Common use of Reports by Property Trustee Clause in Contracts

Reports by Property Trustee. (a) Not later than 60 days following May 15 of each year commencing with May 15, 2000, the Property Trustee shall transmit to all Securityholders in accordance with Section 10.8, and to the Depositor, a brief report dated as of such May 15 with respect to: (i) its eligibility under Section 8.7 or, in lieu thereof, if to the best of its knowledge it has continued to be eligible under said Section, a written statement to such effect; and (ii) any change in the property and funds in its possession as Property Trustee since the date of its last report and any action taken by the Property Trustee in the performance of its duties hereunder which it has not previously reported and which in its opinion materially affects the Trust Securities. (b) In addition the Property Trustee shall transmit to Securityholders such reports concerning the Property Trustee and its actions under this Trust Agreement as may be required pursuant to the Trust Indenture Act at the times and in the manner provided pursuant thereto. (c) A copy of each such report shall, at the time of such transmission to Holders, be filed by the Property Trustee with each national stock exchange, the NASDAQ National Market or such other interdealer quotation system or self-regulatory organization upon which the Trust Securities are listed or traded (information regarding each such listing to be provided to the Property Trustee by the Depositor), with the Commission and with the Depositor.

Appears in 1 contract

Samples: Subordinated Indenture (Edison International)

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Reports by Property Trustee. (a) Not later than 60 days following May 15 [ ] of each year commencing with May 15, 2000[ ], the Property Trustee shall transmit to all Securityholders Holders in accordance with Section 10.8the Trust Indenture Act, and to the Depositor, a brief report dated as of such May 15 the immediately preceding December 31 with respect to: (i) its eligibility under Section 8.7 or, in lieu thereof, if to the best of its knowledge it has continued to be eligible under said Section, a written statement to such effect; (ii) a statement that the Property Trustee has complied with all of its obligations under this Trust Agreement during the twelve-month period (or, in the case of the initial report, the period since the Closing Date) ending with such December 31 or, if the Property Trustee has not complied in any material respect with such obligations, a description of such noncompliance; and (iiiii) any change in the property and funds in its possession as Property Trustee since the date of its last report and any action taken by the Property Trustee in the performance of its duties hereunder which it has not previously reported and which in its opinion materially affects the Trust Securities. (b) In addition addition, the Property Trustee shall transmit to Securityholders Holders such reports concerning the Property Trustee and its actions under this Trust Agreement as may be required pursuant to the Trust Indenture Act at the times and in the manner provided pursuant thereto. (c) A copy of each such report shall, at the time of such transmission to Holders, be filed by the Property Trustee with each national stock exchange, the NASDAQ National Market exchange or such other interdealer quotation system or self-regulatory organization upon which the Trust Preferred Securities are listed or traded (information regarding each such listing to be provided to the Property Trustee by the Depositor)quoted, if any, and with the Commission and with the Depositor.

Appears in 1 contract

Samples: Trust Agreement (Huntington Bancshares Inc/Md)

Reports by Property Trustee. (a) Not later than Within 60 days following after May 15 of each year commencing with May 15, 20001999, the Property Trustee shall transmit to all Securityholders Holders in accordance with Section 10.8, and to the Depositor, a brief report dated as of such the immediately preceding May 15 with respect to: (i) its eligibility under Section 8.7 or, in lieu thereof, if to the best of its knowledge it has continued to be eligible under said Section, a written statement to such effect; (ii) a statement that the Property Trustee has complied with all of its obligations under this Trust Agreement during the twelve-month period (or, in the case of the initial report, the period since the Closing Date) ending with such May 15 or, if the Property Trustee has not complied in any material respect with such obligations, a description of such noncompliance; and (iiiii) any change in the property and funds in its possession as Property Trustee since the date of its last report and any action taken by the Property Trustee in the performance of its duties hereunder which it has not previously reported and which in its opinion materially affects the Trust Securities. (b) In addition the Property Trustee shall transmit to Securityholders Holders such reports concerning the Property Trustee and its actions under this Trust Agreement as may be required pursuant to the Trust Indenture Act at the times and in the manner provided pursuant thereto. (c) A copy of each such report shall, at the time of such transmission to Holders, be filed by the Property Trustee with each national stock exchange, the NASDAQ National Market or such other interdealer quotation system or self-regulatory organization upon which the Trust Securities are listed or traded (information regarding each such listing to be provided to the Property Trustee by the Depositor), with the Commission and with the Depositor.

