SEC Notice Sample Clauses

SEC Notice. The Corporation confirms that as at the date of execution of this Indenture it does not have a class of securities registered pursuant to Section 12 of the U.S. Securities Exchange Act or have a reporting obligation pursuant to Section 15(d) of the U.S. Securities Exchange Act. The Corporation covenants that in the event that:
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SEC Notice. The Corporation confirms that it has a class of securities registered pursuant to Section 12 of the U.S. Securities Exchange Act or has a reporting obligation pursuant to Section 13(a) or 15(d) of the U.S. Securities Exchange Act and has provided the Trustee with an Officers' Certificate (in a form provided by the Trustee) certifying such reporting obligation and other information as requested by the Trustee. The Corporation covenants that in the event that any such registration or reporting obligation shall be terminated by the Corporation in accordance with the U.S. Securities Exchange Act, the Corporation shall promptly notify the Trustee of such termination and such other information as the Trustee may require at the time. The Corporation acknowledges that Computershare is relying upon the foregoing representation and covenants in order to meet certain SEC obligations with respect to those clients who are filing with the SEC.
SEC Notice. The Corporation covenants that, in the event that it shall begin, or cease, to file as a “foreign issuer” within the U.S. Securities and Exchange Commission, the Corporation shall promptly deliver to the Trustee an Officers’ Certificate (in a form provided by the Trustee) certifying such status and other information as the Trustee may reasonably require at such given time.
SEC Notice. The Corporation confirms that as at the date of execution of this Indenture it does not have a class of securities registered pursuant to Section 12 of the United States Securities Exchange Act of 1934, as amended, or have a reporting obligation pursuant to Section 15(d) of the United States Securities Exchange Act of 1934, as amended. The Corporation covenants that, in the event that it shall begin, or thereafter cease, to file as a “foreign issuer” with the U.S. Securities and Exchange Commission, the Corporation shall promptly deliver to the Trustee an Officers’ Certificate certifying such status and other information as the Trustee may reasonably require at such given time.
SEC Notice. The Corporation confirms that as at the date of execution of this Indenture it does not have a class of securities registered pursuant to Section 12 of the United States Securities Exchange Act or have a reporting obligation pursuant to Section 15(d) of the United States Securities Exchange Act. The Corporation covenants that in the event that (i) any class of its securities shall become registered pursuant to Section 12 of the United States Securities Exchange Act or the Corporation shall incur a reporting obligation pursuant to Section 15(d) of the United States Securities Exchange Act, or (ii) any such registration or reporting obligation shall be terminated by the Corporation in accordance with the United States Securities Exchange Act, the Corporation shall promptly deliver to the Trustee an Officers’ notifying the Trustee of such registration or termination and such other information as the Trustee may require at the time. The Corporation acknowledges that the Trustee is relying upon the foregoing representation and covenants in order to meet certain Securities and Exchange Commission obligations with respect to those clients who are filing with the Securities and Exchange Commission.
SEC Notice. The Corporation represents and warrants that it does not and is not required to file reports with the U.S. Securities and Exchange Commission (“SEC”) pursuant to Section 13(a) or 15(d) of the United States Securities Exchange Act of 1934, as amended, and covenants that, in the event that it shall begin to so file, the Corporation shall promptly deliver to the Trustee an Officer’s Certificate (in a form provided by the Trustee) certifying such “reporting issuer” status and such other information as the Trustee may reasonably require.
SEC Notice. The Corporation confirms that it has a class of securities registered pursuant to Section 12 of the U.S. Exchange Act. The Corporation covenants that in the event that such registration shall be terminated by the Corporation in accordance with the U.S. Exchange Act, the Corporation shall promptly notify the Trustee of such termination and such other information as the Trustee may require at such time. The Corporation acknowledges that the Trustee is relying upon the foregoing representation and covenants in order to meet certain United States Securities and Exchange Commission obligations applicable to the Trustee.
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SEC Notice. The Trust covenants that, in the event that any class of its securities shall become registered pursuant to Section 12 of the U.S. Securities Exchange Act of 1934, as amended, the Trust shall promptly deliver to the Trustee an Officers' Certificate (in a form provided by the Trustee) certifying such status and other information as the Trustee may reasonably require at such given time.
SEC Notice. The Corporation confirms that as at the date of execution of this Indenture it does not have a class of securities registered pursuant to Section 12 of the United States Securities Exchange Act or have a reporting obligation pursuant to Section 15(d) of the United States Securities Exchange Act. The Corporation further represents and warrants that it is not filing with the SEC as a Foreign Private Issuer (as such term is defined in the Securities Exchange 1934 Act) and covenants that, in the event that it shall begin to file as a Foreign Private Issuer, the Corporation shall promptly deliver to the Trustee an Officers’ Certificate (in a form provided by the Trustee) certifying such “reporting issuer” status and such other information as the Trustee may require at such given time including, but not limited to, the Central Index Key that has been assigned for filing purposes. The Corporation covenants that in the event that (i) any class of its securities shall become registered pursuant to Section 12 of the United States Securities Exchange Act or the Corporation shall incur a reporting obligation pursuant to Section 15(d) of the United States Securities Exchange Act, or (ii) any such registration or reporting obligation shall be terminated by the Corporation in accordance with the United States Securities Exchange Act, the Corporation shall promptly deliver to the Trustee an Officers’ Certificate of the Corporation notifying the Trustee of such registration or termination and such other information as the Trustee may require at the time. The Corporation acknowledges that the Trustee is relying upon the foregoing representation and covenants in order to meet certain SEC obligations with respect to those clients who are filing with the SEC.
SEC Notice. The Corporation confirms that as at the date of execution of this Indenture it does not have a class of securities registered pursuant to section 12 of the 1934 Act and does not have a reporting obligation pursuant to section 15(d) of the 1934 Act. The Corporation covenants that, in the event that it shall begin, or thereafter cease, to be a Foreign Issuer, the Corporation shall promptly deliver to the Trustee an Officers' Certificate certifying such status and other information as the Trustee may reasonably require at such given time. The Corporation confirms that it will not pay or give any commission or other remuneration to any person, directly or indirectly, for soliciting the conversion of the Debentures.
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