Other Definitions. Defined in Term Section ---- -------
Other Definitions. Unless otherwise defined herein or the context otherwise requires, terms used in this Amendment, including its preamble and recitals, have the meanings provided in the Amended Credit Agreement.
Other Definitions. For purposes of this Agreement:
Other Definitions. Defined in Term Section
Other Definitions. Term Defined in Section “Accredited Investor Note” 2.1(b) “Additional Restricted Notes” 2.1(b) “Agent Members” 2.1(g)(2) “Applicable Premium Deficit” 8.4(i) “Authenticating Agent” 2.2 “bankruptcy provisions” 6.1(a)(v)(6) “Change of Control Offer” 3.5(a) “Change of Control Payment” 3.5(a) “Change of Control Payment Date” 3.5(a)(ii) “Clearstream” 2.1(b) “Covenant Defeasance” 8.3 “cross acceleration provision” 6.1(a)(iv)(2) “Default Direction” 6.1(b) “Defaulted Interest” 2.15 “Defeasance Trust” 8.4(i) “Directing Holder” 6.1(b) “Euroclear” 2.1(b) “Event of Default” 6.1(a) “Global Notes” 2.1(b) “Guaranteed Obligations” 10.1 “Institutional Accredited Investor Global Note” 2.1(b) “Institutional Accredited Investor Global Notes” 2.1(b) “Issuers Order” 2.2 “judgment default provision” 6.1(a)(vii) “Legal Defeasance” 8.2 “Legal Holiday” 12.8 “Noteholder Direction” 6.1(b) “Notes Register” 2.3 “payment default” 6.1(a)(iv)(1) “Permitted Debt” 3.2(b) “Position Representation” 6.1(b) “protected purchaser” 2.11 “Redemption Date” 5.7(a) “Registrar” 2.3 “Regulation S Global Note” 2.1(b) “Regulation S Notes” 2.1(b) “Resale Restriction Termination Date” 2.6(b) “Reversion Date” 3.14(b) “Rule 144A Global Note” 2.1(b) “Rule 144A Notes” 2.1(b) “Special Interest Payment Date” 2.15(a) “Special Record Date” 2.15(a) “Successor Company” 4.1(a)(i) “Suspended Covenants” 3.14(a) “Suspension Period” 3.14(b) “Verification Covenant” 6.1(b)
Other Definitions. 29 SECTION 1.03 Incorporation by Reference of Trust Indenture Act ........................................... 30 SECTION 1.04 Rules of Construction ....................................................................... 30
Other Definitions. Term Defined in Section “Additional Amounts” 2.13 “Affiliate Transaction” 4.11 “Asset Sale Offer” 3.09 “Authentication Order” 2.02 “Change of Control Offer” 4.15 “Change of Control Payment” 4.15 “Change of Control Payment Date” 4.15 “Covenant Defeasance” 8.03 “Designated Subsidiary Guarantor Enforcement Sale” 11.08 “direct parent companies” 4.20 “DTC” 2.03 “Event of Default” 6.01 “Excess Proceeds” 4.10 “Guaranteed Obligations” 11.01 “Legal Defeasance” 8.02 “New Intermediate Holding Companies” 4.20 “Offer Amount” 3.09 “Offer Period” 3.09 “Paying Agent” 2.03 “Permitted Debt” 4.09 “Payment Default” 6.01 “Purchase Date” 3.09 “Redemption Date” 3.07 “Registrar” 2.03 “Relevant Jurisdiction” 2.13 “Restricted Payments” 4.07 “Reversion Date” 4.22 “Suspended Covenants” 4.22 “Suspension Period” 4.22 “Taxes” 2.13
Other Definitions. Defined in Term Section “2017 A Notes Purchase Offer” 3.08(b) “Affiliate Transaction” 4.11(a) “Asset Sale” 4.10 “Authentication Order” 2.02 “Change of Control Offer” 4.14(a) “Change of Control Payment” 4.14(a) “Change of Control Payment Date” 4.14(a) Defined in Term Section “Covenant Defeasance” 8.03 “Defeased Covenants” 8.03 “DTC” 2.03 “Event of Default” 6.01(a) “Guarantor Liquidity Amount” 4.16 “Guarantor Liquidity Assets” 4.16 “Guarantor Liquidity Facility” 4.16 “incur” or “incurrence” 4.09(a) “Legal Defeasance” 8.02 “Liquidity Facilities” 4.16 “Non-Guarantor Liquidity Amount” 4.16 “Non-Guarantor Liquidity Assets” 4.16 “Non-Guarantor Liquidity Facility” 4.16 “Note Register” 2.03 “Offer Amount” 3.09(b) “Offer Period” 3.09(b) “Pari Passu Indebtedness” 4.10(c) “Paying Agent” 2.03 “Payment Blockage Period” 11.03 “Payment Default” 11.03 “Purchase Date” 3.09(b) “Redemption Date” 3.07(a) “Refinancing Indebtedness” 4.09(b) “Refunding Capital Stock” 4.07(b) “Registrar” 2.03 “Restricted Payments” 4.07(a) “Special Redemption” 3.08(a) “Special Redemption Amount” 3.08(a) “Special Redemption Date” 3.08(a) “Successor Company” 5.01(a) “Successor Person” 5.01(c) “Transfer Agent” 2.03 “Treasury Capital Stock” 4.07(b) “Trustee Account” 4.01
Other Definitions. Defined in Term Section ---- ------- "Affiliate Transaction"............................................................. 4.11 "Asset Sale Offer".................................................................. 3.09 "Authentication Order".............................................................. 2.02 "
Other Definitions. As used in this Agreement, the following terms shall have the meanings set forth below: