Common use of Interest and Principal Clause in Contracts

Interest and Principal. The Notes will mature on July 1, 2020 and will bear interest at the rate of 4.250% per annum. The Issuers will pay interest on the Notes on each January 1 and July 1 (each an “Interest Payment Date”), beginning on January 1, 2016, to the Holders of record on the immediately preceding December 15 or June 15 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 2 contracts

Samples: Supplemental Indenture (AerCap Holdings N.V.), Supplemental Indenture (AerCap Global Aviation Trust)

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Interest and Principal. The Notes will mature on July 1, 2020 2022 and will bear interest at the rate of 4.2504.625% per annum. The Issuers will pay interest on the Notes on each January 1 and July 1 (each an “Interest Payment Date”), beginning on January 1, 2016, to the Holders of record on the immediately preceding December 15 or June 15 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 2 contracts

Samples: Indenture (AerCap Global Aviation Trust), Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 115, 2020 2025 and will bear interest at the rate of 4.2506.500% per annum. The Issuers will pay interest on the Notes on each January 1 15 and July 1 15 (each an “Interest Payment Date”), beginning on January 115, 20162021, to the Holders of record on the immediately preceding December 15 or June 15 January 1 and July 1 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 1October 30, 2020 and will bear interest at the rate of 4.2504.625% per annum. The Issuers will pay interest on the Notes on each January 1 April 30 and July 1 October 30 (each an “Interest Payment Date”), beginning on January 1April 30, 2016, to the Holders of record on the immediately preceding December April 15 or June October 15 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Eighth Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 13, 2020 2023 and will bear interest at the rate of 4.2504.125% per annum. The Issuers will pay interest on the Notes on each January 1 3 and July 1 3 (each an “Interest Payment Date”), beginning on January 13, 20162019, to the Holders of record on the immediately preceding December 15 17 or June 15 17 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Sixteenth Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 1August 14, 2020 2024 and will bear interest at the rate of 4.2502.875% per annum. The Issuers will pay interest on the Notes on each January 1 February 14 and July 1 August 14 (each an “Interest Payment Date”), beginning on January 1February 14, 20162020, to the Holders of record on the immediately preceding December 15 or June 15 January 30 and July 30 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Twenty First Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 1January 23, 2020 2023 and will bear interest at the rate of 4.2503.300% per annum. The Issuers will pay interest on the Notes on each January 1 23 and July 1 23 (each an “Interest Payment Date”), beginning on January 1July 23, 20162018, to the Holders of record on the immediately preceding December 15 January 8 or June 15 July 8 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Fourteenth Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 1May 26, 2020 2022 and will bear interest at the rate of 4.2503.500% per annum. The Issuers will pay interest on the Notes on each January 1 May 26 and July 1 November 26 (each an “Interest Payment Date”), beginning on January 1May 26, 20162017, to the Holders of record on the immediately preceding December May 15 or June November 15 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Eleventh Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 1December 16, 2020 2021 and will bear interest at the rate of 4.2504.450% per annum. The Issuers will pay interest on the Notes on each January 1 June 16 and July 1 December 16 (each an “Interest Payment Date”), beginning on January 1June 16, 20162019, to the Holders of record on the immediately preceding June 2 or December 15 or June 15 2 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 1January 16, 2020 2024 and will bear interest at the rate of 4.2504.875% per annum. The Issuers will pay interest on the Notes on each January 1 16 and July 1 16 (each an “Interest Payment Date”), beginning on January 1July 16, 20162019, to the Holders of record on the immediately preceding December 15 January 2 or June 15 July 2 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Nineteenth Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 1May 15, 2020 2017 and will bear interest at the rate of 4.2502.75% per annum. The Issuers will pay interest on the Notes on each January 1 May 15 and July 1 November 15 (each an “Interest Payment Date”), beginning on January 1November 15, 20162014, to the Holders of record on the immediately preceding December 15 May 1 or June 15 November 1 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July October 1, 2020 2025 and will bear interest at the rate of 4.2504.450% per annum. The Issuers will pay interest on the Notes on each January April 1 and July October 1 (each an “Interest Payment Date”), beginning on January April 1, 20162019, to the Holders of record on the immediately preceding December March 15 or June September 15 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Seventeenth Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 1October 15, 2020 2027 and will bear interest at the rate of 4.2504.625% per annum. The Issuers will pay interest on the Notes on each January 1 April 15 and July 1 October 15 (each an “Interest Payment Date”), beginning on January 1April 15, 20162021, to the Holders of record on the immediately preceding December 15 or June 15 April 1 and October 1 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 1May 15, 2020 2019 and will bear interest at the rate of 4.2503.75% per annum. The Issuers will pay interest on the Notes on each January 1 May 15 and July 1 November 15 (each an “Interest Payment Date”), beginning on January 1November 15, 20162014, to the Holders of record on the immediately preceding December 15 May 1 or June 15 November 1 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 1November 15, 2020 2029 and will bear interest at the rate of 4.2504.750% per annum. The Issuers Company will pay interest on the Notes on each January 1 May 15 and July 1 November 15, or if any such day is not a Business Day, on the next succeeding Business Day (each an “Interest Payment Date”), beginning on January 1May 15, 20162022, to the Holders of record on the immediately preceding December 15 May 1 or June 15 November 1 (each each, a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: First Supplemental Indenture (Glatfelter Corp)

