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sd-10-EFTA01388270Dept. of Justice

EFTA Document EFTA01388270

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will be determined as if the parties had specified "NZD-BBR-Reference Banks" as the applicable Floating Rate Option. (iii) "NZD-BBR-FRA" means that the rate for a Reset Date will be the rate for New Zealand Dollar bills of exchange for a period of the Designated Maturity which appeals on the Reuters Semen BKBM Page opposite the caption "FRA" as of 11:00 a.m.. Wellington time, on that Reset Date. If such rate does not appear on the Reuters Screen BKBM Page, the rate for that Reset Date wil

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Dept. of Justice
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sd-10-EFTA01388270
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