Appears in 1 contract

Samples: Trust Agreement (State Street Capital Trust Ii)

Reports by Property Trustee. (a) Not later than 60 days following May 15 January 31 of each year commencing with May 15January 31, 20001999, the Property Trustee shall transmit to all Securityholders in accordance with Section 10.81008, and to the Depositor, a brief report dated as of such May 15 the preceding December 31 with respect to: (i) its eligibility under Section 8.7 807 or, in lieu thereof, if to the best of its knowledge it has continued to be eligible under said Section, a written statement to such effect; and (ii) any change in the property and funds in its possession as Property Trustee since the date of its last report and any action taken by the Property Trustee in the performance of its duties hereunder which it has not previously reported and which in its opinion materially affects the Trust Securities. (b) In addition the Property Trustee shall transmit to Securityholders such reports concerning the Property Trustee and its actions under this Trust Agreement as may be required pursuant to the Trust Indenture Act at the times and in the manner provided pursuant thereto. (c) A copy of each such report shall, at the time of such transmission to Holders, be filed by the Property Trustee with each national stock exchange, the NASDAQ National Market securities exchange or such other interdealer quotation system or self-regulatory organization upon which the Trust Securities are listed or traded (information regarding each such listing to may be provided to the Property Trustee by the Depositor)listed, with the Commission and with the Depositor.

Appears in 1 contract

Samples: Trust Agreement (Mb Capital I)

Reports by Property Trustee. (a) Not later than Within 60 days following of May 15 of each year commencing with May 15, 20002008, the Property Trustee shall transmit to all Securityholders Holders in accordance with Section 10.8, and to the Depositor, a brief report dated as of such the immediately preceding May 15 with respect to: (i) its eligibility under Section 8.7 or, in lieu thereof, if to the best of its knowledge it has continued to be eligible under said Section, a written statement to such effect; and (ii) any change in the property and funds in its possession as Property Trustee since the date of its last report and any action taken by the Property Trustee in the performance of its duties hereunder which it has not previously reported and which in its opinion materially affects the Trust Securities, if any. (b) In addition addition, the Property Trustee shall transmit to Securityholders Holders such reports concerning the Property Trustee and its actions under this Trust Agreement as may be required pursuant to the Trust Indenture Act at the times and in the manner provided pursuant theretothereto as set forth in Section 10.10 of this Trust Agreement. (c) A copy of each such report shall, at the time of such transmission to Holders, be filed by the Property Trustee with each national stock exchange, the NASDAQ National Market exchange or such other interdealer quotation system or self-self regulatory organization upon which the Trust Capital Securities are listed or traded (information regarding each such listing to be provided to the Property Trustee by the Depositor)quoted, with the Commission if any, and with the DepositorCommission, the Depositor and the relevant stock exchange or self regulatory organization.

Appears in 1 contract

Samples: Trust Agreement (M&t Bank Corp)

Reports by Property Trustee. (a) Not later than 60 days following May 15 January 31 of each year commencing with May 15January 31, 20001999, the Property Trustee shall transmit to all Securityholders Security holders in accordance with Section 10.81008, and to the Depositor, a brief report dated as of such May 15 the preceding December 31 with respect to: (i) its eligibility under Section 8.7 807 or, in lieu thereof, if to the best of its knowledge it has continued to be eligible under said Section, a written statement to such effect; and (ii) any change in the property and funds in its possession as Property Trustee since the date of its last report and any action taken by the Property Trustee in the performance of its duties hereunder which it has not previously reported and which in its opinion materially affects the Trust Securities. (b) In addition the Property Trustee shall transmit to Securityholders Security holders such reports concerning the Property Trustee and its actions under this Trust Agreement as may be required pursuant to the Trust Indenture Act at the times and in the manner provided pursuant thereto. (c) A copy of each such report shall, at the time of such transmission to Holders, be filed by the Property Trustee with each national stock exchange, the NASDAQ National Market securities exchange or such other interdealer quotation system or self-regulatory organization upon which the Trust Securities are listed or traded (information regarding each such listing to may be provided to the Property Trustee by the Depositor)listed, with the Commission and with the Depositor.

