Issuance of the Trust Securities. The Depositor, on behalf of the Trust and pursuant to the Original Trust Agreement, executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, the Administrative Trustee, on behalf of the Trust, shall execute in accordance with Section 5.02 and deliver to the Underwriters named in the Underwriting Agreement one or more Book-Entry Preferred Securities Certificates, registered in the name of the nominee of the initial Clearing Agency, representing 6,000,000 Preferred Securities having an aggregate Liquidation Amount of $150,000,000, against receipt by the Property Trustee of the aggregate purchase price of such Preferred Securities of $150,000,000, which amount the Administrative Trustee shall promptly deliver to the Property Trustee. Contemporaneously therewith, the Administrative Trustee, on behalf of the Trust, shall execute in accordance with Section 5.02 and deliver to the Depositor a Common Securities Certificate, registered in the name of the Depositor, representing 185,568 Common Securities having an aggregate Liquidation Amount of $4,639,200, and in satisfaction of the purchase price of such Common Securities the Depositor shall deliver to the Property Trustee the sum of $4,639,200.
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Issuance of the Trust Securities. The Depositor, on behalf of the Trust and pursuant to the Original Trust Agreement, executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, the Administrative Trustee, on behalf of the Trust, shall execute in accordance with Section 5.02 and deliver to the Underwriters named in the Underwriting Agreement one or more Book-Entry Preferred Securities Certificates, registered in the name of the nominee of the initial Clearing Agency, representing 6,000,000 9,000,000 Preferred Securities having an aggregate Liquidation Amount of $150,000,000225,000,000, against receipt by the Property Trustee of the aggregate purchase price of such Preferred Securities of $150,000,000225,000,000, which amount the Administrative Trustee shall promptly deliver to the Property Trustee. Contemporaneously therewith, the Administrative Trustee, on behalf of the Trust, shall execute in accordance with Section 5.02 and deliver to the Depositor a Common Securities Certificate, registered in the name of the Depositor, representing 185,568 278,351 Common Securities having an aggregate Liquidation Amount of $4,639,2006,958,775, and in satisfaction of the purchase price of such Common Securities the Depositor shall deliver to the Property Trustee the sum of $4,639,2006,958,775.
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Issuance of the Trust Securities. The Depositor, on behalf of the Trust and pursuant to the Original Trust Agreement, executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, the Administrative Trustee, on behalf of the Trust, shall execute in accordance with Section 5.02 and deliver to the Underwriters named in the Underwriting Agreement one or more Book-Entry Preferred Securities Certificates, registered in the name of the nominee of the initial Clearing Agency, representing 6,000,000 3,800,000 Preferred Securities having an aggregate Liquidation Amount of $150,000,00095,000,000, against receipt by the Property Trustee of the aggregate purchase price of such Preferred Securities of $150,000,00095,000,000, which amount the Administrative Trustee shall promptly deliver to the Property Trustee. Contemporaneously therewith, the Administrative Trustee, on behalf of the Trust, shall execute in accordance with Section 5.02 and deliver to the Depositor a Common Securities Certificate, registered in the name of the Depositor, representing 185,568 117,526 Common Securities having an aggregate Liquidation Amount of $4,639,2002,938,150, and in satisfaction of the purchase price of such Common Securities the Depositor shall deliver to the Property Trustee the sum of $4,639,2002,938,150.
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Issuance of the Trust Securities. The Depositor, on behalf of the Trust and pursuant to the Original Trust Agreement, executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, the Administrative Trustee, on behalf of the Trust, shall execute in accordance with Section 5.02 and deliver to the Underwriters named in the Underwriting Agreement one or more Book-Entry Preferred Securities Certificates, registered in the name of the nominee of the initial Clearing Agency, representing 6,000,000 150,000 Preferred Securities having an aggregate Liquidation Amount of $150,000,000, against receipt by the Property Trustee of the aggregate purchase price of such Preferred Securities of $150,000,000148,554,000, which amount the Administrative Trustee shall promptly deliver to the Property Trustee. Contemporaneously therewith, the Administrative Trustee, on behalf of the Trust, shall execute in accordance with Section 5.02 and deliver to the Depositor a Common Securities Certificate, registered in the name of the Depositor, representing 185,568 4,640 Common Securities having an aggregate Liquidation Amount of $4,639,2004,640,000, and in satisfaction of the purchase price of such Common Securities the Depositor shall deliver to the Property Trustee the sum of $4,639,2004,640,000.
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Issuance of the Trust Securities. The Depositor, on behalf of the Trust and pursuant to the Original Trust Agreement, executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, the Administrative Trustee, on behalf of the Trust, shall execute in accordance with Section 5.02 and deliver to the Underwriters named in the Underwriting Agreement one or more Book-Entry Preferred Securities Certificates, registered in the name of the nominee of the initial Clearing Agency, representing 6,000,000 8,320,000 Preferred Securities having an aggregate Liquidation Amount of $150,000,000208,000,000, against receipt by the Property Trustee of the aggregate purchase price of such Preferred Securities of $150,000,000208,000,000, which amount the Administrative Trustee shall promptly deliver to the Property Trustee. Contemporaneously therewith, the Administrative Trustee, on behalf of the Trust, shall execute in accordance with Section 5.02 and deliver to the Depositor a Common Securities Certificate, registered in the name of the Depositor, representing 185,568 257,320 Common Securities having an aggregate Liquidation Amount of $4,639,2006,433,000, and in satisfaction of the purchase price of such Common Securities the Depositor shall deliver to the Property Trustee the sum of $4,639,2006,433,000.
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