Common use of All Units Clause in Contracts

All Units. Warrants Issued as Part of a Unit: Purchase Contracts Issued as Part of a Unit: Settlement Date and Time: Designation of the Series of Warrants: [Call] [Put] Warrants Designation of the Series of Purchase Contracts: [Purchase][Sale] Purchase Contracts Number (Face Amount): Warrant Property: Aggregate Number of Purchase Contracts: All Units: Warrants Issued as Part of a Unit: Purchase Contracts Issued as Part of a Unit: Purchase Price: Aggregate Number of Warrants: Purchase Contract Property: Specified Currency: Date(s) upon which Warrants may be exercised: Quantity per Purchase Contract: Severability: Currency in which exercise payments shall be made: [Purchase] [Sale] Price: Other Terms: Exchange Rate (or method of calculation): Settlement Date: Expiration Date: Payment Location: Form of Settlement: [Call Price:]1 Method of Settlement: [Formula for determining Cash Settlement Value:] Currency of Settlement Payment: [Amount of Warrant Property Salable per Warrant:]2 Contract Fees, if any: [Put Price for such specified amount of Warrant Property per Warrant:]3 Corporation Acceleration: [Method of delivery of any Warrant Property to be delivered for sale upon exercise of Warrants:] Holders’ Acceleration: Other Terms: Redemption Provisions: Other Terms: All Notes Issued as Part of a Unit: Fixed Rate Notes Issued as Part of a Unit: Floating Rate Notes Issued as Part of a Unit: Principal Amount: Interest Rate: Base Rate: Purchase Price: Applicability of Modified Payment upon Acceleration: Index Maturity: Price to Public: If yes, state issue price: Index Currency: Settlement Date and Time: Amortization Schedule: Spread (Plus or Minus): 1 Applicable to Call Warrants 2 Applicable to Put Warrants 3 Applicable to Put Warrants only if such Put Warrants contemplate that the holder deliver Warrant Property to settle Put Warrants All Notes Issued as Part of a Unit: Fixed Rate Notes Issued as Part of a Unit: Floating Rate Notes Issued as Part of a Unit: Place of Delivery: Applicability of Annual Interest Payments: Spread Multiplier: Specified Currency: Denominated Currency (if any): Alternate Rate Event Spread: Original Issue Date: Indexed Currency or Currencies (if any): Initial Interest Rate: Interest Accrual Date: Payment Currency (if any): Initial Interest Reset Date: Maturity Date: Exchange Rate Agent (if any): Interest Reset Dates: Interest Payment Date(s): Reference Dealers: Interest Reset Period: Interest Payment Period: Face Amount (if any): Maximum Interest Rate: Optional Repayment Date(s): Fixed Amount of each Indexed Currency (if any): Minimum Interest Rate: Optional Redemption Date(s): Aggregate Fixed Amount of each Indexed Currency (if any): Calculation Agent: Initial Redemption Date: Applicability of Issuer’s Option to Extend Original Maturity Date: Reporting Service: Initial Redemption Percentage: If yes, state Final Maturity Date: Variable Rate Renewable Notes: Annual Redemption Percentage Reduction: Redemption Dates: Ranking: Redemption Percentage: Series: Initial Maturity Date: Minimum Denominations: Final Maturity Date: Other Terms, including the identification of any other security or property included as a component of the Unit: Applicability of Issuer’s Option to Reset Spread or Spread Multiplier: The provisions of Sections [‎1][‎2], ‎3(b) and ‎3(c), ‎4 through ‎7, ‎9 through ‎12 and ‎14 through ‎18 of the U.S. Distribution Agreement and the related definitions are incorporated by reference herein and shall be deemed to have the same force and effect as if set forth in full herein.4

Appears in 1 contract

Samples: MSFL Warrant Agreement (Morgan Stanley Finance LLC)

