{"component": "definition", "props": {"groups": [{"size": 95, "samples": [{"hash": "mS0WApxQ4l", "uri": "/contracts/mS0WApxQ4l#treasury-security", "label": "Fourth Supplemental Indenture (Reinsurance Group of America Inc)", "score": 27.4339485168, "published": true}, {"hash": "46SWxPjuPxb", "uri": "/contracts/46SWxPjuPxb#treasury-security", "label": "Eighth Supplemental Indenture (Allstate Corp)", "score": 24.6002731323, "published": true}, {"hash": "swpS9x3il6", "uri": "/contracts/swpS9x3il6#treasury-security", "label": "Seventh Supplemental Indenture (Allstate Corp)", "score": 24.0253257751, "published": true}], "snippet": "means the United States Treasury security that the Treasury Dealer determines would be appropriate to use, at the time of determination and in accordance with standard market practice, in pricing the Debentures being redeemed in a tender offer based on a spread to United States Treasury yields.", "snippet_links": [{"key": "united-states-treasury-security", "type": 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transferred and exchanged only as a Growth PRIDES.", "Except as provided in this Section 3.14, for so long as the Purchase Contract underlying a Treasury Unit remains in effect, such Treasury Unit shall not be separable into its constituent parts and the rights and obligations of the Holder of such Treasury Unit in respect of the <strong>Treasury Security</strong> and Purchase Contract comprising such Treasury Unit may be acquired, and may be Transferred and exchanged, only as an entire Treasury Unit.", "Each Treasury Unit represents (a) the ownership by the Holder thereof of a 5% undivided beneficial interest in a <strong>Treasury Security</strong>, subject to the Pledge of such interest by such Holder pursuant to the Pledge Agreement, and (b) the rights and obligations of the Holder thereof and of NextEra Energy, Inc., a Florida corporation (the \u201cCompany\u201d), under one Purchase Contract.", "Pursuant to the Pledge Agreement, the undivided beneficial interest in a 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the United States <strong>Treasury Security</strong> having the closest maturity date to the Maturity Date of the Note as established in the Wall Street Journal or other business publication of general circulation five (5) business days before the Prepayment Date.", "Each Stripped Unit will be comprised of (a) a Purchase Contract and (b) a 1/40 undivided beneficial interest in a <strong>Treasury Security</strong>."], "related": [["treasury-securities", "Treasury Securities", "Treasury Securities"], ["us-treasury-securities", "U.S. Treasury Securities", "U.S. Treasury Securities"], ["united-states-treasury-securities", "United States Treasury Securities", "United States Treasury Securities"], ["pledged-treasury-securities", "Pledged Treasury Securities", "Pledged Treasury Securities"], ["book-entry-security", "Book-Entry Security", "Book-Entry Security"]], "related_snippets": [], "updated": "2026-04-25T05:28:14+00:00"}, "json": true, "cursor": ""}}