Common use of Term Defined in Section Clause in Contracts

Term Defined in Section. Agent Members" .................................. 2.01 "applicable stock price" ......................... 4.01 "Bankruptcy Law" ................................. 8.01 "cash-buy-out" ................................... 3.08 "Change in Control Event" ........................ 3.08 "Closing Price" .................................. 4.06 "Company Order" .................................. 2.02 "Company Put Right Notice" ....................... 3.12 "Conversion Agent" ............................... 2.03 "Conversion Date" ................................ 4.02 "Conversion Price" ............................... 4.01 "Conversion Rate" ................................ 4.01 "Conversion Value" ............................... 4.01 "Current Market Price" ........................... 4.06 "Custodian" ...................................... 8.01 "DTC" ............................................ 2.01 "Depositary" ..................................... 2.01 "Determination Date" ............................. 4.06 "Distributed Securities" ......................... 4.06 "Distribution Notice" ............................ 4.01 "Event of Default" ............................... 8.01 "Expiration Date" ................................ 4.06 "Expiration Time" ................................ 4.06 "Fundamental Change Company Notice" .............. 3.08 "Fundamental Change Repurchase Date" ............. 3.08 "Fundamental Change Repurchase Notice" ........... 3.08 "Legal Holiday" .................................. 14.07 "Legend" ......................................... 2.12 "Make-Whole Premium" ............................. 3.08 "Merger Notice" .................................. 4.01 "Notice of Default" .............................. 8.01 "Paying Agent" ................................... 2.03 "Payment Blockage Period ......................... 13.03 "Principal Value Conversion" ..................... 4.01 "Primary Registrar" .............................. 2.03 "Purchase Agreement" ............................. 2.01 "Purchased Shares" ............................... 4.06 "Put Right Purchase Date" ........................ 3.12 "Put Right Purchase Notice" ...................... 3.12 TERM DEFINED IN SECTION -------------------------------------------------- ------------------ "Put Right Purchase Price" ....................... 3.12 "record date" .................................... 4.06 "QIB" ............................................ 2.01 "Registrar" ...................................... 2.03 "Rights" ......................................... 4.06 "Rights Plan" .................................... 4.06 "Spinoff Securities" ............................. 4.06 "Spinoff Valuation Period" ....................... 4.06 "tender offer" ................................... 4.06 "Trading Price" .................................. 4.01 "trading price condition" ........................ 4.01 "Trigger Event" .................................. 4.06 "Triggering Distribution" ........................ 4.06

Appears in 1 contract

Samples: Indenture (Thoratec Corp)

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Term Defined in Section. Agent MembersADDITIONAL SECURITIES"....................................... 1.01 "ACCOUNTING EVENT" .................................. 2.01 3.09 "applicable stock price" AGGREGATE AMOUNT"............................................ 10.06 "AGGREGATE REDEMPTION PAYMENT AMOUNT"......................... 4.01 3.01 "Bankruptcy Law" ................................. 8.01 BANKRUPTCY LAW"cash-buy-out" ................................... 3.08 .............................................. 6.01 "Change in Control Event" ........................ 3.08 BUSINESS DAY"Closing Price" .................................. 4.06 ................................................ 11.07 "Company Order" .................................. 2.02 CHANGE IN CONTROL"Company Put Right Notice" ....................... 3.12 ........................................... 3.09 "Conversion Agent" ............................... CONVERSION AGENT"............................................ 2.03 "Conversion Date" ................................ 4.02 CONVERSION DATE"Conversion Price" ............................... 4.01 ............................................. 10.02 "Conversion Rate" ................................ 4.01 CONVERSION SHARES"Conversion Value" ............................... 4.01 ........................................... 10.06 "Current Market Price" ........................... 4.06 CONVERSION VALUE"Custodian" ...................................... 8.01 ............................................ 10.05 "DTC" CUSTODIAN"................................................... 6.01 "DISTRIBUTION DATE"........................................... 10.06 "EFFECTIVE DATE".............................................. 3.09 "EVENT OF DEFAULT"............................................ 2.01 6.01 "Depositary" ..................................... 2.01 EXPIRATION DATE"Determination Date" ............................. 4.06 ............................................. 10.06 "Distributed Securities" EXPIRATION TIME"............................................. 10.06 "FUNDAMENTAL CHANGE".......................................... 3.09 "FUNDAMENTAL CHANGE REPURCHASE DATE".......................... 3.09 "FUNDAMENTAL CHANGE REPURCHASE NOTICE"........................ 3.09 "FUNDAMENTAL CHANGE REPURCHASE PRICE"......................... 4.06 3.09 "Distribution Notice" ............................ 4.01 "Event of Default" ............................... 8.01 "Expiration Date" ................................ 4.06 "Expiration Time" ................................ 4.06 "Fundamental Change Company Notice" .............. 3.08 "Fundamental Change Repurchase Date" ............. 3.08 "Fundamental Change Repurchase Notice" ........... 3.08 "Legal Holiday" .................................. 14.07 "Legend" ......................................... 2.12 "Make-Whole Premium" ............................. 3.08 "Merger Notice" .................................. 4.01 "Notice of Default" .............................. 8.01 "Paying Agent" ................................... 2.03 "Payment Blockage Period ......................... 13.03 "Principal Value Conversion" ..................... 4.01 "Primary Registrar" .............................. 2.03 "Purchase Agreement" ............................. 2.01 "Purchased Shares" ............................... 4.06 "Put Right Purchase Date" ........................ 3.12 "Put Right Purchase Notice" ...................... 3.12 TERM DEFINED IN SECTION -------------------------------------------------- ------------------ "Put Right Purchase Price" ....................... 3.12 "record date" .................................... 4.06 "QIB" ............................................ 2.01 "Registrar" ...................................... 2.03 "Rights" ......................................... 4.06 "Rights Plan" .................................... 4.06 "Spinoff Securities" ............................. 4.06 "Spinoff Valuation Period" ....................... 4.06 "tender offer" ................................... 4.06 "Trading Price" .................................. 4.01 "trading price condition" ........................ 4.01 "Trigger Event" .................................. 4.06 "Triggering Distribution" ........................ 4.06

