Notice to Indenture Trustee. In the case of any redemption pursuant to Section 10.01, the Issuer shall, at least [15] days prior to the Redemption Date (unless a shorter notice shall be satisfactory to the Indenture Trustee), notify the Indenture Trustee of such Redemption Date.
Appears in 1 contract
Notice to Indenture Trustee. In the case of any redemption pursuant to Section 10.01, the Issuer shall, at least [15] 30 days prior to the Redemption Date (unless a shorter notice period shall be satisfactory to the Indenture Trustee), notify the Indenture Trustee of such Redemption Date and of the expected principal amount of each Class of Notes to be redeemed on such Redemption Date.
Appears in 1 contract
Samples: Trust Indenture and Security Agreement (Commercial Assets Inc)
Notice to Indenture Trustee. In the case of any redemption pursuant to Section 10.0110.01 hereof, the Issuer or the Bond Insurer shall, at least [15] 15 days prior to the Redemption Date (unless a shorter notice shall be satisfactory to the Indenture Trustee)Date, notify the Indenture Trustee and the Coordinator of such Redemption DateDate and shall deposit into the Collection Account on the related Calculation Date an amount equal to the Redemption Price of all Notes to be redeemed.
Appears in 1 contract
Samples: Indenture (T&w Financial Corp)
Notice to Indenture Trustee. In the case of any redemption pursuant to Section 10.01, the Issuer shall, at least [15__] days prior to the Redemption Date (unless a shorter notice shall be satisfactory to the Indenture Trustee), notify the Indenture Trustee of such Redemption Date.
Appears in 1 contract
Samples: Indenture (Chevy Chase Bank FSB)