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All Units. Warrants Issued as Part of a Unit: Purchase Contracts Issued as Part of a Unit: Settlement Date and Time: Designation of the Series of Warrants: [Call] [Put] Warrants Designation of the Series of Purchase Contracts: [Purchase][Sale] Purchase Contracts Number (Face Amount): Warrant Property: Aggregate Number of Purchase Contracts: All Units: Warrants Issued as Part of a Unit: Purchase Contracts Issued as Part of a Unit: Purchase Price: Aggregate Number of Warrants: Purchase Contract Property: Specified Currency: Date(s) upon which Warrants may be exercised: Quantity per Purchase Contract: Severability: Currency in which exercise payments shall be made: [Purchase] [Sale] Price: Other Terms: Exchange Rate (or method of calculation): : Settlement Date: All Units: Warrants Issued as Part of a Unit: Purchase Contracts Issued as Part of a Unit: Expiration Date: Payment Location: Form of Settlement: [Call Price:]1 Method of Settlement: [Formula for determining Cash Settlement Value:] Currency of Settlement Payment: [Amount of Warrant Property Salable per Warrant:]2 Contract Fees, if any: [Put Price for such specified amount of Warrant Property per Warrant:]3 Corporation Acceleration: [Method of delivery of any Warrant Property to be delivered for sale upon exercise of Warrants:] Warrants:]3 Holders’ Acceleration: Other Terms: Redemption Provisions: Other Terms: All Notes Issued as Part of a Unit: Fixed Rate Notes Issued as Part of a Unit: Floating Rate Notes Issued as Part of a Unit: Principal Amount: Interest Rate: Base Rate: Purchase Price: Applicability of Modified Payment upon Acceleration: Index Maturity: Price to Public: If yes, state issue price: Index Currency: Settlement Date and Time: Amortization Schedule: Spread (Plus or Minus): 1 Applicable to Call Warrants 2 Applicable to Put Warrants 3 Applicable to Put Warrants only if such Put Warrants contemplate that the holder deliver Warrant Property to settle Put Warrants All Notes Issued as Part of a Unit: Fixed Rate Notes Issued as Part of a Unit: Floating Rate Notes Issued as Part of a Unit: Place of Delivery: Applicability of Annual Interest Payments: Spread Multiplier: Specified Currency: Denominated Currency (if any): Alternate Rate Event Spread: Original Issue Date: Indexed Currency or Currencies (if any): Initial Interest Rate: Interest Accrual Date: Payment Currency (if any): Initial Interest Reset Date: Maturity Date: Exchange Rate Agent (if any): Interest Reset Dates: Interest Payment Date(s): Reference Dealers: Interest Reset Period: Interest Payment Period: Face Amount (if any): Maximum Interest Rate: Optional Repayment Date(s): Fixed Amount of each Indexed Currency (if any): Minimum Interest Rate: Optional Redemption Date(s): Aggregate Fixed Amount of each Indexed Currency (if any): Calculation Agent: Initial Redemption Date: Applicability of Issuer’s Option to Extend Original Maturity Date: Reporting Service: Initial Redemption Percentage: If yes, state Final Maturity Date: Variable Rate Renewable Notes: Annual Redemption Percentage Reduction: Redemption Dates: Ranking: Redemption Percentage: Series: Initial Maturity Date: Minimum Denominations: Final Maturity Date: Other Terms, including the identification of any other security or property included as a component of the Unit: Applicability of Issuer’s Option to Reset Spread or Spread Multiplier: The provisions of Sections [‎1][‎2], ‎3(b) and ‎3(c), ‎4 through ‎7, ‎9 through ‎12 and ‎14 through ‎18 of the U.S. Distribution Agreement and the related definitions are incorporated by reference herein and shall be deemed to have the same force and effect as if set forth in full herein.4:

Appears in 1 contract

Samples: Notes Terms Agreement (Morgan Stanley Capital Trust XI)

