Settlement procedure Clausole campione
Settlement procedure. The settlement procedure for the Certificates is described in Section 6 of the Terms and Conditions. The exact procedure whereby the Issuer is to perform the services which the Certificate Holder requires to redeem the Certificates five Bank Business days after the Maturity Date (and/or the termination date) is described in Section 6 of the Terms and Conditions. Details about redemption and the conversion of Redemption Amounts denominated in currencies other than Euro into Euro may be found in the Terms and Conditions (cf. D.4.1.1 of the Base Prospectus and C.4.1.1 of the Final Terms).
Settlement procedure. The settlement procedure for the Certificates is described in section 10 of the Certificate Terms and Conditions. Details on the conversion of amounts from currencies other than EUR into EUR can be found in the Certificate Terms and Conditions (see also section D.4.1.1 of the Base Prospectus and section C.4.1.1 of the Final Terms).
Settlement procedure. The settlement procedure for the Certificates is described in Section 1 of the Terms and Conditions. The exact procedure whereby the Issuer is to perform the services which the Holder requires to redeem the Certificates on the "Redemption Date" is described in Section 6 of the Terms and Conditions.
