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sd-10-EFTA01388279Dept. of JusticeOther

EFTA Document EFTA01388279

(Z) Taiwanese Dollar. (i) -TWD-Reuters-6165" means that the rate for a Reset Date will be the Taiwan Secondary Markets Bills Rates fora period of the Designated Maturity which appears to the right of the caption "Fixings" on the Reuters Screen 6165 Page as of 11:00 a.m., Taipei time, on the day that is two Taipei Banking Days preceding that Reset Date. If such rate does not appear on the Reuters Screen 6165 Page, the rate for that Reset Date will be determined as if the parties had speci

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(Z) Taiwanese Dollar. (i) -TWD-Reuters-6165" means that the rate for a Reset Date will be the Taiwan Secondary Markets Bills Rates fora period of the Designated Maturity which appears to the right of the caption "Fixings" on the Reuters Screen 6165 Page as of 11:00 a.m., Taipei time, on the day that is two Taipei Banking Days preceding that Reset Date. If such rate does not appear on the Reuters Screen 6165 Page, the rate for that Reset Date will be determined as if the parties had speci

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EFTA Disclosure
Text extracted via OCR from the original document. May contain errors from the scanning process.
(Z) Taiwanese Dollar. (i) -TWD-Reuters-6165" means that the rate for a Reset Date will be the Taiwan Secondary Markets Bills Rates fora period of the Designated Maturity which appears to the right of the caption "Fixings" on the Reuters Screen 6165 Page as of 11:00 a.m., Taipei time, on the day that is two Taipei Banking Days preceding that Reset Date. If such rate does not appear on the Reuters Screen 6165 Page, the rate for that Reset Date will be determined as if the parties had specified -TWD-TWCPBA" as the applicable Floating Rate Option. (ii) -1WD-TWCPBA" means that the rate for a Reset Date will be the Taiwan Secondary Markets Bills Rates for a period of the Designated Maturity which appears to the right of the caption "Fixingsti.;11.00" on the Reuters Screen TWCPBA Page as of 11:00 a.m., Taipei time, on the day that is two Taipei Banking Days preceding that Reset Date. If such rate does not appear on the Reuters Screen TWCPBA Page, the rate for that Reset Date will be determined as if the parties had specified 'TWD-Reference Dealers" as the applicable Floating Rate Option. (iii) -TWD-Reference Dealers" means that the rate for a Reset Date will be determined on the basis of the Taiwan Secondary Markets Bills Rates offered by the Reference Dealers at approximately 11:00 a.m., Taipei time, on the day that is two Taipei Banking Days preceding that Reset Date to prime banks in the Taipei interbank market for a period of the Designated Maturity commencing on that Reset Date and in a Representative Amount. The Calculation Agent will request the principal Taipei office of each of the Reference Dealers to provide a quotation of its rate. If at least four quotations are provided, the rate for that Reset Date will be the arithmetic mean of the quotations. If fewer than four quotations arc provided as requested, the rate for the Reset Date will be determined by the Calculation Agent. (aa) Thai Baht. (i) "THB-SOR-Reuters" means that the rate for a Reset Date will be the synthetic rate for deposits in Thai Baht for a period of the Designated Maturity which appears on the Reuters Screen ABSIRFIX01 Page as of 11:00 a.m., Singapore time, on the day that is two Singapore Banking Days preceding that Reset Date. If such rate does not appear on the Reuters Semen ABSIRFIX0 I Page, the rate for that Reset Date will be determined as if the parties had specified -THB-SOR-Reference Banks" as the applicable Floating Rate Option. (ii) -THB-SOR-Reference Banks" means that the rate for a Reset Date will be determined by the Calculation Agent in accordance with the following formula: a Spot Rates+ Fonvard Points ) x ( 1+ USD Rat36e0x if days)] x 4365 x100 where: "Spot Rate" means the average of the bid and offered exchange rates for the sale of Thai Baht against U.S. Dollars for settlement on a spot basis obtained by the Calculation Agent from Reference Banks, as of 11:00 a.m., Singapore time, on the day that is two Singapore Banking Days preceding the relevant Reset Date or as close to such time as is reasonably practicable. If at least three quotations are provided, the Spot Rate for that Reset Date will be the arithmetic mean of the quotations, without regard to the 64 CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e) DB-SDNY-0091749 CONFIDENTIAL SDNY GM_00237933 EFTA01388279

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