All Units. Warrants Issued as Part of a Unit: Purchase Contracts Issued as Part of a Unit: Settlement Date and Time: Designation of the Series of Warrants: [Call] [Put] Warrants Designation of the Series of Purchase Contracts: [Purchase][Sale] Purchase Contracts Number (Face Amount): Warrant Property: Aggregate Number of Purchase Contracts: All Units: Warrants Issued as Part of a Unit: Purchase Contracts Issued as Part of a Unit: Purchase Price: Aggregate Number of Warrants: Purchase Contract Property: Specified Currency: Date(s) upon which Warrants may be exercised: Quantity per Purchase Contract: Severability: Currency in which exercise payments shall be made: [Purchase] [Sale] Price: Other Terms: Exchange Rate (or method of calculation): : Settlement Date: All Units: Warrants Issued as Part of a Unit: Purchase Contracts Issued as Part of a Unit: Expiration Date: Payment Location: Form of Settlement: [Call Price:]1 Method of Settlement: [Formula for determining Cash Settlement Value:] Currency of Settlement Payment: [Amount of Warrant Property Salable per Warrant:]2 Contract Fees, if any: [Put Price for such specified amount of Warrant Property per Warrant:]3 Corporation Acceleration: [Method of delivery of any Warrant Property to be delivered for sale upon exercise of Warrants:] Warrants:]3 Holders’ Acceleration: Other Terms: Redemption Provisions: Other Terms: All Notes Issued as Part of a Unit: Fixed Rate Notes Issued as Part of a Unit: Floating Rate Notes Issued as Part of a Unit: Principal Amount: Interest Rate: Base Rate: Purchase Price: Applicability of Modified Payment upon Acceleration: Index Maturity: Price to Public: If yes, state issue price: Index Currency: Settlement Date and Time: Amortization Schedule: Spread (Plus or Minus): 1 Applicable to Call Warrants 2 Applicable to Put Warrants 3 Applicable to Put Warrants only if such Put Warrants contemplate that the holder deliver Warrant Property to settle Put Warrants All Notes Issued as Part of a Unit: Fixed Rate Notes Issued as Part of a Unit: Floating Rate Notes Issued as Part of a Unit: Place of Delivery: Applicability of Annual Interest Payments: Spread Multiplier: Specified Currency: Denominated Currency (if any): Alternate Rate Event Spread: Original Issue Date: Indexed Currency or Currencies (if any): Initial Interest Rate: Interest Accrual Date: Payment Currency (if any): Initial Interest Reset Date: Maturity Date: Exchange Rate Agent (if any): Interest Reset Dates: Interest Payment Date(s): Reference Dealers: Interest Reset Period: Interest Payment Period: Face Amount (if any): Maximum Interest Rate: Optional Repayment Date(s): Fixed Amount of each Indexed Currency (if any): Minimum Interest Rate: Optional Redemption Date(s): Aggregate Fixed Amount of each Indexed Currency (if any): Calculation Agent: Initial Redemption Date: Applicability of Issuer’s Option to Extend Original Maturity Date: Reporting Service: Initial Redemption Percentage: If yes, state Final Maturity Date: Variable Rate Renewable Notes: Annual Redemption Percentage Reduction: Redemption Dates: Ranking: Redemption Percentage: Series: Initial Maturity Date: Minimum Denominations: Final Maturity Date: Other Terms, including the identification of any other security or property included as a component of the Unit: Applicability of Issuer’s Option to Reset Spread or Spread Multiplier: The provisions of Sections [‎1][‎2], ‎3(b) and ‎3(c), ‎4 through ‎7, ‎9 through ‎12 and ‎14 through ‎18 of the U.S. Distribution Agreement and the related definitions are incorporated by reference herein and shall be deemed to have the same force and effect as if set forth in full herein.4:

Appears in 1 contract

Samples: Distribution Agreement (Morgan Stanley Capital Trust XII)

