Common use of Stated Maturity Clause in Contracts

Stated Maturity. In the case of a Fixed Rate Certificated Note, the Interest Rate and reset provisions (if any) or, in the case of a Floating Rate Certificated Note, the Base Rate, Initial Interest Rate (if known at such time), Interest Reset Period, Interest Reset Dates, Index Maturity, Spread and/or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate (if any) and reset provisions (if any).

Appears in 25 contracts

Sources: Distribution Agreement, Distribution Agreement, Distribution Agreement (Citigroup Inc)

Stated Maturity. In the case of a Fixed Rate Certificated Note, the Interest Rate interest rate and reset redemption and repayment provisions (if any) or, in the case of a Floating Rate Certificated Note, the Base Rate, Initial Interest Rate (if known at such time), Interest Reset Period, Interest Reset Dates, Index Maturity, Spread and/or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate (if any) and reset redemption and repayment provisions (if any).

Appears in 6 contracts

Sources: Global Selling Agency Agreement (Citigroup Global Markets Holdings Inc), Global Selling Agency Agreement (Citigroup Inc), Global Selling Agency Agreement (Citigroup Inc)

Stated Maturity. In the case of a Fixed Rate Certificated Note, the Interest Rate and reset provisions (if any) interest rate or, in the case of a Floating Rate Certificated Note, the Base Rate, Initial Interest Rate initial interest rate (if known at such time), Interest Rate Basis, Index Maturity, Interest Reset Period, Interest Reset Dates, Index Maturity, Spread and/or or Spread Multiplier (if any), Minimum Interest Rate (if any), ) and Maximum Interest Rate (if any) and reset provisions (if any).

Appears in 3 contracts

Sources: Selling Agency Agreement (CPC International Inc), Selling Agency Agreement (CPC International Inc), Selling Agency Agreement (CPC International Inc)

Stated Maturity. In the case of a Fixed Rate Certificated Note, the Interest Rate and reset provisions (if any) interest rate or, in the case of a Floating Rate Certificated Note, the Base Rate, Initial Interest Rate initial interest rate (if known at such time), Base Rate, Index Maturity, Interest Reset Period, Interest Reset Dates, Index Maturity, Spread and/or or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate minimum interest rate (if any) and reset provisions maximum interest rate (if any).

Appears in 1 contract

Sources: Selling Agency Agreement (Philip Morris Companies Inc)

Stated Maturity. In the case of a Fixed Rate Certificated Note, the Interest Rate and reset provisions (if any) or, in the case of a Floating Rate Certificated Note, the Base Rate, Initial Interest Rate (if known at such time), Interest Reset Period, Interest Reset Dates, Index Maturity, Spread and/or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate (if any) and ), reset provisions (if any)) and calculation agent.

Appears in 1 contract

Sources: Distribution Agreement (McDonalds Corp)

Stated Maturity. In the case of a Fixed Rate Certificated Note, the Interest Rate and reset provisions (if any) or, in the case of a Floating Rate Certificated Note, the Base Rate, Initial Interest Inter­est Rate (if known at such time), Interest Reset Period, Interest Reset Dates, Index Maturity, Spread and/or Spread Multiplier (if any), Minimum Interest Rate (if any), Maximum Interest Rate (if any) and reset provisions (if any).

Appears in 1 contract

Sources: u.s. Distribution Agreement (McDonalds Corp)