hash": "iRdjbB7KNeY", "uri": "/contracts/iRdjbB7KNeY#treasury-bonds", "label": "Bylaws (Putnam Municipal Opportunities Trust)", "score": 18.0, "published": true}], "snippet": "shall have the meaning set forth in paragraph 12(a) of this Part I of Section 12.1.", "snippet_links": [{"key": "section-121", "type": "clause", "offset": [70, 82]}], "hash": "2f4816ecca4f385c00881f793f6bed24", "id": 6}, {"size": 4, "samples": [{"hash": "8VZW3kB1YSN", "uri": "/contracts/8VZW3kB1YSN#treasury-bonds", "label": "Restated Amendment to Agreement and Declaration of Trust (Massachusetts Health & Education Tax Exempt Trust)", "score": 18.0, "published": true}, {"hash": "iICZT03jyG", "uri": "https://www.sec.gov/Archives/edgar/data/901824/000089109205001524/e21096ex99_a5.txt", "label": "Massachusetts Health & Education Tax Exempt Trust", "score": 5.0, "published": false}, {"hash": "kPWltDQXi9e", "uri": "https://www.sec.gov/Archives/edgar/data/901824/000089109205001823/e21142_exa5.txt", "label": "Massachusetts Health & Education Tax Exempt Trust", "score": 2.0, "published": false}], "snippet": "means U.S. Treasury Bonds backed by the full faith and credit of the U.S. Government with remaining maturities of 10 years or more.", "snippet_links": [{"key": "full-faith-and-credit", "type": "definition", "offset": [40, 61]}, {"key": "the-us", "type": "clause", "offset": [65, 72]}, {"key": "years-or-more", "type": "clause", "offset": [117, 130]}], "hash": "f03fded402ac0e76bf8986ac1ad67804", "id": 7}, {"size": 3, "samples": [{"hash": "6m7Zg2qjLQk", "uri": "/contracts/6m7Zg2qjLQk#treasury-bonds", "label": "Credit Agreement (Atwood Oceanics Inc)", "score": 18.0, "published": true}, {"hash": "4uBzpgtPkF", "uri": "/contracts/4uBzpgtPkF#treasury-bonds", "label": "Credit Agreement (Atwood Oceanics Inc)", "score": 18.0, "published": true}], "snippet": "means the U.S. Treasury Bonds or similar U.S. securities pledged by Borrowers to Banks.", "snippet_links": [{"key": "the-us", "type": "clause", "offset": [6, 13]}, {"key": "to-banks", "type": "clause", "offset": [78, 86]}], "hash": "8845942490ed977cb9d8127484cdd68f", "id": 8}, {"size": 3, "samples": [{"hash": "8lPuqR2iDFy", "uri": "/contracts/8lPuqR2iDFy#treasury-bonds", "label": "Bylaws (Pimco Municipal Income Fund Iii)", "score": 23.3921966553, "published": true}], "snippet": "means United States Treasury Bonds or Notes. \"U.S. Treasury \u2587\u2587\u2587\u2587 Rate\" on any date means (i) the Interest Equivalent of the rate on the actively traded Treasury \u2587\u2587\u2587\u2587 with a maturity most nearly comparable to the length of the related Dividend Period, as such rate is made available on a discount basis or otherwise by the Federal Reserve Bank of New York in its Composite 3:30 P.M. Quotations for U.S. Government Securities report for such Business Day, or (ii) if such yield as so calculated is not available, the Alternate Treasury \u2587\u2587\u2587\u2587 Rate on such date. For purposes of determining the \"U.S. Treasury \u2587\u2587\u2587\u2587 Rate\" the \"Alternate Treasury \u2587\u2587\u2587\u2587 Rate\" on any date means the Interest Equivalent of the yield as calculated by reference to the arithmetic average of the bid price quotations of the actively traded Treasury \u2587\u2587\u2587\u2587 with a maturity most nearly comparable to the length of the related Dividend Period, as determined by bid price quotations as of any time on the Business Day immediately preceding such date, obtained from at least three recognized primary U.S. Government securities dealers selected by the Auction Agent. \"U.S. Treasury Note Rate\" on any date means (i) the yield as calculated by reference to the bid price quotation of the actively traded, current coupon Treasury Note with a maturity most nearly comparable to the length of the related Dividend Period, as such bid price quotation is published on the Business Day immediately preceding such date by the Federal Reserve Bank of New York in its Composite 3:30 P.M. Quotations for U.S. Government Securities report for such Business Day, or (ii) if such yield as so calculated is not available, the Alternate Treasury Note Rate on such date. For purposes of determining the U.S. Treasury Note Rate, the \"Alternate Treasury Note Rate\" on any date means the yield as calculated by reference to the arithmetic average of the bid price quotations of the actively traded, current coupon Treasury Note with a maturity most nearly comparable to the length of the related Dividend Period, as determined by the bid price quotations as of any time on the Business Day immediately preceding such date, obtained from at least three recognized primary U.S. Government securities dealers selected by the Auction Agent. \"Valuation Date\" means, for purposes of determining whether the Trust is maintaining the APS Basic Maintenance Amount, the last