Final Performance definition

Final Performance means the Final Valuation Price divided by the Initial Price(Settlement) each in respect of the Worst Performing Underlying Asset as calculated in respect of the Final Valuation Date.
Final Performance means the Final Valuation Price divided by the Initial Price(Redemption).
Final Performance means the sum of the Weighted Final Asset Performance.

Examples of Final Performance in a sentence

  • The last quarterly progress report will serve as the grant’s Final Performance Report.

  • Maximum Final Performance Percentage (Barrier Event Satisfied):Not ApplicableVI.

  • Minimum Final Performance Percentage (Barrier Event Satisfied):Not ApplicableVII.

  • Minimum Final Performance Percentage (Barrier Event):Not ApplicableV.

  • Maximum Final Performance Percentage (Barrier Event):Not ApplicableIV.


More Definitions of Final Performance

Final Performance means[, in respect of the relevant Asset,] an amount expressed as a percentage, calculated and determined by the Calculation Agent in accordance with the following formula:AssetFinalAssetInitial"Final Performance (Call Spread)" means[, in respect of the relevant Asset,] an amount expressed as a percentage, calculated and determined by the Calculation Agent in accordance with the following formula:AssetFinal 1AssetInitial"Final Performance (Lookback)" means[, in respect of the relevant Asset,] an amount expressed as a percentage, calculated and determined by the Calculation Agent in accordance with the following formula:[Valuation Dates] [Calculation Dates] in the [Interest Period] [Observation Period] on which the Range Condition is satisfied."Rate of Interest" shall mean in connection with the relevant Coupon Payout [Insert one of:][[] per cent.] [per annum];Screen Rate Determination;ISDA Determination;(n * [] per cent.);[(n * [] per cent.)] – Paid Interest;Max(Floor, Min(Cap, Participation * Asset Early [Performance] + [] per cent.)) [+/- Barrier Return]; RangeDays [] per cent   ; or Observation Days[the applicable percentage rate specified in the table below: insert table.]"Scheduled Observation Date" means [insert date(s)] [each Scheduled Trading Day in the Observation Period]."Single Asset" means a single Asset."t" shall mean the corresponding number related to a defined term within the Conditions as specified herein."Trade Date" means []."Upside Performance" means[, in respect of the relevant Asset,] an amount expressed as a percentage, calculated and determined by the Calculation Agent in accordance with the following formula:
Final Performance means either paragraph (a) or (b) below (as applicable):
Final Performance means[, in respect of the relevant Asset,] an amount expressed as a percentage, calculated and determined by the Determination Agent in accordance with the following formula: AssetFinalAssetInitial "Final Performance (Call Spread)" means[, in respect of the relevant Asset,] an amount expressed as a percentage, calculated and determined by the Determination Agent in accordance with the following formula: AssetFinal 1AssetInitial "Final Performance (Lookback)" means[, in respect of the relevant Asset,] an amount expressed as a percentage, calculated and determined by the Determination Agent in accordance with the following formula: AssetFinalMaxParticipaiton  AssetInitial, Observation Level "Final Performance (Temporis)" means[, in respect of the relevant Asset,] an amount expressed as a percentage, calculated and determined by the Determination Agent in accordance with the following formula: AssetFinal AssetLookbackAssetInitial "Final Valuation Date" means []. "Final Weighted Performance" means an amount (expressed as a percentage) determined by the Determination Agent being the sum of the values obtained by applying the following formula to each Basket Asset: AssetFinal AssetInitialW AssetInitial “Fixed Income Benchmark” shall mean the relevant Rate of Interest specified as such in the applicable Final Terms. "Floor" means [] per cent. "i" shall mean the corresponding number related to a defined term within the Conditions as specified herein. "Initial Valuation Date" means []. "Interest Payment Date(s)" means []. "Intraday Level" means the intraday level of the relevant Asset. "Max" followed by a series of amounts inside brackets, means whichever is the greater of the amounts separated by a comma inside those brackets. "Min" followed by a series of amounts inside brackets, means whichever is the lesser of the amounts separated by acomma inside those brackets. "n" shall mean the corresponding number related to a defined term within the Conditions as specified herein. "Observation Days" means the total number of [calendar days] [Business Days] [Scheduled Observation Dates] [Valuation Dates] [Calculation Dates] in the [Interest Period] [Observation Period]. "Observation Level" means [the Opening Level] [the lowest Closing Level observed on each Scheduled Observation Date] [the highest Closing Level observed on each Scheduled Observation Date] [the level of the Asset][the Rate of Interest] observed by the Determination Agent on the relevant [Initi...
Final Performance means[, in respect of the relevant Asset,] an amount expressed as a percentage, calculated and determined by the Calculation Agent in accordance with the following formula:Asset Final Asset Initial
Final Performance means the Final Valuation Price divided by the Initial Price(Settlement) each in respect of the Worst Performing Underlying Asset as calculated in respect of the Final Valuation Date. "Final Valuation Date" means 27 March 2029, subject to adjustment.
Final Performance means the Final Valuation Price divided by the Initial Price(Settlement). "Final Valuation Date" means 26 April 2027, subject to adjustment.
Final Performance means the sum of the Weighted Final Asset Performance."Weighted Final Asset Performance" means, in relation to each Underlying Asset: Weight multiplied by the Final Valuation Price divided by the Initial Price(Settlement) as calculated in respect of the Final Valuation Date.“Weight” means, in relation to each Underlying Asset respectively:i Underlying Asset (Share) Weight1 KESKO OYJ 20%2 NORDEA BANK ABP 20%3 HUHTAMAKI OYJ 20%4 FORTUM OYJ 20%5 TELIA CO AB 20%