ATTACHMENTS TO NOTE AGREEMENT Sample Clauses

ATTACHMENTS TO NOTE AGREEMENT. Schedule I -- Names and Addresses of Purchasers and Amounts of Commitments Exhibit A -- Form of 7.13% Senior Note due October 1, 2011 Exhibit B -- Form of Closing Certificate Exhibit C -- Description of Special Counsel's Closing Opinion Exhibit D -- Description of Closing Opinion of Counsel to the Company XXXX-XXXXX COMPANY 0000 Xxxxxx Xxxxxx Xxxxx Xxxxxxxxxxx, Xxxxxxxxx 00000-0000 NOTE AGREEMENT Re: $30,000,000 7.13% Senior Notes Due October 1, 2011 Dated as of March 22, 1996 To the Purchaser named in Schedule I hereto which is a signatory to this Agreement Ladies and Gentlemen: The undersigned, XXXX-XXXXX COMPANY, a Delaware corporation (the "COMPANY"), agrees with you as follows:
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ATTACHMENTS TO NOTE AGREEMENT. Schedule I--Names and Addresses of Note Purchasers and Amounts of Commitments Exhibit A-1--Form of 7.66% Senior Guaranteed Note, Series A, due 2005 Exhibit A-2--Form of 7.81% Senior Guaranteed Note, Series B, due 2009 Exhibit B-1--Representations and Warranties of the Issuer and General Partner Exhibit B-2--Representations and Warranties of the Company Exhibit C--Description of Special Counsel's Closing Opinion Exhibit D--Description of Closing Opinion of Counsel to the Company Exhibit E--Description of Closing Opinion of Special U.S. Counsel to the Obligors Exhibit F--Description of Closing Opinion of Counsel to the Obligors as to Matters in Delaware Exhibit G-1--Form of Guaranty Agreement of the Company Exhibit G-2--Form of Guaranty Agreement of IPG (US) Exhibit H--Form of Limited Partnership Agreement IPG HOLDINGS LP AND INTERTAPE POLYMER GROUP INC. 000X Xxxxxx xx Xxxxxx St. Laurent, Quebec H4T 1N4 Canada NOTE AGREEMENT Re: U.S. $25,000,000 7.66% Senior Guaranteed Notes, Series A due 2005 U.S. $112,000,000 7.81% Senior Guaranteed Notes, Series B due 2009 Dated as of July 1, 1999 To the Purchasers named in Schedule I hereto which are signatories to this Agreement Ladies and Gentlemen: The undersigned, IPG Holdings LP, a limited partnership formed under the laws of the State of Delaware (the "ISSUER"), Intertape Polymer Inc., a Canadian corporation and general partner of the Issuer (the "GENERAL PARTNER") and Intertape Polymer Group Inc., a corporation formed under the laws of Canada (the "COMPANY" and, together with the Issuer, the "OBLIGORS"), jointly and severally, agree with you as follows:
ATTACHMENTS TO NOTE AGREEMENT. Schedule I - Names of Note Purchasers and Amounts of Commitments Schedule II - Liens Securing Funded Debt (including Capitalized Leases) as of the Closing Date Schedule III - Investments as of the Closing Date Exhibit A - Form of 6.99% Senior Note due July 15, 2007 Exhibit B - Representations and Warranties of the Company Exhibit C - Description of Special Counsel's Closing Opinion Exhibit D - Description of Closing Opinion of Counsel to the Company The Cherry Corporation 0000 Xxxxxx Xxxxxx Xxxxxxxx, Xxxxxxxx 00000 Note Agreement Re: $25,000,000 6.99% Senior Notes Due July 15, 2007 Dated as of July 15, 1995 To the Purchasers named on Schedule I to this Agreement The undersigned, The Cherry Corporation, a Delaware corporation (the "Company"), agrees with the Purchasers named on Schedule I to this Agreement (the "Purchasers") as follows:
ATTACHMENTS TO NOTE AGREEMENT. EXHIBIT A Form of Senior Subordinated Convertible Note Due July 1, 2004 EXHIBIT B Voting Trust Agreement EXHIBIT C Representations and Warranties EXHIBIT D Registration Rights Agreement EXHIBIT E Financial Covenants EXHIBIT F Reporting Requirements NOTE AGREEMENT THIS NOTE AGREEMENT (this "Agreement") is made and entered into as of June 30, 1997 by and between Standard Management Corporation, an Indiana corporation (the "Company"), Capitol American Life Insurance Company, an Arizona corporation ("Capitol American") and Transport Life Insurance Company, a Texas corporation ("Transport", and collectively with Capitol American, the "Purchaser").
ATTACHMENTS TO NOTE AGREEMENT. Schedule I -- Names and Addresses of Purchasers Schedule II -- Names of Appraisers Schedule III -- Names of Underwriters, Protection and Indemnity Clubs and Insurers relating to Extensions and Renewals of Insurance Policies Exhibit A -- Form of Adjustable Rate Senior Secured Note due December 31, 1998 Exhibit B -- Closing Certificate of the Company Exhibit C -- Description of Special Counsel's Closing Opinion Exhibit D -- Description of Closing Opinion of Counsel to the Company
ATTACHMENTS TO NOTE AGREEMENT. Schedule I -- Names and Addresses of Purchasers Schedule II -- Names of Beneficial Owners of Class C Common Stock Exhibit A -- Form of Senior Note due October 1, 2002 Exhibit B -- Closing Certificate of the Company Exhibit C -- Description of Special Counsel's Closing Opinion Exhibit D -- Description of Closing Opinion of Counsel to the Company Petroleum Heat and Power Co., Inc. Note Agreement PETROLEUM HEAT AND POWER CO., INC. Xxxxxxxxx Xxxxxx Xxxxxxxx, Xxxxxxxxxxx 00000 NOTE AGREEMENT Re: $60,000,000 Senior Notes Due October 1, 2002 Dated as of February 1, 1997 To the Purchaser named in Schedule I hereto which is a signatory of this Agreement Gentlemen: The undersigned, PETROLEUM HEAT AND POWER CO., INC., a Minnesota corporation (the "Company"), agrees with you as follows:

