Pricing Period. For purposes hereof, the "Pricing Period" shall mean, unless otherwise shortened under the terms of this Agreement, the period beginning on the Business Day immediately following the Put Date and ending on and including the date which is 20 Business Days after such Put Date; provided that, if a Put Cancellation Notice has been delivered to the Investor after the Put Date, the Pricing Period for such Put shall end at on the close of trading on the last full trading day on the Principal Market that ends prior to the moment of initial delivery of the Put Cancellation Notice (a "Truncated Pricing Period") to the Investor. For purposes of this Agreement:
Pricing Period. See Section 1.05.
Pricing Period. (a) Not used
Pricing Period. (a) If a Vulcan Triggered Follow-on Offering is consummated, M&J K B and XX-XX, acting together, shall, on the date selected by them during the period beginning on the date of consummation of the Vulcan Triggered Follow-on Offering (excluding any exercise of an overallotment option granted to the underwriters of such offering, if any) and ending on May 31, 2006, deliver an irrevocable written notice (the "Pricing Period Notice") to the other Contributing Members specifying the date of commencement of the Pricing Period. The Pricing Period shall in no event end later than May 31, 2006 unless there are fewer than 20 trading days between the date of such consummation of such Vulcan Triggered Follow-on Offering (or any overallotment option exercise in respect of such offering, if later) and May 31, 2006, in which case the Pricing Period shall end on the twentieth trading day after the date of such consummation of such offering or overallotment option, as the case may be. The Pricing Period Notice shall be delivered pursuant to this Section 3.02(a) at least three trading days prior to the first day of the Pricing Period. Notwithstanding anything herein to the contrary, in no event shall the Pricing Period end earlier than the date of consummation of the overallotment option, if any, relating to such Vulcan Triggered Follow-on Offering.
Pricing Period. (a) For Pipeline sales: As per Schedule G
(b) For Coastal sales: As per Schedule G.
Pricing Period. 4 PROPOSAL . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 40
Pricing Period. 5 Proposal . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 37
Pricing Period. See SECTION 1.02. -------------- PRICING RATIO. See SECTION 1.02. ------------- PROFORMA OPERATING CASH FLOW. For any three-month period, Operating Cash ----------------------------- Flow for such period plus pro forma Operating Cash Flow of any Subsidiaries --- ----- acquired, or generated by any assets acquired, during such period in Permitted Acquisitions, assuming such Permitted Acquisitions occurred on the first day of such period. The determination of "Operating Cash Flow" of any Subsidiary or assets acquired pursuant to a Permitted Acquisition, (1) shall be calculated in a manner consistent in all relevant respects with the method used to determine Operating Cash Flow hereunder and (2) shall account for only those items included in the definition of Operating Cash Flow hereunder that are directly attributable to such Subsidiary or assets and the operation thereof.
Pricing Period. The ten consecutive trading days ending on and including the third trading day preceding the Effective Date.
Pricing Period. The twenty consecutive trading days ending on and including the fifth trading day preceding the Effective Date, except that if prior to the fifth trading day preceding the Effective Date Zions Bancorp shall have publicly announced its entry into a definitive agreement providing for a change in control (which for purposes of this paragraph means a sale of more than 50 percent of the voting stock of Zions Bancorp to an unaffiliated person, or a sale of more than 50 percent of the voting stock of Zions First National Bank ("Zions Bank") to an unaffiliated person, or a merger or consolidation or a sale of all or substantially all of the assets of Zions Bancorp or Zions Bank with or to an unaffiliated person in a transaction in which individuals who constitute the board of directors of Zions Bancorp or Zions Bank, as the case may be, prior to the transaction cease to constitute at least a majority thereof following the transaction), then the Pricing Period shall be the twenty consecutive trading days ending on and including the trading day preceding such public announcement.