Interest Rate Reset Dates. For the Notes, from (and including) [ ], 2028 to (but excluding) the maturity date or redemption date, interest will be reset on ________, ________, ________, ________ of each year, commencing on __________, 2028. The Notes may be redeemed as described in the Prospectus.
Appears in 2 contracts
Sources: Underwriting Agreement (Royal Bank of Scotland Group PLC), Underwriting Agreement (Royal Bank of Scotland Group PLC)