Related to ATTACHMENTS TO NOTE AGREEMENT

  • Amendments to Note Agreement (a) Section 1(a) of the Note Agreement is hereby amended by amending and restating in its entirety as follows:

  • Amendments to Note Purchase Agreement Subject to the satisfaction of the conditions precedent set forth herein and in reliance on the representations, warranties and covenants of the Companies set forth herein and in the Note Purchase Agreement, each party hereto hereby agrees that the Note Purchase Agreement be and hereby is, amended as follows:

  • Amendments to Purchase Agreement 11. The parties agree that the Purchase Agreement shall be amended, solely with respect to the Mortgage Loans, as follows:

  • Supplements to Security Agreement Schedules The undersigned has attached hereto supplemental Schedules I through V to Schedules I through V, respectively, to the Security Agreement, and the undersigned hereby certifies, as of the date first above written, that such supplemental schedules have been prepared by the undersigned in substantially the form of the equivalent Schedules to the Security Agreement and are complete and correct in all material respects.

  • Amendments to Financing Agreement Subject to satisfaction of the conditions precedent set forth in Section 3 below, the Financing Agreement is hereby amended as follows:

  • Amendments to Loan Agreement The Loan Agreement is hereby amended as follows:

  • Amendments to Original Agreement The Original Agreement is hereby amended as follows:

  • Amendments to Servicing Agreements, Modification of Standard Provisions (a) Subject to the prior written consent of the Trustee pursuant to Section 3.07(b), the Master Servicer from time to time may, to the extent permitted by the applicable Servicing Agreement, make such modifications and amendments to such Servicing Agreement as the Master Servicer deems necessary or appropriate to confirm or carry out more fully the intent and purpose of such Servicing Agreement and the duties, responsibilities and obligations to be performed by the Servicer thereunder. Such modifications may only be made if they are consistent with the REMIC Provisions, as evidenced by an Opinion of Counsel. Prior to the issuance of any modification or amendment, the Master Servicer shall deliver to the Trustee such Opinion of Counsel and an Officer's Certificate setting forth (i) the provision that is to be modified or amended, (ii) the modification or amendment that the Master Servicer desires to issue and (iii) the reason or reasons for such proposed amendment or modification.

  • Amendments to Forbearance Agreement The Forbearance Agreement is hereby amended as follows:

  • Amendments to Repurchase Agreement The Repurchase Agreement is hereby amended as follows:

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