Issuance of the Capital Securities. On __________, 1997, the Depositor, both on its own behalf and on behalf of the Issuer Trust pursuant to the Original Trust Agreement, executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, an Administrative Trustee, on behalf of the Issuer Trust, shall manually execute in accordance with Sections 5.2, 5.3 and 8.9(a) and the Property Trustee shall deliver to the Underwriters, Capital Securities Certificates, registered in the names requested by the Underwriters, evidencing an aggregate of 200,000 Capital Securities having an aggregate Liquidation Amount of $200,000,000, against receipt of the aggregate purchase price of such Capital Securities of $200,000,000, by the Property Trustee.
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Issuance of the Capital Securities. On __________ __, 1997, the Depositor, both on its own behalf and on behalf of the Issuer Trust pursuant to the Original Trust Agreement, executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, an Administrative Trustee, on behalf of the Issuer Trust, shall manually execute in accordance with Sections 5.2, 5.3 and 8.9(a) and the Property Trustee shall deliver to the Underwriters, Capital Securities Certificates, registered in the names requested by the Underwriters, evidencing an aggregate of 200,000 150,000 Capital Securities having an aggregate Liquidation Amount of $200,000,000150,000,000, against receipt of the aggregate purchase price of such Capital Securities of $200,000,000150,000,000, by the Property Trustee.
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Issuance of the Capital Securities. On _________ __, 1997199_, the Depositor, both on its own behalf and on behalf of the Issuer Trust pursuant to the Original Trust Agreement, executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, an Administrative TrusteeAdministrator, on behalf of the Issuer Trust, shall manually execute in accordance with Sections 5.2, 5.3 and 8.9(a) and the Property Trustee shall deliver to the Underwritersunderwriters, Capital Securities Certificates, registered in the names requested by the Underwritersunderwriters, evidencing an aggregate of 200,000 [20,000,000] [500,000] Capital Securities having an aggregate Liquidation Amount of $200,000,000500,000,000, against receipt of the aggregate purchase price of such Capital Securities of $200,000,000, 500,000,000.00 by the Property Trustee.
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Samples: Trust Agreement (American Express Co Capital Trust Ii)
Issuance of the Capital Securities. On __________, 19972004, the Depositor, both on its own behalf and on behalf of the Issuer Trust pursuant to the Original Trust Agreement, executed and delivered the Underwriting Purchase Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, an Administrative Trustee, on behalf of the Issuer Trust, shall manually execute in accordance with Sections 5.2, 5.3 and 8.9(a) and the Property Trustee shall deliver to the Underwriters, Capital Securities Certificates, registered in the names requested by the Underwriters, evidencing an aggregate of 200,000 250,000 Capital Securities having an aggregate Liquidation Amount of $200,000,000250,000,000, against receipt of the aggregate purchase price of such Capital Securities of $200,000,000, 250,000,000 by the Property Trustee.
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Samples: Trust Agreement (Popular North America Capital Trust I)
Issuance of the Capital Securities. On __________, 19971999, the Depositor, both on its own behalf and on behalf of the Issuer Trust and pursuant to the Original Trust Agreement, executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, an Administrative Trustee, on behalf of the Issuer Trust, shall manually execute in accordance with Sections 5.2, 5.3 and 8.9(a) and the Property Trustee shall deliver to the Underwriters, Capital Securities Certificates, registered in the names requested by the UnderwritersUnderwriters or a representative thereof, evidencing an aggregate of 200,000 250,000 Capital Securities having an aggregate Liquidation Amount of $200,000,000250,000,000, against receipt of the aggregate purchase price of for such Capital Securities of $200,000,000, ______ by the Property Trustee.
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Samples: Trust Agreement (Keycorp Capital Ii)
Issuance of the Capital Securities. On ________January __, 1997, the Depositor, both on its own behalf and on behalf of the Issuer Trust pursuant to the Original Trust Agreement, executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, an Administrative Trustee, on behalf of the Issuer Trust, shall manually execute in accordance with Sections 5.2, 5.3 and 8.9(a) and the Property Trustee shall deliver to the Underwriters, Capital Securities Certificates, registered in the names requested by the Underwriters, evidencing an aggregate of 200,000 100,000 Capital Securities having an aggregate Liquidation Amount of $200,000,000100,000,000, against receipt of the aggregate purchase price of such Capital Securities of $200,000,000100,000,000, by the Property Trustee.
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Samples: Trust Agreement (Compass Trust Ii)