Appears in 1 contract

Samples: Trust Agreement (Fw Capital I)

Reports by Property Trustee. (a) Not later than 60 days following May 15 after December 31 of each year commencing with May 15December 31, 2000199 , the Property Trustee shall transmit to all Securityholders in accordance with Section 10.8, and to the Depositor, a brief report dated as of such May 15 the immediately preceding December 31 with respect to: (i) its eligibility under Section 8.7 or, in lieu thereof, if to the best of its knowledge it has continued to be eligible under said Section, a written statement to such effect; and (ii) any change in the property and funds in its possession as Property Trustee since the date of its last report and any action taken by the Property Trustee in the performance of its duties hereunder which it has not previously reported and which in its opinion materially affects the Trust Securities. (b) In addition the Property Trustee shall transmit to Securityholders such reports concerning the Property Trustee and its actions under this Trust Agreement as may be required pursuant to the Trust Indenture Act at the times and in the manner provided pursuant thereto. (c) A copy of each such report shall, at the time of such transmission to Holders, be filed by the Property Trustee with each national stock exchange, the NASDAQ Nasdaq National Market or such other interdealer quotation system or self-regulatory organization upon which the Trust Securities are listed or traded (information regarding each such listing to be provided to the Property Trustee by the Depositor)traded, with the Commission and with the Depositor.

Appears in 1 contract

Samples: Trust Agreement (Bankamerica Capital Viii)

Reports by Property Trustee. (a) Not later than Within 60 days following after May 15 of each year commencing with May 15, 20002004, the Property Trustee shall transmit to all Securityholders in accordance with Section 10.8, and to the Depositor, a brief report dated as of such May 15 with respect to: (i) its eligibility under Section 8.7 or, in lieu thereof, if to the best of its knowledge it has continued to be eligible under said Section, a written statement to such effect; (ii) a statement that the Property Trustee has complied with all of its obligations under this Trust Agreement during the twelve-month period (or, in the case of the initial report, the period since the Closing Date) ending with such May 15 or, if the Property Trustee has not complied in any material respect with such obligations, a description of such noncompliance; and (iiiii) any change in the property and funds in its possession as Property Trustee since the date of its last report and any action taken by the Property Trustee in the performance of its duties hereunder which it has not previously reported and which in its opinion materially affects the Trust Securities. (b) In addition the Property Trustee shall transmit to Securityholders such reports concerning the Property Trustee and its actions under this Trust Agreement as may be required pursuant to the Trust Indenture Act at the times and in the manner provided pursuant thereto. (c) A copy of each such report shall, at the time of such transmission to Holders, be filed by the Property Trustee with each national stock exchange, the NASDAQ Nasdaq National Market or such other interdealer quotation system or self-self- regulatory organization upon which the Trust Securities are listed or traded (information regarding each such listing to be provided to the Property Trustee by the Depositor)traded, with the Commission and with the Depositor.

Appears in 1 contract

Samples: Trust Agreement (Lincoln National Corp)

Reports by Property Trustee. (a) Not If required pursuant to the Trust Indenture Act, not later than 60 days following May July 15 of each year commencing with May 15, 2000year, the Property Trustee shall transmit to all Securityholders Holders in accordance with Section 10.8, and to the Depositor, a brief report dated as of such May 15 December 31 with respect to: (i) its eligibility under Section 8.7 or, in lieu thereof, if to the best of its knowledge it has continued to be eligible under said Section, a written statement to such effect; and (ii) any change in the property and funds in its possession as Property Trustee since the date of its last report and any action taken by the Property Trustee in the performance of its duties hereunder which it has not previously reported and which in its opinion materially affects the Trust Securities. (b) In addition the Property Trustee shall transmit to Securityholders Holders such reports concerning the Property Trustee and its actions under this Trust Agreement as may be required pursuant to the Trust Indenture Act at the times and in the manner provided pursuant thereto. (c) A copy of each such report shall, at the time of such transmission to Holders, be filed by the Property Trustee with the American Stock Exchange, Inc. and each national stock exchange, the NASDAQ National Market securities exchange or such other interdealer quotation system or self-regulatory organization upon which the Trust Securities are listed or traded (information regarding each such listing to be provided to the Property Trustee by the Depositor)listed, if any, and also with the Commission and with the Depositor.

