Definitions Other Interpretive Provisions. The interpretive provisions set forth in Section 1.02 of the Credit Agreement are incorporated by reference herein. Terms defined in the Credit Agreement or the Collateral Trust Agreement and not otherwise defined in this Security Agreement are used in this Security Agreement as defined in the Credit Agreement or the Collateral Trust Agreement, as the case may be. Further, unless otherwise defined in this Security Agreement, the Credit Agreement or the Collateral Trust Agreement, terms defined in Article 8 or 9 of the UCC and/or in the Federal Book Entry Regulations are used in this Security Agreement as such terms are defined in such Article 8 or 9 and/or the Federal Book Entry Regulations. As used in this Security Agreement the following terms shall have the meanings set forth below:
Definitions Other Interpretive Provisions. When used herein, (a) the terms Account, Account Debtor, Certificated Security, Chattel Paper,Commercial Tort Claim, Deposit Account, Document, Electronic Chattel Paper, Equipment, Financial Asset, Fixtures, Goods, Health-Care-Insurance Receivable, Inventory, Instrument, Investment Property, Letter-of-Credit Rights, Money, Payment Intangibles, Proceeds, Security, Security Entitlement, Supporting Obligations and Uncertificated Security have the respective meanings assigned thereto in the UCC (as defined below); (b) capitalized terms which are not otherwise defined have the respective meanings assigned thereto in the Credit Agreement and (c) the following terms have the following meanings (such definitions to be applicable to both the singular and plural forms of such terms): Assignee Deposit Account shall have the meaning ascribed to such term in Section 4 hereof.
Definitions Other Interpretive Provisions. ACCOUNTING PRINCIPLES ---------------------
Definitions Other Interpretive Provisions. The interpretive provisions set forth in Section 1.04 of the Indenture are incorporated by reference herein. Terms defined in the Indenture or the Intercreditor Agreement and not otherwise defined in this Second Lien Shared Security Agreement are used in this Second Lien Shared Security Agreement as defined in the Indenture or the Intercreditor Agreement. The terms incorporated by reference to the Credit Agreement are defined as used in the Credit Agreement as in effect as of the date hereof. Further, unless otherwise defined in this Second Lien Shared Security Agreement, the Indenture or the Intercreditor Agreement, terms defined in Article 8 or 9 of the UCC and/or in the Federal Book Entry Regulations are used in this Second Lien Shared Security Agreement as such terms Dynegy Second Lien Shared Security Agreement are defined in such Article 8 or 9 and/or the Federal Book Entry Regulations. As used in this Second Lien Shared Security Agreement the following terms shall have the meanings set forth below:
Definitions Other Interpretive Provisions. When used herein, (a) the terms "Account," "Account Debtor," "Certificated Security," "Chattel Paper," "Commercial Tort Claim," "Deposit Account," "Document," "Electronic Chattel Paper," "Equipment," "Financial Asset," "Fixture," "Goods," "Health-Care-Insurance Receivable," "Inventory," "Instrument," "Investment Property," "Letter of Credit Rights," "Payment Intangibles," "Proceeds," "Security," "Security Entitlement," "Software," "Supporting Obligations" and "Uncertificated Security" have the respective meanings assigned thereto in the UCC (as defined below); (b) capitalized terms which are not otherwise defined have the respective meanings assigned thereto in the Credit Agreement; and (c) the following terms have the following meanings (such definitions to be applicable to both the singular and plural forms of such terms): "Assignee Deposit Account" - see Section 4.
Definitions Other Interpretive Provisions. When used herein, (a) the terms "Account," "Certificated Security," "Chattel Paper," "Deposit Account," "Document," "Equipment," "Financial Asset," "Fixture," "Goods," "Inventory," "Instrument," "Investment
Definitions Other Interpretive Provisions. When used herein, (a) the terms "Account," "Certificated Security," "Chattel Paper," "Deposit Account," "Document," "Equipment," "Financial Asset," "Fixture," "Goods," "Inventory," "Instrument," "Investment Property," "Security," "Proceeds," "Security Entitlement" and "Uncertificated Security" have the respective meanings assigned thereto in the UCC (as defined below); (b) the terms "Commercial Tort Claims," "Electronic Chattel Paper," "Health Care Insurance Receivables," "Letter-of-Credit Rights," "Payment Intangibles," "Software," "Supporting Obligations" and "Tangible Chattel Paper" have the respective meanings assigned thereto in the UCC Revisions (as defined below); (c) capitalized terms which are not otherwise defined have the respective meanings assigned thereto in the Credit Agreement; and (d) the following terms have the following meanings (such definitions to be applicable to both the singular and plural forms of such terms):
Definitions Other Interpretive Provisions. When used herein, the following terms have the following meanings (such definitions to be applicable to both the singular and plural forms of such terms):
Definitions Other Interpretive Provisions