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This excerpt taken from the SYT 20-F filed Feb 18, 2009. Condition" is to the
correspondingly numbered provision thereof. Words and expressions
defined in the Conditions shall have the same meanings when used in this
Note.
The
Issuer, for value received, promises to pay to the bearer of this Note the
Redemption Amount on the Maturity Date or on such earlier date or dates as the
same may become payable in accordance with the Conditions (or to pay such other
amounts of principal on such dates as may be specified in the Final Terms), and
to pay interest (if any) on this Note on the dates and in the manner specified
in the Conditions, together with any additional amounts payable in accordance
with the Conditions, all subject to and in accordance with the
Conditions.
This Note
shall not be valid for any purpose until it has been authenticated for and on
behalf of The Bank of New York Mellon, as principal paying agent.
Pursuant
to the Dutch Savings Certificates Act (Wet inzake spaarbewijzen),
each transfer and acceptance of this Note (other than between individuals who do
not act in the conduct of a profession or trade):
This Note
and all matters arising from or connected with it, including all non-contractual
obligations arising out of or in connection with this Note, are governed by
English law.
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