Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on the Interest Payment Date falling on, or nearest to, June 26, 2017. The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition.
Appears in 3 contracts
Sources: Fiscal Agency Agreement, Supplemental Fiscal Agency Agreement (21Vianet Group, Inc.), Fiscal Agency Agreement (21Vianet Group, Inc.)
Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on the Interest Payment Date falling on, or nearest to, June 26March 22, 20172016. The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition.
Appears in 2 contracts
Sources: Fiscal Agency Agreement, Fiscal Agency Agreement (21Vianet Group, Inc.)
Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on the Interest Payment Date falling on, or nearest to, June 26, 20172 December 2025. The Bonds may not be redeemed at the option of the Issuer other than in accordance with this ConditionCondition 5.
Appears in 2 contracts
Sources: Agency Agreement, Agency Agreement
Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on 22 July 2028 (the Interest Payment Date falling on, or nearest to, June 26, 2017. The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition"Maturity Date").
Appears in 1 contract
Sources: Fiscal Agency Agreement
Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on 24 June 2024 (the Interest Payment Date falling on, or nearest to, June 26, 2017“Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this ConditionCondition 6.
Appears in 1 contract
Sources: Securities Offering Announcement
Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on the Interest Payment Date falling on, or nearest to, June 26, 2017. The Bonds may not be redeemed at on 26 October 2024 (the option of the Issuer other than in accordance with this Condition“Maturity Date”).
Appears in 1 contract
Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on the Interest Payment Date falling on, or nearest to, June 26, 2017. The Bonds may not be redeemed at 10 April 2028 (the option of the Issuer other than in accordance with this Condition“Maturity Date”).
Appears in 1 contract
Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on the Interest Payment Date falling on, or nearest to, June 26, 2017Repayment Date. The Bonds may not be redeemed at the option of the Issuer other than in accordance with this ConditionCondition 5 (Redemption and Purchase).
Appears in 1 contract
Sources: Trust Deed
Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on the Interest Payment Date falling on, or nearest to, June 26, 2017. The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition.. Annex I - 7 For reference purposes only
Appears in 1 contract
Sources: Supplemental Fiscal Agency Agreement
Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on the Interest Payment Date falling on, or nearest to, June 26, 2017. The Bonds may not be redeemed at 7 November 2024 (the option of the Issuer other than in accordance with this Condition“Maturity Date”).
Appears in 1 contract
Sources: Listing Announcement
Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on the Interest Payment Date falling on, or nearest to, June 26, 2017. The Bonds may not be redeemed at on 17 November 2028 (the option of the Issuer other than in accordance with this Condition“Maturity Date”).
Appears in 1 contract
Sources: Listing Announcement