Qualcuno sa spiegarmi perché a p. 1 del prospetto della US4568378065 leggo che:"We will pay interest on the Securities quarterly on March
15, June
15, September
15 and December
15 of each year, beginning
September 15, 2008, unless our obligation to pay some or all of the interest otherwise payable is deferred."; mentre a p. 3 leggo che "The regular record dates for each interest payment date will be March
1, June
1, September
1 and December
1, respectively, whether or not a business day."
Che differenza c'è tra le due date? Grazie, e scusate se la risposta sembra scontata e ovvia ai più