Appears in 1 contract

Samples: Trust Agreement (Franklin Capital Trust I)

Reports by Property Trustee. (a) Not later than 60 days following May July 15 of each year commencing with May July 15, 20001997, the Property Trustee shall transmit to all Securityholders in accordance with Section 10.81008, and to the Depositor, a brief report dated as of such the preceding May 15 with respect to: (i) its eligibility under Section 8.7 807 or, in lieu thereof, if to the best of its knowledge it has continued to be eligible under said Section, a written statement to such effect; and (ii) any change in the property and funds in its possession as Property Trustee since the date of its last report and any action taken by the Property Trustee in the performance of its duties hereunder which it has not previously reported and which in its opinion materially affects the Trust Securities. (b) In addition the Property Trustee shall transmit to Securityholders such reports concerning the Property Trustee and its actions under this Trust Agreement as may be required pursuant to the Trust Indenture Act at the times and in the manner provided pursuant thereto. (c) A copy of each such report shall, at the time of such transmission to Holders, be filed by the Property Trustee with each national stock exchange, the NASDAQ National Market securities exchange or such other interdealer quotation system or self-regulatory organization upon which the Trust Securities are listed or traded (information regarding each such listing to may be provided to the Property Trustee by the Depositor)listed, with the Commission and with the Depositor.

Appears in 1 contract

Samples: Trust Agreement (United Community Bancshares Inc)

Reports by Property Trustee. (a) Not later than Within 60 days following after May 15 of each year commencing with May 15, 20002003, the Property Trustee shall transmit to all Securityholders Holders in accordance with Section 10.8, and to the Depositor, a brief report dated as of such the immediately preceding May 15 with respect to: (i) its eligibility under Section 8.7 or, in lieu thereof, if to the best of its knowledge it has continued to be eligible under said Section, a written statement to such effect; (ii) a statement that the Property Trustee has complied with all of its obligations under this Trust Agreement during the twelve-month period (or, in the case of the initial report, the period since the Closing Date) ending with such May 15 or, if the Property Trustee has not complied in any material respect with such obligations, a description of such noncompliance; and (iiiii) any change in the property and funds in its possession as Property Trustee since the date of its last report and any action taken by the Property Trustee in the performance of its duties hereunder which it has not previously reported and which in its opinion materially affects the Trust Securities. (b) In addition addition, the Property Trustee shall transmit to Securityholders Holders such reports concerning the Property Trustee and its actions under this Trust Agreement as may be required pursuant to the Trust Indenture Act at the times and in the manner provided pursuant thereto. (c) A copy of each such report shall, at the time of such transmission to Holders, be filed by the Property Trustee with each national stock exchange, the NASDAQ National Market or such other interdealer quotation system or self-regulatory organization upon which the Trust Securities are listed or traded (information regarding each such listing to be provided to the Property Trustee by the Depositor), with the Commission and with the Depositor.

