Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the third business day after the Trade Date, Settlement Procedures “A” through “H” set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:
Appears in 22 contracts
Samples: Distribution Agreement (Goldman Sachs Capital VI), Distribution Agreement (Goldman Sachs Capital VI), Distribution Agreement (Goldman Sachs Capital VI)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the third business day after the Trade Date, Settlement Procedures “A” through “HI” set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:
Appears in 15 contracts
Samples: Distribution Agreement (GS Finance Corp.), Distribution Agreement (GS Finance Corp.), Distribution Agreement (Zions Bancorporation /Ut/)
Settlement Procedure Timetable. For orders of offers to purchase Book-Entry Securities solicited by a Selling Agent or made by a Purchasing Agent, as the case may be, and accepted by the Company for settlement on the third business day first Business Day after the Trade Date, Settlement Procedures “A” through “HK” set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:
Appears in 11 contracts
Samples: Distribution Agreement (Wells Fargo & Company/Mn), Distribution Agreement (Wells Fargo & Company/Mn), Distribution Agreement (Wells Fargo & Company/Mn)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the third business day Business Day after the Trade Date, Settlement Procedures “"A” " through “H” "I" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:
Appears in 5 contracts
Samples: Distribution Agreement (Eaton Corp), Distribution Agreement (Commercial Metals Co), Distribution Agreement (Indiana Gas Co Inc)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company Bank for settlement on the third business day Business Day after the Trade Date, Settlement Procedures “A” through “HI” set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:
Appears in 5 contracts
Samples: Distribution Agreement (Bank of Montreal /Can/), Distribution Agreement (Bank of Montreal /Can/), Distribution Agreement (Bank of Montreal /Can/)
Settlement Procedure Timetable. For orders of offers to purchase Book-Entry Securities solicited by a Selling Agent or made by a Purchasing Agent, as the case may be, and accepted by the Company for settlement on the third business day first Business Day after the Trade Date, Settlement Procedures “A” through “HK” set forth above shall be completed as soon as possible possible, but not later than the respective times (New York City timeTime) set forth below:
Appears in 3 contracts
Samples: Distribution Agreement (Wells Fargo & Company/Mn), Distribution Agreement (Wells Fargo & Company/Mn), Distribution Agreement (Wells Fargo & Company/Mn)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the third business day Business Day after the Trade Date, Settlement Procedures “A” through “HI” set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:
Appears in 3 contracts
Samples: Distribution Agreement (Eaton Corp), Distribution Agreement (3m Co), Distribution Agreement (American International Group Inc)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent an Agent, as agent, and accepted by the Company for settlement on the third business day first Business Day after the Trade Datesale date, Settlement Procedures “"A” " through “H” "I" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: Settlement Procedure Time
Appears in 3 contracts
Samples: Distribution Agreement (PHH Corp), Distribution Agreement (PHH Corp), Distribution Agreement (PHH Corp)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the third business day fifth Business Day after the Trade Date, Settlement Procedures “"A” " through “H” "I" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: SETTLEMENT PROCEDURE TIME --------- ----
Appears in 2 contracts
Samples: Distribution Agreement (Willamette Industries Inc), Distribution Agreement (Reynolds & Reynolds Co)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent an Agent, as agent, and accepted by the Company for settlement on the third business day first Business Day after the Trade Datesale date, Settlement Procedures “"A” " through “H” "I" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: Settlement Procedure Time ---------- ----
Appears in 2 contracts
Samples: Distribution Agreement (PHH Corp), Distribution Agreement (PHH Corp)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the third business day after the Trade Date, Settlement Procedures “A” through “H” set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: Settlement Procedure Time
Appears in 2 contracts
Samples: Distribution Agreement, Distribution Agreement
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the third business day after the Trade Date, Settlement Procedures “"A” " through “H” "I" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: A 5:00 p.m. on the business day following the Trade Date or 10:00 a.m. on the business day prior to the Settlement Date, whichever is earlier B 12:00 noon on the second business day immediately preceding the Settlement Date
Appears in 2 contracts
Samples: Distribution Agreement (Goldman Sachs Group Inc), Distribution Agreement (Goldman Sachs Group Inc)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the third business day after the Trade Date, Settlement Procedures “"A” " through “H” "I" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: Settlement Procedure Time --------- ----
Appears in 2 contracts
Samples: Distribution Agreement (Goldman Sachs Group Inc/), Distribution Agreement (Universal Corp /Va/)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the third business day after the Trade Date, Settlement Procedures “"A” " through “H” "I" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:
Appears in 2 contracts
Samples: Distribution Agreement (Zions Bancorporation /Ut/), Distribution Agreement (Universal Corp /Va/)
Settlement Procedure Timetable. For orders of offers to purchase Book-Entry Securities solicited by a Selling Agent or made by a Purchasing Agent, as the case may be, and accepted by the Company for settlement on the third business day first Business Day after the Trade Date, Settlement Procedures “A” through “HK” set forth above shall be completed as soon as possible possible, but not later than the respective times (New York City time) set forth below:
Appears in 2 contracts
