Certain Other Definitions. Defined in Section “Automatic Conversion” 12.13 “Automatic Conversion Notice” 12.13 “Automatic Conversion Date” 12.13 “Bankruptcy Law 6.01 “Business Day” 10.07 “Cash Percentage” 12.12 “Closing Price” 12.05 “Conversion Agent” 2.03 “Conversion Right” 12.13 “Conversion Termination” 12.13 “Conversion Termination Date” 12.13 “Conversion Termination Notice” 12.13 “Conversion Termination Notice Date” 12.13 “Conversion Termination Trigger Event” 12.13 “Conversion Trigger Price” 12.01 “Current Market Price” 12.05 “Custodian” 6.01 “Designated Event Date” 4.06 “Designated Event Offer” 4.06 “Designated Event Offer Termination Date” 4.06 “Designated Event Payment” 4.06 “Designated Event Payment Date” 4.06 “Distribution Notice” 12.01 “Event of Default” 6.01 “Expiration Time” 12.05 “Fair Market Value” 12.05 “Global Security” 2.01 “Interest Make-Whole Payment” 12.13 “Legal Holiday” 10.07 “Non-electing Share” 12.06 “Paying Agent” 2.03 “Payment Blockage Notice” 11.03 “Purchased Shares” 12.05 “Record Date” 12.05 “Registrar” 2.03 “Securities” 12.05 “Trading Day” 12.05 “Trigger Event” 12.05
Appears in 5 contracts
Samples: Indenture (LTX-Credence Corp), Indenture (LTX-Credence Corp), LTX-Credence Corp
Certain Other Definitions. Defined in Section “Aggregate Current Market Price” 12.05 “Automatic Conversion” 12.13 “Automatic Conversion Date” 12.13 “Automatic Conversion Notice” 12.13 “Automatic Conversion Notice Date” 12.13 “Automatic Conversion Trigger Event” 12.13 “Bankruptcy Law Law” 6.01 “Business Day” 10.07 “Clearstream” 2.01 “Combined Cash Percentageand Tender Amount” 12.12 12.05 “Closing PriceCombined Tender and Cash Amount” 12.05 “Completion Date” 12.05 “Conversion Agent” 2.03 “Conversion Right” 12.13 “Conversion Termination” 12.13 “Conversion Termination Date” 12.13 “Conversion Termination Notice” 12.13 “Conversion Termination Notice Date” 12.13 “Conversion Termination Trigger Event” 12.13 “Conversion Trigger Price” 12.01 “Current Market PriceShares” 12.05 “Custodian” 6.01 “Designated Event Distribution Date” 4.06 12.05 “Designated Event OfferEuroclear” 4.06 “Designated Event Offer Termination Date” 4.06 “Designated Event Payment” 4.06 “Designated Event Payment Date” 4.06 “Distribution Notice” 12.01 2.01 “Event of Default” 6.01 “Expiration Time” 12.05 “Fair Market ValueFundamental Change Date” 12.05 4.06 “Fundamental Change Make-Whole Premium” 12.01 “Fundamental Change Offer” 4.06 “Fundamental Change Offer Termination Date” 4.06 “Fundamental Change Payment” 4.06 “Fundamental Change Payment Date” 4.06 “Global Security” 2.01 “Interest Make-Whole PaymentPremium” 12.13 “Investment Company Act” 4.11 “Legal Holiday” 10.07 “Non-electing ShareNew Rights Plan” 12.06 12.05 “Paying Agent” 2.03 “Payment Blockage NoticeRedemption” 11.03 3.01 “Purchased Shares” 12.05 “Record Redemption Date” 12.05 3.01 “Redemption Price” 3.01 “Register” 2.03 “Registrar” 2.03 “Securities” 12.05 “Trading Day” 12.05 “Trigger EventRights Plan” 12.05
Appears in 1 contract
Samples: Indenture (Vion Pharmaceuticals Inc)