Redemption of Securities and Sinking Fund Provisions Sample Clauses

Redemption of Securities and Sinking Fund Provisions. 13 SECTION 3.01 Redemption........................................................................13 SECTION 3.02
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Redemption of Securities and Sinking Fund Provisions. SECTION 3.01. The Company may redeem the Securities of any series issued hereunder on and after the dates and in accordance with the terms established for such series pursuant to Section 2.01 hereof. (a) In case the Company shall desire to exercise such right to redeem all or, as the case may be, a portion of the Securities of any series in accordance with the right reserved so to do, it shall give notice of such redemption to holders of the Securities of such series to be redeemed by mailing, first class postage prepaid, a notice of such redemption not less than 30 days and not more than 60 days before the date fixed for redemption of that series to such holders at their last addresses as they shall appear upon the Security Register. Any notice which is mailed in the manner herein provided shall be conclusively presumed to have been duly given, whether or not the registered holder receives the notice. In any case, failure duly to give such notice to the holder of any Security of any series designated for redemption in whole or in part, or any defect in the notice, shall not affect the validity of the proceedings for the redemption of any other Securities of such series or any other series. In the case of any redemption of Securities prior to the expiration of any restriction on such redemption or subject to compliance with certain conditions provided in the terms of such Securities or elsewhere in this Indenture, the Company shall furnish the Trustee with an Officers' Certificate evidencing compliance with any such restriction or condition. Unless otherwise so provided as to a particular series of Securities, if at the time of mailing of any notice of redemption the Company shall not have deposited with the paying agent an amount in cash sufficient to redeem all of the Securities called for redemption, including accrued interest to the date fixed for redemption, such notice shall state that it is subject to the receipt of redemption moneys by the paying agent on or before the date fixed for redemption (unless such redemption is mandatory) and such notice shall be of no effect unless such moneys are so received on or before such date. Each such notice of redemption shall identify the Securities to be redeemed (including CUSIP numbers, if any), specify the date fixed for redemption and the redemption price at which Securities of that series are to be redeemed, and shall state that payment of the redemption price of such Securities to be redeemed will be mad...
Redemption of Securities and Sinking Fund Provisions. Section 3.1
Redemption of Securities and Sinking Fund Provisions. Section 3.01 Redemption Section 3.02 Notice of Redemption Section 3.03 Payment Upon Redemption
Redemption of Securities and Sinking Fund Provisions. The Company may redeem the Securities of any series issued hereunder on and after the dates and in accordance with the terms established for such series pursuant to Section 2.01 hereof.
Redemption of Securities and Sinking Fund Provisions. Section 3.01 Redemption 11 Section 3.02 Notice of Redemption 11 Section 3.03 Payment Upon Redemption 12 Section 3.04 Sinking Fund 13 Section 3.05 Satisfaction of Sinking Fund Payments with Securities 13 Section 3.06 Redemption of Securities for Sinking Fund 13
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Redemption of Securities and Sinking Fund Provisions. The provisions of Article III of the Base Indenture shall not apply to the Notes, and Article 13 shall apply in lieu thereof.
Redemption of Securities and Sinking Fund Provisions. 16 Section 3.01 Redemption 16 Section 3.02 Notice of Redemption 16 Section 3.03 Payment Upon Redemption 17 Section 3.04 Sinking Fund 17 Section 3.05 Satisfaction of Sinking Fund Payments with Securities 18 Section 3.06 Redemption of Securities for Sinking Fund 18 ARTICLE 4 COVENANTS 18 Section 4.01 Payment of Principal, Premium and Interest 18 Section 4.02 Maintenance of Office or Agency 19 Section 4.03 Paying Agents 19 Section 4.04 Appointment to Fill Vacancy in Office of Trustee 20 Page
Redemption of Securities and Sinking Fund Provisions. 12 Section 3.01 Redemption............................................................................................................ 12 Section 3.02 Notice of Redemption............................................................................................. 12 Section 3.03 Payment Upon Redemption................................................................................... 13 Section 3.04 Sinking Fund.......................................................................................................... 13 Section 3.05 Satisfaction of Sinking Fund Payments with Securities......................................... 14 Section 3.06 Redemption of Securities for Sinking Fund............................................................ 14 Article 4 COVENANTS................................................................................................................... 14 Section 4.01 Payment of Principal, Premium and Interest.......................................................... 14 Section 4.02 Maintenance of Office or Agency........................................................................... 15 Section 4.03 Paying Agents........................................................................................................ 15 Section 4.04 Appointment to Fill Vacancy in Office of Trustee.................................................... 16 Article 5 SECURITYHOLDERS’ LISTS AND REPORTS BY THE COMPANY AND THE TRUSTEE......................................................................................................................... 16 Section 5.01 Company to Furnish Trustee Names and Addresses of Securityholders............... 16 Section 5.02 Preservation Of Information; Communications With Securityholders.................... 16 Section 5.03 Reports by the Company........................................................................................ 16 Section 5.04 Reports by the Trustee........................................................................................... 17 Article 6 REMEDIES OF THE TRUSTEE AND SECURITYHOLDERS ON EVENT OF DEFAULT.......................................................................................................................... 17 Section 6.01 Events of Default.................................................................................................... 17 Section 6.02 Collection of Indebtedness and Suits for Enforcement by Trustee........................ 19 Section 6.03 Application...
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