Floating Rate Notes. If this Note is specified on the face hereof as a “Floating Rate Note”: (i) Interest Rate Basis. Interest on this Note will be determined by reference to the applicable Interest Rate Basis or Interest Rate Bases, which may, as described below, include the CD Rate, the CMT Rate, the Commercial Paper Rate, the Constant Maturity Swap Rate; the Eleventh District Cost of Funds Rate, the Federal Funds Open Rate, the Federal Funds Rate, LIBOR, EURIBOR, the Prime Rate or the Treasury Rate (each as defined below).
Appears in 5 contracts
Sources: Indenture Note (Principal Life Insurance Co), Note Agreement (Principal Life Insurance Co), Note Agreement (Principal Life Insurance Co)