Asset Performance definition

Asset Performance means, in respect of an Underlying Asset and in respect of an Interest Valuation Date, the Final Valuation Date or any other day, the Interest Valuation Price, the Final Valuation Price or the Valuation Price, respectively, divided by the Initial Price(Interest) of such Underlying Asset.]
Asset Performance means, in respect of an Underlying Asset and any day, the closing price of such Underlying Asset on such day divided by its Initial Price.
Asset Performance means, in respect of an Underlying Asset and in respect of the Final Valuation Date, the Final Valuation Price divided by the Initial Price of such Underlying Asset."Final Performance" means the Final Valuation Price divided by the Initial Price each in respect of the Worst Performing Underlying Asset as calculated in respect of the Final Valuation Date.

Examples of Asset Performance in a sentence

  • Asset Performance The "Asset Performance" on an Observation Date is the sum of the change in the value of each Reference Fund in the Reference Fund Basket from the Rebalance Date preceding such Observation Date to such Observation Date, multiplied by the then economic exposure to such Reference Fund in the Reference Fund Basket as determined on the last Rebalance Date.

  • The Leveraged Index on any subsequent Observation Date (including any Valuation Date) is calculated as follows: (a) the Leveraged Index on the Rebalance Date preceding such Observation Date; (b) PLUS the Asset Performance; (c) MINUS the change in the Cash Account from the Rebalance Date preceding such Observation Date (which shall include adjustment for financing costs); and (d) MINUS the Coupon.

  • By Asset Performance Group, Inc., a wholly owned subsidiary of Computron Software, Inc.

  • Subject to Customer’s choice, data-at-rest uploaded to Siemens’ Cloud Services will be hosted in data centers located in the following regions: • European Union • United States of America • Japan Data-at-rest stored on PlantSight, COMOS Walkinside, Asset Performance Suite, SIMATIC AX, AX 4, Supply Management, Industrial Asset Hub, Senseye, SIWA Leak Finder and SINEC Security Guard will be hosted in the European Union.

  • The Guidance forms part of a suite of guidance documents issued by the New Zealand Infrastructure Commission relevant to the planning and delivery of major infrastructure projects in New Zealand, including of PPPs. It should be read in conjunction with other Commission guidance and requirements of the Treasury’s Investment Management and Asset Performance team (IMAP).

  • The Service Documentation for Asset Performance Management (APM) includes documentation that GE provides for the APM applications and the functionality described on Customer’s Order.

  • The Asset Performance Suite SLA attached hereto as Appendix 1 shall replace the Service Level Agreement and Support Annex referenced in the Agreement in their entirety.

  • The audit must align with ACSA’s Asset Performance and Condition Assurance Program and the Enterprise Risk Management Framework • Development of an audit plan, including timeline and resources.

  • Return on Capital 40% Asset Performance Improvement 60% Subject to adjustments, for the return on capital measure, the Participant will earn between 0% and 200% (share amounts will be straight-line interpolated) of the number of PSUs covered by the Initial Grant.

  • This includes software licenses, maintenance, hosting, hosting support & technical support services.) 10/12/2023 £500K - £1M Ares Software UK Ltd ICT13437 - Journey Planner Maintenance Journey Planner Maintenance, Support & Development 31/12/2021 £500K - £1M Mdv ▇▇▇▇▇ Datenverarbeitung ITC11169 Central Line Intelligent Event Monitoring Central Line Monitoring Tool to support the London Underground Asset Performance Directorate operational goals over the next 10 years.


More Definitions of Asset Performance

Asset Performance means, in respect of an Underlying Asset, the quotient of (a) the Final Valuation Price of such Underlying Asset divided by (b) its Initial Price. "Equity Allocation" means the product of (a) the Initial Equity Investment Allocation multiplied by (b) the Final Performance.
Asset Performance means, in respect of an Underlying Asset and in respect of the Final Valuation Date, the Final Valuation Price divided by the Initial Price of such Underlying Asset."Final Performance" means the Final Valuation Price divided by the Initial Price(Redemption) each in respect of the Worst Performing Underlying Asset as calculated on the Final Valuation Date.“Final Valuation Date” means 21 July 2017, subject to adjustment."Final Valuation Price" means, in respect of an Underlying Asset, the closing level of the Underlying Asset on the Final Valuation Date.“Worst Performing Underlying Asset” means, in respect of the Final Valuation Date, the Underlying Asset with the lowest Asset Performance for such day. C.16 Expiration or maturity date of the Securities The Securities are scheduled to redeem on the scheduled redemption date. This day may be postponed following the postponement of a valuation date due to a disruption event.The scheduled redemption date of the Securities is 28 July 2017. C.17 Settlement procedure of the derivative securities Securities may be cleared and settled through Euroclear Bank S.A./N.V., Clearstream Banking société anonyme, CREST, Euroclear France S.A., VP Securities, A/S, Euroclear Finland Oy, Norwegian Central Securities Depositary, Euroclear Sweden AB or SIX SIS Ltd.The Securities will be cleared and settled through Euroclear Bank S.A./N.V. and Clearstream Banking société anonyme. C.18 Description of how the return on derivative securities takes place The performance of the Underlying Assets to which the Securities are linked may affect: (i) the interest paid on the Securities (if any); and (ii) if the Securities have not redeemed early, the amount paid on the Scheduled Redemption Date.Interest and any amount payable if the Securities redeem before the Scheduled Redemption Date will be paid in cash.On the Scheduled Redemption Date, if the Securities have not redeemed early, the settlement amount will be paid in cash. C.19 Final reference price of the Underlying Asset The final reference level of any equity index, share, commodity index, commodity, depository receipt, fund or foreign exchange rate to which Securities are linked, will be determined by the Determination Agent by reference to a publicly available source on a specified date or dates and, if applicable, at a specified time.The final valuation price of each Underlying Asset is the closing price or level of the Underlying Asset on the Final Valuation Date, as determined by t...
Asset Performance means, in respect of each Reference Asset, an amount equal to the quotient of (i) the Final Asset Level of such Reference Asset, divided by (ii) the Initial Asset Level of such Reference Asset;

Related to Asset Performance

  • Basket Performance means a decimal number calculated by applying the following formula:

  • Index Performance means, in relation to an Index and an Auto-Call Valuation Date or the Valuation Date, as the case may be, a percentage calculated by the Calculation Agent in respect of such date in accordance with the following formula:

  • Final Performance means the Final Valuation Price divided by the Initial Price(Settlement) each in respect of the Worst Performing Underlying Asset as calculated in respect of the Final Valuation Date. "Final Valuation Date" means 29 November 2027, subject to adjustment.

  • Underlying Performance means a decimal number calculated by applying the following formula:

  • human performance means human capabilities and limitations which have an impact on the safety and efficiency of aeronautical operations;