Business Day of each week commencing with the Date of Original Issue. \"Voting Period\" has the meaning set forth in Section 11.5(b) of these Bylaws.", "snippet_links": [{"key": "united-states-treasury", "type": "definition", "offset": [6, 28]}, {"key": "bonds-or-notes", "type": "definition", "offset": 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2490]}], "hash": "5ca172eeb7afa9ad23bc60e23298355b", "id": 9}, {"size": 2, "samples": [{"hash": "4bKHACZV0fr", "uri": "https://www.sec.gov/Archives/edgar/data/806628/000090256105000130/exhibb_1.htm", "label": "DNP Select Income Fund Inc", "score": 3.0, "published": false}, {"hash": "b4Jn9W74b0X", "uri": "https://www.sec.gov/Archives/edgar/data/806628/000116923205001353/d62699_ex99-77q1.txt", "label": "DNP Select Income Fund Inc", "score": 2.0, "published": false}], "snippet": "means securities that (i) are direct obligations of, or fully guaranteed by, the full faith and credit of the United States, (ii) mature in more than ten years and (iii) pay interest semiannually.", "snippet_links": [{"key": "obligations-of", "type": "clause", "offset": [37, 51]}, {"key": "guaranteed-by", "type": "clause", "offset": [62, 75]}, {"key": "full-faith-and-credit", "type": "definition", "offset": [81, 102]}, {"key": "the-united-states", "type": "definition", "offset": [106, 123]}, {"key": "ten-years", "type": "clause", "offset": [150, 159]}, {"key": "pay-interest", "type": "clause", "offset": [170, 182]}], "hash": "893e99acf487694af1e072cb748ef55e", "id": 10}], "next_curs": "ClsSVWoVc35sYXdpbnNpZGVyY29udHJhY3RzcjcLEhpEZWZpbml0aW9uU25pcHBldEdyb3VwX3Y1NiIXdHJlYXN1cnktYm9uZHMjMDAwMDAwMGEMogECZW4YACAA", "definition": {"size": 198, "title": "Treasury Bonds", "snippet": "means United States Treasury Bonds or Notes.", "id": "treasury-bonds", "examples": ["Uplift is the amount which, when compounded Quarterly, is equal to the average for the business days of the Quarter of the annual yield on long-term United States <strong>Treasury Bonds</strong> (thirty-year (30) bonds) plus an annual margin of eleven (11) percentage points.", "Initially, Treasury Bills and <strong>Treasury Bonds</strong> are issued in scripless form.", "The Reinsurer may assess an interest charge equal to the interpolated seven (7) year value of five (5) year and ten (10) year United States <strong>Treasury Bonds</strong> on premium overdue by more than thirty (30) days.", "The holders of such randomly selected Notes shall sell their Notes to, and purchase Designated <strong>Treasury Bonds</strong> from, the Final Dealer or Final Dealers in accordance with the terms set forth in paragraph (e) below.", "Present Value shall be determined using a discount rate equal to the most recently published yield for ten (10) year United States <strong>Treasury Bonds</strong> (as quoted by the Wall Street Journal).", "Uplift is the amount which, when compounded quarterly, is equal to the average for the business days of the Quarter of the annual yield on long-term United States <strong>Treasury Bonds</strong> (thirty-year (30) bonds) plus an annual margin of six (6) percentage points.", "In lieu of such surety bond or bonds, Permittee may deposit with County an Irrevocable Letter of Credit, <strong>Treasury Bonds</strong> of the United States of America, Certificates of Deposit or a Certified Check, in a form acceptable to County, in the agreed amounts as security for faithful performance by Permittee as herein above provided, and Permittee may have the right to reserve to itself interest payable on said United States Bonds, or Certificates of Deposit.", "B = the yield rate for a Treasury security (U.S. <strong>Treasury Bonds</strong>, Notes, or Bills) with time to maturity equal to the applicable Guaranteed Period, determined at the time of cash withdrawal or transfer, plus the Percentage Adjustment to Index Rate &quot;B&quot;.", "The Reinsurer may assess an interest charge equal to the interpolated seven (7) year value of five (5) year and ten (10) year United States <strong>Treasury Bonds</strong> on premium overdue by more than ninety (90) days.", "Uplift is the amount which, when compounded quarterly, is equal to the average for the business days of the Quarter of the annual yield on long-term United States <strong>Treasury Bonds</strong> (thirty-year (30) bonds) plus an annual margin of eleven (11) percentage points."], "related": [["hedge-treasury-notes", "Hedge Treasury Note(s)", "Hedge Treasury Note(s)"], ["us-treasury-note-rate", "U.S. Treasury Note Rate", "U.S. Treasury Note Rate"], ["treasury-yield", "Treasury Yield", "Treasury Yield"], ["us-treasury-securities", "U.S. Treasury Securities", "U.S. Treasury Securities"], ["treasury-index-rate", "Treasury Index Rate", "Treasury Index Rate"]], "related_snippets": [], "updated": "2025-07-10T05:58:13+00:00"}, "json": true, "cursor": ""}}