Definizione di Risk Factors

Risk Factors beginning on page 30. Each of the Issuer and each of the Future Guarantors accepts responsibility for the information contained in this Prospectus, each with respect to the information pertaining to each of them, and hereby declares that, having taken all reasonable care to ensure that such is the case, the information contained in this Prospectus is, to the best of its knowledge, in accordance with the facts and contains no omission likely to affect the import of such information. The Issuer accepts responsibility for the translations into English of the financial statements as of and for the years ended 31 December 2013 and 31 December 2014 and as of and for the six months ended 30 June 2015 incorporated by reference herein. Each of the Future Guarantors accepts responsibility for the translations into English of the financial statements as of and for the years ended 31 December 2013 and 31 December 2014 incorporated by reference herein and the financial statements as of and for the six months ended 30 June 2015 included herein. Each of the Issuer and the Future Guarantors further confirms that: (i) this Prospectus contains all relevant information with respect to the Group, the Notes and the Future Guarantees which is material in the context of the issue and offering of the Notes, including all relevant information which, according to the particular nature of the Issuer, the Notes and the Future Guarantees, is necessary to enable Investors and their investment advisers to make an informed assessment of the assets and liabilities, financial position, profits and losses, and prospects of the Issuer, the Future Guarantors and the Group and of the rights attached to the Notes and the Future Guarantees; (ii) the information contained in this Prospectus relating to the Issuer, the Future Guarantors, the Group, the Notes and the Future Guarantees is accurate and complete in all material respects and is not misleading; (iii) any opinions and intentions expressed herein are honestly held and based on reasonable assumptions; (iv) there are no other facts in relation to the Issuer, the Group, the Notes or the Future Guarantees the omission of which would, in the context of the issue and offering of the Notes, make this Prospectus as a whole or any of such information or the expression of any such opinions or intentions misleading in any material respect; and (v) reasonable enquiries have been made by the Issuer and the Future Guarantors to ascertain all such facts...
Risk Factors beginning on page 10 of this Prospectus for a discussion of certain risks prospective investors should consider in connection with any investment in the Notes. The Notes will be in bearer form in the denomination of €1,000 each and will initially be in the form of a temporary global note (the “Temporary Global Note”), without interest coupons, which will be deposited on or around the Issue Date with a common safekeeper for Euroclear Bank SA/NV (“Euroclear”) and Clearstream Banking, S.A. (“Clearstream, Luxembourg”). The Temporary Global Note will be exchangeable, in whole or in part, for interests in a permanent global note (the “Permanent Global Note”, and together with the Temporary Global Note, each a “Global Note”), without interest coupons, not earlier than 40 days after the Issue Date upon certification as to non-U.S. beneficial ownership. Interest payments in respect of the Notes cannot be collected without such certification of non-U.S. beneficial ownership. The Permanent Global Note will be exchangeable in certain limited circumstances in whole, but not in part, for Notes in definitive form in principal amounts equal to €1,000 with interest coupons attached. No Notes in definitive form will be issued with a denomination above €1,000. See “Summary of Provisions Relating to the Notes in Global Form”. The Notes have been assigned the following securities codes: ISIN: XS2215041513; Common Code: 221504151.
Risk Factors beginning on page 8 of this Prospectus for a discussion of certain risks prospective investors should consider in connection with any investment in the Notes. The Notes have been assigned the following securities codes: ISIN: XS2289795465; Common Code: 228979546.

Examples of Risk Factors in a sentence

  • See "Risk Factors" beginning on page 8 of this Prospectus for a discussion of certain risks prospective investors should consider in connection with any investment in the Notes.

  • Save as described above and discussed in "Risk Factors" in the Base Prospectus, so far as the Issuer is aware, no person involved in the offer of the Securities has an interest material to the offer.


