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“F<strong>is</strong>cal Ag<strong>en</strong>t”“Global Certificate”“Hol<strong>de</strong>r”The Issuing and Paying Ag<strong>en</strong>t if the (Global) Notes are or will be<strong>de</strong>posited with Euroclear or Clearstream or the Euroclear NetherlandsF<strong>is</strong>cal Ag<strong>en</strong>t if the (Global) Notes are or will be solely <strong>de</strong>posited withEuroclear Netherlands.A perman<strong>en</strong>t Reg<strong>is</strong>tered global certificate which will initially repres<strong>en</strong>tReg<strong>is</strong>tered Notes <strong>is</strong>sued by the Issuer which are sold in the United States toqualified institutional buyers within the meaning of Rule 144A un<strong>de</strong>r theSecurities Act.The bearer of any Bearer Note, Receipt, Coupon or Talon or the person inwhose name a Reg<strong>is</strong>tered Note <strong>is</strong> reg<strong>is</strong>tered (as the case may be).“InterestDate”Comm<strong>en</strong>cem<strong>en</strong>tThe Issue Date unless otherw<strong>is</strong>e specified in the rele<strong>van</strong>t Final Terms.“Interest Determination Date”The date specified as such in the rele<strong>van</strong>t Final Terms.“Interest Period”“Interest Paym<strong>en</strong>t Date”“Interest Period End Date”“Interv<strong>en</strong>ing Period”“Issue Price”“LIBOR”“Margin”“Maturity Date”“Maximum Rate of Interest”“Minimum Rate of Interest”“Notehol<strong>de</strong>r”The period beginning on (and including) the Interest Comm<strong>en</strong>cem<strong>en</strong>t Dateand <strong>en</strong>ding on (but excluding) the first Interest Paym<strong>en</strong>t Date and eachsuccessive period beginning on (and including) an Interest Paym<strong>en</strong>t Dateand <strong>en</strong>ding on (but excluding) the next succeeding Interest Paym<strong>en</strong>t Date.The date on which interest for the rele<strong>van</strong>t period falls due.The last day of each Interest Period.Such period of time as any person other than the rele<strong>van</strong>t Notehol<strong>de</strong>r shallcontinue to be reg<strong>is</strong>tered as the legal owner of any securities or otherobligations compr<strong>is</strong>ing the Asset Amount.The <strong>is</strong>sue price of the Notes as specified in the rele<strong>van</strong>t Final Terms.The London inter-bank offered rate.The margin applicable to the Notes as specified in the rele<strong>van</strong>t FinalTerms.The date of maturity of the Notes as specified in the rele<strong>van</strong>t Final Terms.The maximum rate of interest as specified in the rele<strong>van</strong>t Final Terms.The minimum rate of interest as specified in the rele<strong>van</strong>t Final Terms.(i) The several persons who are for the time being hol<strong>de</strong>rs of outstandingNotes being the bearers thereof save that, in respect of the Notes of anySeries, for so long as the Notes or any part of them are repres<strong>en</strong>ted by aGlobal Note held on behalf of Euroclear and Clearstream, Luxembourgand/or DTC, as applicable, each person (other than Euroclear orClearstream, Luxembourg and/or DTC, as applicable) who <strong>is</strong> for the timebeing shown in the records of Euroclear or of Clearstream, Luxembourg116

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