Interest and Principal. The Notes will mature on July 1May 15, 2020 2021 and will bear interest at the rate of 4.2504.50% per annum. The Issuers will pay interest on the Notes on each January 1 May 15 and July 1 November 15 (each an “Interest Payment Date”), beginning on January 1November 15, 20162014, to the Holders of record on the immediately preceding December 15 May 1 or June 15 November 1 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July February 1, 2020 2022 and will bear interest at the rate of 4.2503.950% per annum. The Issuers will pay interest on the Notes on each January February 1 and July August 1 (each an “Interest Payment Date”), beginning on January August 1, 2016, to the Holders of record on the immediately preceding December January 15 or June July 15 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Indenture (AerCap Holdings N.V.)

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Interest and Principal. The Notes will mature on July 1January 30, 2020 2026 and will bear interest at the rate of 4.2501.750% per annum. The Issuers will pay interest on the Notes on each January 1 30 and July 1 30 (each an “Interest Payment Date”), beginning on January 1July 30, 20162021, to the Holders of record on the immediately preceding December January 15 or June and July 15 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July November 1, 2020 2025 and will bear interest at the rate of 4.2501.899% per annum. The Issuers will pay interest on the Notes on each January May 1 and July November 1 (each an “Interest Payment Date”), beginning on January May 1, 20162022, to the Holders of record on the immediately preceding December April 15 or June and October 15 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: AerCap Holdings N.V.

Interest and Principal. The Notes will mature on July October 1, 2020 2021 and will bear interest at the rate of 4.2505.00% per annum. The Issuers will pay interest on the Notes on each January April 1 and July October 1 (each an “Interest Payment Date”), beginning on January April 1, 20162015, to the Holders of record on the immediately preceding December March 15 or June September 15 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Fourth Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 1February 15, 2020 2024 and will bear interest at the rate of 4.2503.150% per annum. The Issuers will pay interest on the Notes on each January 1 February 15 and July 1 August 15 (each an “Interest Payment Date”), beginning on January 1February 15, 20162021, to the Holders of record on the immediately preceding December 15 or June 15 February 1 and August 1 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Twenty Fourth Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 1April 3, 2020 2026 and will bear interest at the rate of 4.2504.450% per annum. The Issuers will pay interest on the Notes on each January 1 April 3 and July 1 October 3 (each an “Interest Payment Date”), beginning on January 1October 3, 20162019, to the Holders of record on the immediately preceding December 15 or June 15 March 17 and September 17 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Twentieth Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 121, 2020 2027 and will bear interest at the rate of 4.2503.65% per annum. The Issuers will pay interest on the Notes on each January 1 21 and July 1 21 (each an “Interest Payment Date”), beginning on January 121, 20162018, to the Holders of record on the immediately preceding December 15 January 6 or June 15 July 6 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 1May 15, 2020 2023 and will bear interest at the rate of 4.2506.625% per annum. The Issuers Company will pay interest on the Notes on each January 1 May 15 and July 1 November 15, or if any such day is not a Business Day, on the next succeeding Business Day (each an “Interest Payment Date”), beginning on January 1November 15, 20162015, to the Holders of record on the immediately preceding December 15 May 1 or June 15 November 1 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: First Supplemental Indenture (Chemours Co)

Interest and Principal. The Notes will mature on July 1June 6, 2020 2028 and will bear interest at the rate of 4.2505.750% per annum. The Issuers will pay interest on the Notes on each January 1 June 6 and July 1 December 6 (each an “Interest Payment Date”), beginning on January 1December 6, 20162023, to the Holders of record on the immediately preceding December 15 or June 15 May 22 and November 21 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Fourth Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 1January 23, 2020 2028 and will bear interest at the rate of 4.2503.875% per annum. The Issuers will pay interest on the Notes on each January 1 23 and July 1 23 (each an “Interest Payment Date”), beginning on January 1July 23, 20162018, to the Holders of record on the immediately preceding December 15 January 8 or June 15 July 8 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Fifteenth Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 1September 15, 2020 2023 and will bear interest at the rate of 4.2504.500% per annum. The Issuers will pay interest on the Notes on each January 1 March 15 and July 1 September 15 (each an “Interest Payment Date”), beginning on January 1September 15, 20162020, to the Holders of record on the immediately preceding December 15 or June 15 March 1 and September 1 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Twenty Third Supplemental Indenture (AerCap Holdings N.V.)

Interest and Principal. The Notes will mature on July 1January 15, 2020 2025 and will bear interest at the rate of 4.2503.500% per annum. The Issuers will pay interest on the Notes on each January 1 15 and July 1 15 (each an “Interest Payment Date”), beginning on January 115, 20162018, to the Holders of record on the immediately preceding December 15 January 1 or June 15 July 1 (each a “Record Date”), respectively. Interest on the Notes shall accrue from the most recent date to which interest has been paid or, if no interest has been paid, from and including the date of issuance. Payments of the principal of and interest on the Notes shall be made in Dollars, and the Notes shall be denominated in Dollars.

Appears in 1 contract

Samples: Indenture (AerCap Holdings N.V.)

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