Amendment to Article. III The first sentence of Section 3.01(i) of Trust Supplement No. 2001-2A-1 is amended in its entirety to read as follows: (i) The Applicable Certificates will have the benefit of the Deposit Agreement and the Escrow Agreement and will be subject to the following Intercreditor Agreement (and to the extent the terms of the Intercreditor Agreement (including the definitions of defined terms) are inconsistent with the terms of this Agreement, such Intercreditor Agreement shall control): that certain Intercreditor Agreement, dated as of October 4, 2001, among State Street Bank and Trust Company of Connecticut, National Association, as Trustee under each Trust (as defined therein), WestLB, as Class A-1 Liquidity Provider, Class A-2 Liquidity Provider, Class B Liquidity Provider and Class C Liquidity Provider, and State Street Bank and Trust Company of Connecticut, National Association, as Subordination Agent thereunder, as amended by the Refunding Amendment thereto dated as of October 26, 2001 and the Second Refunding Amendment thereto dated as of December 12, 2001."
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Samples: Refunding Amendment (American Airlines Inc), Refunding Amendment (American Airlines Inc)
Amendment to Article. III The first sentence of Section 3.01(i) of Trust Supplement No. 2001-2A-1 2B is amended in its entirety to read as follows:
(i) The Applicable Certificates will have the benefit of the Deposit Agreement and the Escrow Agreement and will be subject to the following Intercreditor Agreement (and to the extent the terms of the Intercreditor Agreement (including the definitions of defined terms) are inconsistent with the terms of this Agreement, such Intercreditor Agreement shall control): that certain Intercreditor Agreement, dated as of October 4, 2001, among State Street Bank and Trust Company of Connecticut, National Association, as Trustee under each Trust (as defined therein), WestLB, as Class A-1 Liquidity Provider, Class A-2 Liquidity Provider, Class B Liquidity Provider and Class C Liquidity Provider, and State Street Bank and Trust Company of Connecticut, National Association, as Subordination Agent thereunder, as amended by the Refunding Amendment thereto dated as of October 26, 2001 and the Second Refunding Amendment thereto dated as of December 12, 2001."
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Amendment to Article. III The first sentence of Section 3.01(i) of Trust Supplement No. 2001-2A-1 2C is amended in its entirety to read as follows:
(i) The Applicable Certificates will have the benefit of the Deposit Agreement and the Escrow Agreement and will be subject to the following Intercreditor Agreement (and to the extent the terms of the Intercreditor Agreement (including the definitions of defined terms) are inconsistent with the terms of this Agreement, such Intercreditor Agreement shall control): that certain Intercreditor Agreement, dated as of October 4, 2001, among State Street Bank and Trust Company of Connecticut, National Association, as Trustee under each Trust (as defined therein), WestLB, as Class A-1 Liquidity Provider, Class A-2 Liquidity Provider, Class B Liquidity Provider and Class C Liquidity Provider, and State Street Bank and Trust Company of Connecticut, National Association, as Subordination Agent thereunder, as amended by the Refunding Amendment thereto dated as of October 26, 2001 and the Second Refunding Amendment thereto dated as of December 12, 2001."
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