Common use of Conditions to Issuance of Notes on Closing Date Clause in Contracts

Conditions to Issuance of Notes on Closing Date. The Notes to be issued on the Closing Date may be executed by the Issuer and delivered to the Trustee for authentication and thereupon the same shall be authenticated and delivered by the Trustee upon Issuer Order and upon receipt by the Trustee of the following:

Appears in 15 contracts

Samples: Indenture (Golub Capital Private Credit Fund), Indenture (Monroe Capital Income Plus Corp), Indenture (Monroe Capital Income Plus Corp)

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Conditions to Issuance of Notes on Closing Date. The Notes to be issued on the Closing Date may be registered in the names of the respective Holders thereof and may be executed by the Issuer and delivered to the Trustee for authentication and thereupon the same shall be authenticated and delivered by the Trustee upon Issuer Order and upon receipt by the Trustee of the following:

Appears in 10 contracts

Samples: Indenture (BC Partners Lending Corp), Eighth Supplemental Indenture (Investcorp Credit Management BDC, Inc.), Indenture (BC Partners Lending Corp)

Conditions to Issuance of Notes on Closing Date. The Notes to be issued on the Closing Date may be executed by the Issuer and delivered to the Trustee for authentication and thereupon the same shall be authenticated by the Trustee or the Authenticating Agent and delivered by the Trustee upon Issuer Order and upon receipt by the Trustee of the following:

Appears in 6 contracts

Samples: Indenture (NewStar Financial, Inc.), Indenture (NewStar Financial, Inc.), Indenture (NewStar Financial, Inc.)

Conditions to Issuance of Notes on Closing Date. (a) The Notes to be issued on the Closing Date may shall be executed by the Issuer Applicable Issuers and delivered to the Trustee for authentication and thereupon the same shall be authenticated and delivered by the Trustee upon Issuer Order and upon receipt by the Trustee of the following:

Appears in 2 contracts

Samples: Indenture (JMP Group LLC), Indenture (NewStar Financial, Inc.)

Conditions to Issuance of Notes on Closing Date. (a) The Notes to be issued on the Closing Date may be executed by the Issuer Applicable Issuers and delivered to the Trustee for authentication and thereupon the same shall be authenticated and delivered by the Trustee upon Issuer Order and upon receipt by the Trustee of the following:

Appears in 2 contracts

Samples: Indenture (Palmer Square Capital BDC Inc.), Supplemental Indenture (Garrison Capital Inc.)

Conditions to Issuance of Notes on Closing Date. (a) The Notes to be issued on the Closing Date may shall be executed by the Issuer and delivered to the Trustee for authentication and thereupon the same shall be authenticated and delivered by the Trustee upon Issuer Order and upon receipt by the Trustee of the following:

Appears in 1 contract

Samples: Management Agreement (TPG RE Finance Trust, Inc.)

Conditions to Issuance of Notes on Closing Date. (a) The Notes to be issued on the Closing Date may be executed by the Issuer Applicable Issuers and delivered to the Trustee for authentication and thereupon the same shall be authenticated and delivered by the Trustee Trustee, in each case upon Issuer Order and upon receipt by the Trustee of the following:

Appears in 1 contract

Samples: Indenture (AB Private Credit Investors Corp)

Conditions to Issuance of Notes on Closing Date. (a) The Notes to be issued on the Closing Date may be executed by the Issuer Applicable Issuers and delivered to the Trustee for authentication and thereupon the same shall be authenticated and delivered by the Trustee Trustee, in each case upon Issuer Order and upon receipt by the Trustee and the Class A-1L Loan Agent of the following:

Appears in 1 contract

Samples: Supplemental Indenture (AB Private Credit Investors Corp)

Conditions to Issuance of Notes on Closing Date. The Notes to be issued on the Closing Date may be registered in the names of the respective Holders thereof and may be executed by the Issuer Applicable Issuers and delivered to the Trustee for authentication and thereupon the same shall be authenticated and delivered by the Trustee upon Issuer Order and upon receipt by the Trustee of the following:

Appears in 1 contract

Samples: Indenture (JMP Group Inc.)

Conditions to Issuance of Notes on Closing Date. The Notes to be issued on the Closing Date may be executed by the Issuer and delivered to the Collateral Trustee for authentication and thereupon the same shall be authenticated by the Collateral Trustee or the Authenticating Agent and delivered by the Collateral Trustee upon Issuer Order and upon receipt by the Collateral Trustee and the Loan Agent of the following:

Appears in 1 contract

Samples: Indenture and Security Agreement (PennantPark Floating Rate Capital Ltd.)

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Conditions to Issuance of Notes on Closing Date. The Notes to be issued on the Closing Date may be executed by the Issuer Co-Issuers and delivered to the Trustee for authentication and thereupon the same shall be authenticated by the Trustee or the Authenticating Agent and delivered by the Trustee upon Issuer Order and upon receipt by the Trustee of the following:

Appears in 1 contract

Samples: Indenture and Security Agreement (Silver Point Specialty Lending Fund)

Conditions to Issuance of Notes on Closing Date. (a) The Notes Securities to be issued on the Closing Date may shall be executed by the Issuer Applicable Issuers and delivered to the Trustee for authentication and thereupon the same shall be authenticated and delivered by the Trustee upon Issuer Order and upon receipt by the Trustee of the following:

Appears in 1 contract

Samples: www.rns-pdf.londonstockexchange.com

Conditions to Issuance of Notes on Closing Date. (a) The Notes to be issued on the Closing Date may be executed by the Issuer Applicable Issuers and delivered to the Trustee for authentication and thereupon the same shall be authenticated and delivered by the Trustee upon Issuer Order and upon receipt by the Trustee of the following:following (and the items referred to in clause (xvi) below shall be delivered to S&P):

Appears in 1 contract

Samples: Indenture (Garrison Capital Inc.)

Conditions to Issuance of Notes on Closing Date. (a) The Notes to be issued on the Closing Date may be recorded by the Registrar and/or executed by the Issuer Applicable Issuers and delivered to the Collateral Trustee for authentication and thereupon the same shall be authenticated and delivered by the Collateral Trustee upon Issuer Order and upon receipt by the Collateral Trustee of the following:

Appears in 1 contract

Samples: Indenture (Barings Private Credit Corp)

Conditions to Issuance of Notes on Closing Date. The Notes to be issued on the Closing Date may be executed by the Issuer Co-Issuers and delivered to the Trustee for authentication and thereupon the same shall be authenticated by the Trustee or the Authenticating Agent and delivered by the Trustee upon Issuer Order and upon receipt by the Trustee Trustee, the Collateral Agent and the Loan Agent of the following:

Appears in 1 contract

Samples: Indenture (PennantPark Floating Rate Capital Ltd.)

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