All Units. Warrants Issued as Part of a Unit: Purchase Contracts Issued as Part of a Unit: Settlement Date and Time: Price: Price: Number (Face Amount): Designation of the Series of Warrants: [Call] [Put] Warrants Designation of the Series of Purchase Contracts: [Purchase][Sale] Purchase Contracts Number (Face Amount): Purchase Price: Warrant Property: Aggregate Number of Purchase Contracts: Specified Currency: Aggregate Number of Warrants: Purchase Contract Property: Severability: Date(s) upon which Warrants Quantity per Purchase All Units: Warrants Issued as Part of a Unit: Purchase Contracts Issued as Part of a Unit: Purchase Price: Aggregate Number of Warrants: Purchase Contract Property: Specified Currency: Date(s) upon which Warrants may be exercised: Quantity per Purchase Contract: SeverabilityOther Terms: Currency in which exercise payments shall be made: [Purchase] [Sale] Price: Other Terms: Exchange Rate (or method of calculation): : Settlement Date: Expiration Date: Payment Location: Form of Settlement: [Call Price:]1 Method of Settlement: [Formula for determining Cash Settlement Value:] Value:]2 Currency of Settlement Payment: [Amount of Warrant Property Salable per Warrant:]2 Warrant:]3 Contract Fees, if any: [Put Price for such specified amount of Warrant Property per Warrant:]3 Warrant:]2 Corporation Acceleration: [Method of delivery of any Warrant Property to be delivered for sale upon exercise of Warrants:] Warrants:]3 Holders’ Acceleration: Other Terms: Redemption Provisions: Other Terms: _________________ 1 Applicable to Call Warrants 2 Applicable to Put Warrants 3 Applicable to Put Warrants only if such Put Warrants contemplate that the holder deliver Warrant Property to settle Put Warrants All Notes Issued as Part of a Unit: Fixed Rate Notes Issued as Part of a Unit: Floating Rate Notes Issued as Part of a Unit: Principal Amount: Interest Rate: Base Rate: Purchase Price: Applicability of Modified Payment upon Acceleration: Index Maturity: Price to Public: If yes, state issue price: Index Currency: Spread (Plus or Minus): Settlement Date and Time: Amortization Schedule: Spread Multiplier: Place of Delivery: Applicability of Annual Interest Payments: Alternate Rate Event Spread: Specified Currency: Denominated Currency (Plus if any): Initial Interest Rate: Original Issue Date: Indexed Currency or MinusCurrencies (if any): 1 Applicable to Call Warrants 2 Applicable to Put Warrants 3 Applicable to Put Warrants only Initial Interest Reset Date: Interest Accrual Date: Payment Currency (if such Put Warrants contemplate that the holder deliver Warrant Property to settle Put Warrants any): Interest Reset Dates: Interest Payment Date(s): Exchange Rate Agent (if any): Interest Reset Period: Interest Payment Period: Reference Dealers: Maximum Interest Rate: Maturity Date: Face Amount (if any): Minimum Interest Rate: Optional Repayment Date(s): Fixed Amount of each Indexed Currency (if any): Calculation Agent: Optional Redemption Date(s): Aggregate Fixed Amount of each Indexed Currency (if any): Reporting Service: Initial Redemption Date: Index Currency: Initial Redemption Percentage: Designated CMT Telerate Page: Annual Redemption Percentage Reduction: Designated CMT Maturity Index: Ranking: All Notes Issued as Part of a Unit: Fixed Rate Notes Issued as Part of a Unit: Floating Rate Notes Issued as Part of a Unit: Place of Delivery: Applicability of Annual Interest Payments: Spread Multiplier: Specified Currency: Denominated Currency (if any): Alternate Rate Event Spread: Original Issue Date: Indexed Currency or Currencies (if any): Initial Interest Rate: Interest Accrual Date: Payment Currency (if any): Initial Interest Reset Date: Maturity Date: Exchange Rate Agent (if any): Interest Reset Dates: Interest Payment Date(s): Reference Dealers: Interest Reset Period: Interest Payment Period: Face Amount (if any): Maximum Interest Rate: Optional Repayment Date(s): Fixed Amount of each Indexed Currency (if any): Minimum Interest Rate: Optional Redemption Date(s): Aggregate Fixed Amount of each Indexed Currency (if any): Calculation Agent: Initial Redemption Date: Applicability of Issuer’s Option to Extend Original Maturity Date: Reporting Service: Initial Redemption Percentage: If yes, state Final Maturity Date: Variable Rate Renewable Notes: Annual Redemption Percentage Reduction: Redemption Dates: Ranking: Redemption Percentage: Series: Initial Maturity Date: Minimum Denominations: Final Maturity Date: Other Terms, including the identification of any other security or property included as a component of the Unit: Applicability of Issuer’s Option to Reset Spread or Spread Multiplier: The provisions of Sections [‎1][‎2], ‎3(b) and ‎3(c), ‎4 through ‎7, ‎9 through ‎12 and ‎14 through ‎18 of the U.S. Distribution Agreement and the related definitions are incorporated by reference herein and shall be deemed to have the same force and effect as if set forth in full herein.4:

Appears in 1 contract

Samples: Notes Terms Agreement (Morgan Stanley)

