Title of Series: | Series A |
Title of Tranche: | Represents multiple tranches as described below |
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• | if the interest reset period specified in the applicable Pricing Supplement (the “Interest Reset Period” for such Supplemental Obligation) is daily, weekly or monthly, on the third Wednesday of each month or on the third Wednesday of March, June, September |
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and December of each year, as specified in the applicable Pricing Supplement; | |||
• | if the Interest Reset Period is quarterly, on the third Wednesday of March, June, September and December of each year; | ||
• | if the Interest Reset Period is semi-annual, on the third Wednesday of the two months specified in the applicable Pricing Supplement; | ||
• | and if the Interest Reset Period is annual, on the third Wednesday of the month specified in the applicable Pricing Supplement |
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GS FINANCE CORP. | ||||
By: | /s/ Wing Yee Veronica Foo | |||
Name: | Wing Yee Veronica Foo | |||
Title: | Treasurer |
THE BANK OF NEW YORK, as Trustee | ||||
By: | /s/ Teisha Wright | |||
Authorized Signatory | ||||
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THE GOLDMAN SACHS GROUP, INC. | ||||
By: | /s/ Wing Yee Veronica Foo | |||
Name: | Wing Yee Veronica Foo | |||
Title: | Assistant Treasurer | |||
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Bond Equivalent Yield = | D x N | x 100, | ||
360 – (D x M) | ||||
where |
• | “D” equals the annual rate for Treasury Bills quoted on a bank discount basis and expressed as a decimal; | ||
• | “N” equals 365 or 366, as the case may be; and | ||
• | “M” equals the actual number of days in the period from and including the relevant Interest Reset Date to but excluding the next succeeding Interest Reset Date. |
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Money Market Yield = | D x 360 | x 100, | ||
360 – (D x M) | ||||
where |
• | “D” equals the per annum rate for commercial paper quoted on a bank discount basis and expressed as a decimal; and | ||
• | “M” equals the actual number of days in the period from and including the relevant Interest Reset Date to but excluding the next succeeding Interest Reset Date. |
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(i) | is a Monday, Tuesday, Wednesday, Thursday or Friday that is not a day on which banking institutions in The City of New York generally are authorized or obligated by law, regulation or executive order to close; | ||
(ii) | if the Base Rate is LIBOR, is also a London Business Day; | ||
(iii) | if the Specified Currency for payment of principal of or interest on such Security is other than U.S. dollars or euros, is also a day on which banking institutions in the principal financial center of the country issuing such Specified Currency generally are not authorized or obligated by law, regulation or executive order to close; |
(iv) | if the Base Rate is EURIBOR or if the Specified Currency for payment of principal of or interest on such Security is euros, or the Base Rate is LIBOR for which the Index Currency is euros, is also a Euro Business Day; and |
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(v) | solely with respect to any payment or other action to be made or taken at any Place of Payment outside The City of New York, is a Monday, Tuesday, Wednesday, Thursday or Friday that is not a day on which banking institutions in such Place of Payment generally are authorized or obligated by law, regulation or executive order to close. |
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MASTER NOTE CUSIP NO. | ||||
SUPPLEMENTAL OBLIGATION: | ||||
Pricing Supplement No. and Date: | ||||
Original Issue Date: | ||||
MEDIUM-TERM NOTE, SERIES A
THE GOLDMAN SACHS GROUP, INC.
REFERENCED IN THIS NOTICE
IS REPAYABLE AT THE OPTION OF THE HOLDER AND
THE HOLDER ELECTS TO EXERCISE SUCH RIGHT
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Attention: Corporate Trust Administration
101 Barclay Street
New York, New York 10286
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Date: | ||||||||
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TEN COM TEN ENT | - - - | as tenants in common as tenants by the entireties | ||||
JT TEN | - | as joint tenants with the right of survivorship and not as tenants in common |
UNIF GIFT MIN ACT | - | Custodian | ||||||||
(Cust) | (Minor) |
though not in the above list.
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IDENTIFYING NUMBER OF ASSIGNEE
the attached Security and all rights thereunder, and hereby irrevocably constitutes and appoints |
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alteration or enlargement or any change whatever. |
Decrease | Increase | Effective Date | ||||||||||
Pricing | Principal Amount of | Original | in Principal | in Principal | of Increase or | |||||||
Supplement No. | Supplemental Obligation | Issue Date | Amount | Amount | Decrease | Trustee Notation | ||||||
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