Appears in 1 contract

Samples: Indenture (SFBC International Inc)

Term Defined in Section. Agent Members" .................................. "............................................... 2.01 "applicable stock price" ......................... 4.01 "Bankruptcy Law" ................................. 8.01 "cash-buy-out" ................................... .............................................. 7.01 "Change of Control Company Notice"............................ 3.08 "Change in of Control Event" ........................ Repurchase Date"........................... 3.08 "Closing Price" .................................. 4.06 Change of Control Repurchase Notice"......................... 3.08 "Company Order" .................................. "............................................... 2.02 "Company Put Right Notice" ....................... ".................................... 3.12 "Conversion Agent" ............................... "............................................ 2.03 "Conversion Date" ................................ "............................................. 4.02 "Conversion Price" ............................... 4.01 "Conversion Rate" ................................ 4.01 "Conversion Value" ............................... 4.01 "Current Market Price" ........................... "........................................ 4.06 "Custodian" ...................................... 8.01 DTC"DTC" ............................................ ......................................................... 2.01 "Depositary" ..................................... ".................................................. 2.01 "Determination Date" ............................. ".......................................... 4.06 "Distributed Securities" ......................... "...................................... 4.06 "Distribution Notice" ............................ "......................................... 4.01 "Election Notice"............................................. 4.01 "Event of Default" ............................... 8.01 "............................................ 7.01 "Expiration Date" ................................ "............................................. 4.06 "Expiration Time" ................................ "............................................. 4.06 "Fundamental Change Company Notice" .............. 3.08 "Fundamental Change Repurchase Date" ............. 3.08 "Fundamental Change Repurchase Notice" ........... 3.08 "Legal Holiday" .................................. 14.07 "............................................... 12.07 "Legend" ......................................... "...................................................... 2.12 "Make-Make Whole Premium" ............................. 3.08 ".......................................... 4.01 "Merger Notice" .................................. "............................................... 4.01 "Notice of Default" .............................. 8.01 "........................................... 7.01 "Paying Agent" ................................... "................................................ 2.03 "Payment Blockage Period ......................... 13.03 "Principal Value Conversion" ..................... 4.01 Period...................................... 11.03 "Primary Registrar" .............................. "........................................... 2.03 "Public Acquisition Notice"................................... 3.08 "Purchase Agreement" ............................. ".......................................... 2.01 "Purchased Shares" ............................... "............................................ 4.06 "purchases"................................................... 4.06 "Put Right Purchase Date" ........................ "..................................... 3.12 "Put Right Purchase Notice" ...................... "................................... 3.12 TERM DEFINED IN SECTION -------------------------------------------------- ------------------ "Put Right Purchase Price" ....................... ".................................... 3.12 "record date" .................................... "................................................. 4.06 TERM DEFINED IN SECTION ---- ------------------ "QIB" ............................................ "......................................................... 2.01 "Receiver".................................................... 7.01 "Registrar" ...................................... "................................................... 2.03 "Rights" ......................................... "...................................................... 4.06 "Rights Plan" .................................... "................................................. 4.06 "Spinoff Securities" ............................. ".......................................... 4.06 "Spinoff Valuation Period" ....................... ".................................... 4.06 "tender offer" ................................... "................................................ 4.06 "Trading Price" .................................. 4.01 tendered shares"trading price condition" ........................ 4.01 ............................................. 4.06 "Trigger Event" .................................. "............................................... 4.06 "Triggering Distribution" ........................ "..................................... 4.06