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All Units. Warrants Issued as Part of a Unit: Purchase Contracts Issued as Part of a Unit: Settlement Date and Time: Price: Price: Number (Face Amount): Designation of the Series of Warrants: [Call] [Put] Warrants Designation of the Series of Purchase Contracts: [Purchase][Sale] Purchase Contracts Number (Face Amount): Purchase Price: Warrant Property: Aggregate Number of Purchase Contracts: Specified Currency: Aggregate Number of Warrants: Purchase Contract Property: Severability: Date(s) upon which Warrants may be exercised: Quantity per Purchase Contract: All Units: Warrants Issued as Part of a Unit: Purchase Contracts Issued as Part of a Unit: Purchase Price: Aggregate Number of Warrants: Purchase Contract Property: Specified Currency: Date(s) upon which Warrants may be exercised: Quantity per Purchase Contract: SeverabilityOther Terms: Currency in which exercise payments shall be made: [Purchase] [Sale] Price: Other Terms: Exchange Rate (or method of calculation): Settlement Date: Expiration Date: Payment Location: Form of Settlement: [Call Price:]1 Method of Settlement: [Formula for determining Cash Settlement Value:] Value:]2 Currency of Settlement Payment: [Amount of Warrant Property Salable per Warrant:]2 Warrant:]3 Contract Fees, if any: [Put Price for such specified amount of Warrant Property per Warrant:]3 Warrant:]2 Corporation Acceleration: [Method of delivery of any Warrant Property to be delivered for sale upon exercise of Warrants:] Warrants:]3 Holders’ Acceleration: Other Terms: Redemption Provisions: Other Terms: 1 Applicable to Call Warrants 3 Applicable to Put Warrants only if such Put Warrants contemplate that the holder deliver Warrant Property to settle Put Warrants All Notes Issued as Part of a Unit: Fixed Rate Notes Issued as Part of a Unit: Floating Rate Notes Issued as Part of a Unit: Principal Amount: Interest Rate: Base Rate: Purchase Price: Applicability of Modified Payment upon Acceleration: Index Maturity: Price to Public: If yes, state issue price: Index Currency: Spread (Plus or Minus): Settlement Date and Time: Amortization Schedule: Spread Multiplier: Place of Delivery: Applicability of Annual Interest Payments: Alternate Rate Event Spread: Specified Currency: Denominated Currency (Plus if any): Initial Interest Rate: Original Issue Date: Indexed Currency or MinusCurrencies (if any): 1 Applicable to Call Warrants 2 Applicable to Put Warrants 3 Applicable to Put Warrants only Initial Interest Reset Date: Interest Accrual Date: Payment Currency (if such Put Warrants contemplate that the holder deliver Warrant Property to settle Put Warrants any): Interest Reset Dates: Interest Payment Date(s): Exchange Rate Agent (if any): Interest Reset Period: Interest Payment Period: Reference Dealers: Maximum Interest Rate: Maturity Date: Face Amount (if any): Minimum Interest Rate: Optional Repayment Date(s): Fixed Amount of each Indexed Currency (if any): Calculation Agent: Optional Redemption Date(s): Aggregate Fixed Amount of each Indexed Currency (if any): Reporting Service: Initial Redemption Date: Index Currency: Initial Redemption Percentage: Designated CMT Telerate Page: Annual Redemption Percentage Reduction: Designated CMT Maturity Index: Ranking: All Notes Issued as Part of a Unit: Fixed Rate Notes Issued as Part of a Unit: Floating Rate Notes Issued as Part of a Unit: Place of Delivery: Applicability of Annual Interest Payments: Spread Multiplier: Specified Currency: Denominated Currency (if any): Alternate Rate Event Spread: Original Issue Date: Indexed Currency or Currencies (if any): Initial Interest Rate: Interest Accrual Date: Payment Currency (if any): Initial Interest Reset Date: Maturity Date: Exchange Rate Agent (if any): Interest Reset Dates: Interest Payment Date(s): Reference Dealers: Interest Reset Period: Interest Payment Period: Face Amount (if any): Maximum Interest Rate: Optional Repayment Date(s): Fixed Amount of each Indexed Currency (if any): Minimum Interest Rate: Optional Redemption Date(s): Aggregate Fixed Amount of each Indexed Currency (if any): Calculation Agent: Initial Redemption Date: Applicability of Issuer’s Option to Extend Original Maturity Date: Reporting Service: Initial Redemption Percentage: If yes, state Final Maturity Date: Variable Rate Renewable Notes: Annual Redemption Percentage Reduction: Redemption Dates: Ranking: Redemption Percentage: Series: Initial Maturity Date: Minimum Denominations: Final Maturity DateForm: Issued under the New Safekeeping Structure (“NSS”): [Yes/No] If the Notes are issued under the NSS, are they intended to be held in a manner that would allow eligibility as collateral for Eurosystem intra-day credit and monetary policy operations? [Yes] Other Terms, including the identification of any other security or property included as a component of the Unit: Applicability of Issuer’s Option to Reset Spread or Spread Multiplier: The provisions of Sections [‎1][‎2]1, ‎3(b2(b) and ‎3(c), ‎4 2(c) and 3 through ‎7, ‎9 7 and 10 through ‎12 and ‎14 through ‎18 14 of the U.S. Euro Distribution Agreement and the related definitions are incorporated by reference herein and shall be deemed to have the same force and effect as if set forth in full herein.4herein.4 This Agreement is also subject to termination on the terms incorporated by reference herein. If this Agreement is terminated, the provisions of Sections 3(j), 6, 10, 11 and 13 of the Euro Distribution Agreement shall survive for the purposes of this Agreement.

Appears in 1 contract

Samples: Notes Terms Agreement (Morgan Stanley Capital Trust XII)

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