Redemption on the Maturity Date. Unless previously redeemed, or purchased and cancelled, in accordance with the Conditions, and provided that an Early Redemption Event has not occurred on any Valuation Date prior to the Final Valuation Date, the Issuer shall redeem each Security (of the Specified Denomination) on the Maturity Date by payment of the Final Redemption Amount, determined in accordance with paragraph (a) or (b) below, as applicable:
Appears in 2 contracts
Sources: Structured Products Programme, Structured Products Programme