Appears in 1 contract

Samples: Trust Agreement (State Street Corp)

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Reports by Property Trustee. (a) Not later than 60 days following May 15 January 31 of each year commencing with May 15January 31, 20002002, the Property Trustee shall transmit to all Securityholders Security holders in accordance with Section 10.81008, and to the Depositor, a brief report dated as of such May 15 the preceding December 31 with respect to: (i) its eligibility under Section 8.7 807 or, in lieu thereof, if to the best of its knowledge it has continued to be eligible under said Section, a written statement to such effect; and (ii) any change in the property and funds in its possession as Property Trustee since the date of its last report and any action taken by the Property Trustee in the performance of its duties hereunder which it has not previously reported and which in its opinion materially affects the Trust Securities. (b) In addition the Property Trustee shall transmit to Securityholders Security holders such reports concerning the Property Trustee and its actions under this Trust Agreement as may be required pursuant to the Trust Indenture Act at the times and in the manner provided pursuant thereto. (c) A copy of each such report shall, at the time of such transmission to Holders, be filed by the Property Trustee with each national stock exchange, the NASDAQ National Market securities exchange or such other interdealer quotation system or self-regulatory organization upon which the Trust Securities are listed or traded (information regarding each such listing to may be provided to the Property Trustee by the Depositor)listed, with the Commission and with the Depositor.

Appears in 1 contract

Samples: Trust Agreement (Spectrum Capital Trust Ii)

Reports by Property Trustee. (a) Not later than 60 days following May 15 February 28 of each year (commencing with May 15, 2000in 2010), the Property Trustee shall transmit to all Securityholders Holders in accordance with Section 10.8, and to the Depositor, a brief report dated as of such May 15 the immediately preceding December 31 with respect to: (i) its eligibility under Section 8.7 or, in lieu thereof, if to the best of its knowledge it has continued to be eligible under said Section, a written statement to such effect; (ii) a statement that the Property Trustee has complied with all of its obligations under this Trust Agreement during the twelve-month period (or, in the case of the initial report, the period since the Effective Time) ending with such December 31 or, if the Property Trustee has not complied in any material respect with such obligations, a description of such noncompliance; and (iiiii) any change in the property and funds in its possession as Property Trustee since the date of its last report and any action taken by the Property Trustee in the performance of its duties hereunder which it has not previously reported and which in its opinion materially affects the Trust Securities. (b) In addition the Property Trustee shall transmit to Securityholders Holders such reports concerning the Property Trustee and its actions under this Trust Agreement as may be required pursuant to the Trust Indenture Act at the times and in the manner provided pursuant thereto. (c) A copy of each such report shall, at the time of such transmission to Holders, be filed by the Property Trustee with each national stock exchange, the NASDAQ Nasdaq National Market or such other interdealer quotation system or self-regulatory organization upon which the Trust Securities are listed or traded (information regarding each such listing to be provided to the Property Trustee by the Depositor)traded, with the Commission and with the Depositor.

Appears in 1 contract

Samples: Trust Agreement (Popular Inc)

Reports by Property Trustee. (a) Not later than 60 days following May July 15 of each year commencing with May July 15, 20002001, the Property Trustee shall transmit to all Securityholders in accordance with Section 10.81008, and to the Depositor, a brief report dated as of such May 15 with respect to: (i) its eligibility under Section 8.7 807 or, in lieu thereof, if to the best of its knowledge it has continued to be eligible under said Section, a written statement to such effect; and (ii) any change in the property and funds in its possession as Property Trustee since the date of its last report and any action taken by the Property Trustee in the performance of its duties hereunder which it has not previously reported and which in its opinion materially affects the Trust Securities. (b) In addition addition, the Property Trustee shall transmit to Securityholders such reports concerning the Property Trustee and its actions under this Trust Agreement as may be required pursuant to the Trust Indenture Act at the times and in the manner provided pursuant thereto, as set forth in Section 1010 of this Trust Agreement. (c) A copy of each such report shall, at the time of such transmission to Holders, be filed by the Property Trustee with the American Stock Exchange, and each national stock exchange, the NASDAQ National Market securities exchange or such other interdealer quotation system or self-regulatory organization upon which the Trust Securities are listed or traded (information regarding each such listing to be provided to the Property Trustee by the Depositor)listed, and also with the Commission and with the Depositor.

