Identification Codes. In order to assure quality control, The Lion shall apply an identification code on each case and bottle indicating whatever data Xxxx’x reasonably requires and an “L” in front of the bottling time on line 2.
Identification Codes. Each Conversion Notice deposited with a Conversion Agent and each facsimile transmission sent and letter delivered in respect of a Conversion Notice pursuant to the foregoing provisions of this Clause 6.8 by any Conversion Agent shall indicate the identification code designated below for that Conversion Agent, followed by the words “Renesola Ltd RMB928,700,000 USD settled 1.00 per cent. Convertible Bonds due 2012”, and shall bear the lowest number previously unused by that Conversion Agent in the sequence of whole numerals starting from one and continuing in uninterrupted sequence upwards, for identification. All confirmatory or subsequent communications (regardless of the identity of the sender or the recipient thereof) with regard to the conversion, receipt, delivery and/or payment of Shares and/or any other securities, property and cash relating to such Conversion Notice shall bear the same identifying number as well as the identification code of the relevant Conversion Agent. The identification codes of the Conversion Agents shall be as follows: Deutsche Bank AG, Hong Kong Branch “DBHK” Deutsche Bank Luxembourg S.A. “DBLX” Thus, by way of example, the reference to be used for the fifth Conversion Notice deposited with the Principal Agent and for each facsimile transmission and letter relating thereto would be “DBHK/Renesola Ltd RMB928,700,000 USD settled 1.00 per cent. Convertible Bonds due 2012/0005”.
Identification Codes. Each Exchange Notice and each facsimile transmission sent in respect of an Exchange Notice pursuant to the foregoing provisions of this Clause 6 by any Agent shall include the following heading “Portugal Telecom International Finance B.V. €750,000,000 Exchangeable Bonds due 2014”, and shall bear the lowest number previously unused by that Agent in the sequence of whole numerals starting from one and continuing in uninterrupted sequence upwards, for identification. All confirmatory or subsequent communications (regardless of the identity of the sender or the recipient thereof) with regard to such Exchange Notice shall bear the same identifying serial number.
Identification Codes. Each Conversion Notice and each facsimile transmission sent in respect of a Conversion Notice pursuant to the foregoing provisions of this Clause 7 by any Agent shall indicate the identification code designated below for that Agent followed by the words "Snam S.p.A. €400,000,000 Equity- Linked Bonds due 2022", and shall bear the lowest number previously unused by that Agent in the sequence of whole numerals starting from one and continuing in uninterrupted sequence upwards, for identification. All confirmatory or subsequent communications (regardless of the identity of the sender or the recipient thereof) with regard to such Conversion Notice shall bear the same identifying serial number as well as the identification code of the relevant Agent. The identification code of each of the Paying, Transfer and Conversion Agents shall be as follows: BNP Paribas Securities Services, Luxembourg Branch as Principal BNPPSS Paying, Transfer and Conversion Agent The identification code of the Registrar shall be as follows: BNP Paribas Securities Services, Luxembourg Branch as Registrar BNPPSSR
Identification Codes. Each Conversion Notice deposited with a Conversion Agent and each facsimile transmission sent and letter delivered in respect of a Conversion Notice pursuant to the foregoing provisions of this Clause by any Conversion Agent shall indicate the identification code designated below for that Conversion Agent, followed by the words “China Architectural Engineering, Inc. 12% Convertible Bonds due 2011 (US$)”, and shall bear the lowest number previously unused by that Conversion Agent in the sequence of whole numerals starting from one and continuing in uninterrupted sequence upwards, for identification. All confirmatory or subsequent communications (regardless of the identity of the sender or the recipient thereof) with regard to the conversion, receipt, delivery and/or payment of Shares and/or any other securities, property and cash relating to such Conversion Notice shall bear the same identifying number as well as the identification code of the relevant Conversion Agent. The identification codes of the Conversion Agent shall be as follows: BNYLDN1 Thus, by way of example, the reference to be used for the fifth Conversion Notice deposited with the Principal Agent and for each facsimile transmission and letter relating thereto would be “BNYLDN1/ China Architectural Engineering, Inc. 12% Convertible Bonds due 2011/0005”.
Identification Codes. Each Exercise Notice and each facsimile transmission sent in respect of an Exercise Notice pursuant to the provisions of this Clause 7 (Exercise of Subscription Rights) by any Warrant Agent shall indicate the identification code designated for such purpose for that Warrant Agent, and shall bear for identification the lowest number previously unused by that Warrant Agent in the sequence of whole numerals starting from one and continuing in uninterrupted sequence upwards. All confirmatory or subsequent communications (regardless of the identity of the sender or the recipient thereof) with regard to such Exercise Notice shall bear the same identifying serial number as well as the identification code of the relevant Warrant Agent.
Identification Codes. Each Exchange Notice deposited with an Exchange Agent and each facsimile sent and letter delivered in respect of an Exchange Notice pursuant to the foregoing provisions of this Clause by any Exchange Agent, the Guarantor or the Issuer shall indicate the identification code designated below for that Exchange Agent, and shall bear the lowest number previously unused by that Exchange Agent in the sequence of whole numerals starting from one and continuing in uninterrupted sequence upwards, for identification. All confirmatory or subsequent communications (regardless of the identity of the sender or the recipient thereof) with regard to the exchange, receipt, delivery and/or payment of any Exchange Property shall bear the same identifying serial number as well as the identification code of the relevant Exchange Agent. The identification code of the Exchange Agent shall be as follows FPFC/HSBCCTA
Identification Codes. Each Conversion Notice and each facsimile transmission sent in respect of a Conversion Notice pursuant to the provisions of this Clause 9 by a Conversion Agent shall indicate the identification code designated for such purpose by such Conversion Agent, and shall bear for identification the lowest number previously unused by such Conversion Agent in the sequence of whole numerals starting from one and continuing in uninterrupted sequence upwards. All confirmatory or subsequent communications (regardless of the identity of the sender or the recipient thereof) with regard to a Conversion Notice shall bear the same identifying serial number as well as the identification code of such Conversion Agent. Thus, by way of example, the reference to be used for the fifth Conversion Notice deposited with the Conversion Agent and for each facsimile transmission and letter relating thereto would be “HSBC-CTA/China Time Share Media Co Ltd U.S.$20,000,000 5.00 per cent. Secured Convertible Notes due 2010/0005”.
Identification Codes. Each Exchange Notice and each facsimile transmission sent in respect of an Exchange Notice pursuant to the foregoing provisions of this Clause 5 by any Paying, Transfer and Exchange Agent shall indicate the identification code designated below for that Paying, Transfer and Exchange Agent followed by the words “Abengoa, S.A. 5.125 per cent. Exchangeable Notes due 2017”, and shall bear the lowest number previously unused by that Paying, Transfer and Exchange Agent in the sequence of whole numerals starting from one and continuing in uninterrupted sequence upwards, for identification. All confirmatory or subsequent communications (regardless of the identity of the sender or the recipient thereof) with regard to such Exchange Notice shall bear the same identifying serial number as well as the identification code of the relevant Paying, Transfer and Exchange Agent. The identification code of the Paying, Transfer and Exchange Agents shall be as follows: ABENGOA/CITILON00 U.S.$279,000,000 5.125 per cent. Exchangeable Notes due 2017
Identification Codes. All Products shall be appropriately identified with the Company’s unique identification code as required by Regulatory Laws.