Appears in 1 contract

Samples: Open Solutions Inc

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Term Defined in Section. Additional Conversion Payment"........................................................ 4.1(b) "Additional Conversion Payment Price".................................................. 4.1(b) "Agent Members" .................................. 2.01 "applicable stock price" ......................... 4.01 ........................................................................ 2.1(b) "Average Closing Price"................................................................ 4.1(b) "Bankruptcy Law" ................................. 8.01 "cash-buy-out" ................................... 3.08 ....................................................................... 8.1 "Change in Control".................................................................... 3.8(a) "Change in Control Event" ........................ 3.08 Purchase Date"...................................................... 3.8(a) "Change in Control Purchase Notice".................................................... 3.8(c) "Change in Control Purchase Price"..................................................... 3.8(a) "Closing Price" .................................. 4.06 "........................................................................ 4.7(e) "Company Order" .................................. 2.02 "Company Put Right Notice" ....................... 3.12 ........................................................................ 2.2 "Conversion Agent" ............................... 2.03 "..................................................................... 2.3 "Conversion Date" ................................ 4.02 "Conversion Price" ............................... 4.01 ...................................................................... 4.3 "Conversion Rate" ................................ 4.01 "...................................................................... 4.1(a) "Conversion Right"..................................................................... 4.2(a) "Conversion Termination"............................................................... 4.2(a) "Conversion Termination Date".......................................................... 4.2(a) "Conversion Termination Notice"........................................................ 4.2(a) "Conversion Termination Notice Date"................................................... 4.2(a) "Conversion Termination Trigger Event"................................................. 4.2(a) "Conversion Value" ............................... 4.01 "..................................................................... 4.2(a) "Current Market Price" ........................... 4.06 "................................................................. 4.7(e) "Custodian" ...................................... 8.01 "............................................................................ 8.1 "DTC" ............................................ 2.01 ".................................................................................. 2.1 "Depositary" ..................................... 2.01 "........................................................................... 2.1 "Determination Date" ............................. 4.06 "Distributed Securities" ......................... 4.06 "Distribution Notice" ............................ 4.01 ................................................................... 4.7(d)(1) "Event of Default" ............................... 8.01 "..................................................................... 8.1 "Expiration Date" ................................ 4.06 "...................................................................... 4.7(d)(2) "Expiration Time" ................................ 4.06 "Fundamental Change Company Notice" .............. 3.08 "Fundamental Change Repurchase Date" ............. 3.08 "Fundamental Change Repurchase Notice" ........... 3.08 ...................................................................... 4.7(d)(2) "Legal Holiday" .................................. 14.07 "........................................................................ 12.7 "Legend" ......................................... .............................................................................. 2.12 "Make-Whole Premium" ............................. 3.08 "Merger Notice" .................................. 4.01 "Notice of Default" .............................. 8.01 "Paying Agent" ................................... 2.03 "Payment Blockage Period ......................... 13.03 "Principal Value Conversion" ..................... 4.01 "Primary Registrar" .............................. 2.03 "Purchase Agreement" ............................. 2.01 "Purchased Shares" ............................... 4.06 "Put Right Purchase Date" ........................ 3.12 "Put Right Purchase Notice" ...................... 3.12 TERM DEFINED IN SECTION -------------------------------------------------- ------------------ "Put Right Purchase Price" ....................... 3.12 "record date" .................................... 4.06 "QIB" ............................................ 2.01 "Registrar" ...................................... 2.03 "Rights" ......................................... 4.06 "Rights Plan" .................................... 4.06 "Spinoff Securities" ............................. 4.06 "Spinoff Valuation Period" ....................... 4.06 "tender offer" ................................... 4.06 "Trading Price" .................................. 4.01 "trading price condition" ........................ 4.01 "Trigger Event" .................................. 4.06 "Triggering Distribution" ........................ 4.06-6-

Appears in 1 contract

Samples: Cypress Semiconductor Corp /De/

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