Appears in 1 contract

Samples: Trust Agreement (Front Range Capital Trust I)

Reports by Property Trustee. (a) Not later than 60 days following May 15 1 of each year commencing with May 151, 2000, the Property Trustee shall transmit to all Securityholders Holders in accordance with Section 10.810.9, and to the Depositor, a brief report report, dated as of such May 15 the immediately preceding December 31 with respect to: (i) its eligibility under Section 8.7 or, in lieu thereof, if to the best of its knowledge it has continued to be eligible under said Section, a written statement to such effect; (ii) a statement that the Property Trustee has complied with all of its obligations under this Trust Agreement during the twelve-month period (or, in the case of the initial report, the period since the Closing Date) ending with such December 31 or, if the Property Trustee has not complied in any material respect with such obligations, a description of such noncompliance; and (iiiii) any change in the property and funds in its possession as Property Trustee since the date of its last report and any action taken by the Property Trustee in the performance of its duties hereunder which it has not previously reported and which in its opinion materially affects the Trust Securities. (b) In addition the Property Trustee shall transmit to Securityholders Holders such reports concerning the Property Trustee and its actions under this Trust Agreement as may be required pursuant to the Trust Indenture Act at the times and in the manner provided pursuant thereto. (c) A copy of each such report shall, at the time of such transmission to Holders, be filed by the Property Trustee with each national stock exchange, the NASDAQ Nasdaq National Market or such other interdealer quotation system or self-regulatory organization upon which the Trust Securities are listed or traded (information regarding each such listing to be provided to the Property Trustee by the Depositor)traded, if any, with the Commission and with the Depositor.

Appears in 1 contract

Samples: Trust Agreement (CSC Capital Iii)

Reports by Property Trustee. (a) Not later than 60 days following May July 15 of each year commencing with May July 15, 20001997, the Property Trustee shall transmit to all Securityholders in accordance with Section 10.81008, and to the Depositor, a brief report dated as of such May 15 with respect to: (i) its eligibility under Section 8.7 807 or, in lieu thereof, if to the best of its knowledge it has continued to be eligible under said Section, a written statement to such effect; and (ii) any change in the property and funds in its possession as Property Trustee since the date of its last report and any action taken by the Property Trustee in the performance of its duties hereunder which it has not previously reported and which in its opinion materially affects the Trust Securities. (b) In addition the Property Trustee shall transmit to Securityholders such reports concerning the Property Trustee and its actions under this Trust Agreement as may be required pursuant to the Trust Indenture Act at the times and in the manner provided pursuant thereto. (c) A copy of each such report shall, at the time of such transmission to Holders, be filed by the Property Trustee with The Nasdaq Stock Market's National Market, and each national stock exchange, the NASDAQ National Market securities exchange or such other interdealer quotation system or self-regulatory organization upon which the Trust Securities are listed or traded (information regarding each such listing to be provided to the Property Trustee by the Depositor)listed, and also with the Commission and with the Depositor.

Appears in 1 contract

Samples: Trust Agreement (1st Source Capital Trust Ii)

Reports by Property Trustee. (a) Not later than 60 days following May 15 January 31 of each year commencing with May 15January 31, 20001998, the Property Trustee shall transmit to all Securityholders in accordance with Section 10.81008, and to the Depositor, a brief report dated as of such May 15 the preceding December 31 with respect to: (i) its eligibility under Section 8.7 807 or, in lieu thereof, if to the best of its knowledge it has continued to be eligible under said Section, a written statement to such effect; and (ii) any change in the property and funds in its possession as Property Trustee since the date of its last report and any action taken by the Property Trustee in the performance of its duties hereunder which it has not previously reported and which in its opinion materially affects the Trust Securities. (b) In addition the Property Trustee shall transmit to Securityholders such reports concerning the Property Trustee and its actions under this Trust Agreement as may be required pursuant to the Trust Indenture Act at the times and in the manner provided pursuant thereto. (c) A copy of each such report shall, at the time of such transmission to Holders, be filed by the Property Trustee with each national stock exchange, the NASDAQ National Market securities exchange or such other interdealer quotation system or self-regulatory organization upon which the Trust Securities are listed or traded (information regarding each such listing to may be provided to the Property Trustee by the Depositor)listed, with the Commission and with the Depositor.

Appears in 1 contract

Samples: Trust Agreement (Community First Bankshares Inc)

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