Samples: Distribution Agreement (Wells Fargo & Company/Mn), Distribution Agreement (Wells Fargo & Company/Mn)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company Bank for settlement on the third business day after the Trade Date, Settlement Procedures “A” through “HI” set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:
Appears in 2 contracts
Samples: Distribution Agreement (Barclays Bank PLC /Eng/), Distribution Agreement (Barclays PLC)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company GTE for settlement on the third business day Business Day after the Trade Date, Settlement Procedures “"A” " through “H” "I" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: Settlement Procedure Time
Appears in 2 contracts
Samples: Distribution Agreement (Gte Corp), Distribution Agreement (Gte Corp)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent an Agent, as agent, and accepted by the Company for settlement on the third business day first Business Day after the Trade Datesale date, Settlement Procedures “"A” " through “H” "I" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:
Appears in 1 contract
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the third business day after the Trade Date, Settlement Procedures “A” through “HG” set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:
Appears in 1 contract
Settlement Procedure Timetable. For orders of Book-Entry Securities Notes solicited by a Selling Agent and accepted by the Company Bank for settlement on the third business day after the Trade Date, Settlement Procedures “A” through “HI” set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:
Appears in 1 contract
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the third business day Business Day after the Trade Date, Settlement Procedures “A” through “HJ” set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: A-B 3:00 p.m. on the Trade Date
Appears in 1 contract
Samples: Distribution Agreement (Bbva Compass Bancshares, Inc)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling an Agent as agent, and accepted by the Company for settlement on the third business day first Business Day after the Trade Datesale date, Settlement Procedures “"A” " through “H” "I" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: Settlement Procedure Time
Appears in 1 contract
Samples: Distribution Agreement (Marshall & Ilsley Corp/Wi/)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the third business day Business Day after the Trade Date, Settlement Procedures “"A” " through “H” "I" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: Settlement Time Procedure --------------------------- -------------------------------------------------------------------------
Appears in 1 contract
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company Bank for settlement on the third business day after the Trade Date, Settlement Procedures “A” through “HI” set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: Settlement Procedure Time
Appears in 1 contract
Samples: Distribution Agreement
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the third business day after the Trade Date, Settlement Procedures “"A” " through “H” "I" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: Settlement Procedure Time A 5:00 p.m. on the business day following the Trade Date or 10:00 a.m. on the business day prior to the Settlement Date, whichever is earlier
Appears in 1 contract
Samples: Distribution Agreement (Ubs Preferred Funding Trust Iv)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the third first business day after the Trade Date, Settlement Procedures “"A” " through “H” "I" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: SETTLEMENT PROCEDURE TIME ---------- ----
Appears in 1 contract
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company Issuing Bank for settlement on the third business day Business Day after the Trade Date, Settlement Procedures “A” through “HI” set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: Settlement Procedure Time
Appears in 1 contract
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling an Agent as agent, and accepted by the Company for settlement on the third business day first Business Day after the Trade Datesale date, Settlement Procedures “A” through “HI” set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: Settlement Procedure Time
Appears in 1 contract
Samples: Distribution Agreement (Marshall & Ilsley Corp/Wi/)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the third business day after the Trade Date, Settlement Procedures “"A” " through “H” "I" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: SETTLEMENT PROCEDURE TIME --------- ----
Appears in 1 contract
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the third business day Business Day after the Trade Date, Settlement Procedures “A” through “HI” set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: SETTLEMENT PROCEDURE TIME
Appears in 1 contract
Samples: Distribution Agreement (American International Group Inc)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the fourth Business Day, if permitted under Rule 15c6-1 under the Exchange Act, (or the third business day Business Day if required under Rule 15c6-1 under the Exchange Act) after the Trade Date, Settlement Procedures “"A” " through “H” "I" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:
Appears in 1 contract
Samples: Distribution Agreement (Northern Indiana Public Service Co)
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent an Agent, as agent, and accepted by the Company for settlement on the third business day after the Trade DateCompany, Settlement Procedures “"A” " through “H” "J" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:
Appears in 1 contract
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent and accepted by the Company for settlement on the third business day Business Day after the Trade Date, Settlement Procedures “"A” " through “H” "I" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: Settlement Procedure Time --------- ----
Appears in 1 contract
Settlement Procedure Timetable. For orders of Book-Entry Securities solicited by a Selling Agent an Distributor, as agent, and accepted by the Company Issuer for settlement on the third business day first Business Day after the Trade Date, Settlement Procedures “"A” " through “H” "I" set forth above shall be completed as soon as possible but not later than the respective times (New York City time) set forth below:: Settlement Procedure Time Date --------- ---- ----
Appears in 1 contract
Samples: Distribution Agreement (Jostens Inc)