More Definitions of Risk Factors

Risk Factors for a discussion of certain risks prospective Investors should consider in connection with any investment in the Notes.
Risk Factors set out herein. Each Tranche of Notes in bearer form (Bearer Notes) will initially be represented by a temporary Global Note in bearer form (a temporary Global Note) which: (i) if the relevant temporary Global Note is intended to be issued in new global note (NGN) form, as stated in the applicable Final Terms, will be delivered on or prior to the original issue date of the Tranche to a common safekeeper (the Common Safekeeper) for Euroclear (as defined below) and Clearstream, Luxembourg (as defined below) and (ii) if the relevant temporary Global Note is not intended to be issued in NGN form, will be delivered on or prior to the original issue date of the Tranche to a common depositary for Euroclear Bank S.A./N.V. (Euroclear) and Clearstream Banking, société anonyme (Clearstream, Luxembourg) or as otherwise agreed between the Issuer, the Guarantor and the relevant Dealer. Interests in a temporary Global Note will be exchangeable for, as indicated in the relevant Final Terms either interests in a permanent Global Note in bearer form (a permanent Global Note) or for definitive Bearer Notes, in any case on or after the date (the Exchange Date) which is the first day following the later of (x) 40 days after the later of the commencement of the offering of Notes of the relevant Tranche and the date of issue thereof (or, if later, the first day after the expiration of the "restricted period" within the meaning of the relevant U.S. Treasury regulations) (the Initial Restricted Period) and (y) if either the commencement of the offering of Notes of any other Tranche of the same Series or the date of issue thereof falls within the Initial Restricted Period, 40 days after the later of the commencement of the offering of such Tranche and the date of issue thereof, upon certification as to non- U.S. beneficial ownership. No interest will be payable in respect of a temporary Global Note except as described under "Form of the Notes" set out herein. Interests in a permanent Global Note will be exchangeable for definitive Bearer Notes as described in "Form of the Notes" set out herein.
Risk Factors. Relating to the Underlying

Related to Risk Factors

  • Normativa Applicabile si intende l’insieme delle norme rilevanti in materia protezione dei dati personali , incluso il Regolamento Privacy UE 2016/679 (GDPR) ed ogni provvedimento del Garante per la protezione dei dati personali e del WP Art. 29.

  • Informazioni generali Risposta: In caso affermativo,

  • Informazioni Riservate si intendono materiali, dati, sistemi ed altre informazioni relative all'attività, agli affari, alle proiezioni, agli obiettivi di mercato, alla situazione finanziaria, ai prodotti, ai servizi, ai clienti e ai Diritti di proprietà intellettuale dell'altra parte che, nel complesso, potrebbero non essere accessibili o di pubblico dominio. 17.2.Le Informazioni riservate dovranno includere, senza limitazioni, i termini delle presenti Condizioni Generali, delle eventuali Offerte o Accordo Quadro o Condizioni Particolari e qualsiasi informazione relativa a dettagli tecnici di funzionamento di qualsiasi servizio, software o hardware offerto o erogato da Trust Italia S.p.A. nell’esecuzione della fornitura. 17.3.Le parti riconoscono che, in virtù della loro relazione contrattuale, possono aver accesso a ed acquisire Informazioni riservate sull'altra parte. Ciascuna parte che riceva le Informazioni riservate (“Parte ricevente”) accetta di mantenere la riservatezza su tutte le Informazioni ricevute dall'altra parte (“Parte divulgante”), siano esse trasmesse per via orale o per iscritto, e accetta di non divulgarle né renderle disponibili a terze parti senza previo consenso scritto della Parte divulgante; tuttavia, la Parte ricevente può divulgare i termini del Contratto ai propri legali e consulenti commerciali, se tali terze parti accettano di mantenere confidenziali le Informazioni riservate in base a termini non meno restrittivi di quelli qui stabiliti. La Parte ricevente accetta inoltre di utilizzare le Informazioni riservate allo scopo esclusivo di rendere esecutivo il Contratto. 17.4.Fatta salva la disposizione precedente, gli obblighi qui stabiliti non si applicano alle Informazioni riservate che: (i) siano o diventino di dominio pubblico per ragioni estranee alla Parte ricevente; (ii) erano già legalmente in possesso della Parte ricevente prima che la Parte divulgante le rendesse pubbliche; (iii) in seguito alla divulgazione, vengano ottenute lecitamente dalla Parte ricevente tramite una terza parte che ne è legalmente in possesso, senza limitazioni; (iv) siano sviluppate indipendentemente dalla Parte ricevente senza ricorrervi; o (v) siano richieste per legge o dalle autorità giudiziarie, posto che la Parte ricevente ha l'obbligo di comunicarlo tempestivamente per iscritto alla Parte divulgante, in modo da consentirle di richiedere provvedimenti cautelari o di adottare altre misure giuridiche che ne impediscano la divulgazione, e possa ragionevolmente collaborare agli sforzi della Parte divulgante al fine di ottenere un provvedimento cautelare o altro rimedio legale onde prevenire tale divulgazione. 00.0.Xx Cliente/Partner, preso atto che l'azienda Trust Italia è in xxxxx xx xxxxxxxxxxxxxx XXX 00000 e si è dotata mezzi e/o strumenti ritenuti idonei a tutelare nella maniera più efficace la sicurezza delle informazioni (fisica, logica, informatica ed organizzativa), si impegna, ora per allora, a non divulgare ovvero rendere in alcun modo disponibili a terzi le informazioni confidenziali conosciute o gestite in relazione alla esecuzione e/o applicazione del Contratto in assenza di specifico consenso scritto di Trust Italia.