Common use of Total Risk-Based Capital Ratio Clause in Contracts

Total Risk-Based Capital Ratio. The Borrower will not permit the Total Risk-Based Capital Ratio of the Subsidiary Bank(s) on a combined basis, in each case (expressed as a percentage) to be less than 11.5% as of the last day of any fiscal quarter.

Appears in 1 contract

Samples: Credit Agreement (Xenith Bankshares, Inc.)

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Total Risk-Based Capital Ratio. The Borrower will not permit the Total Risk-Based Capital Ratio of the Borrower on a Consolidated basis or any of the Subsidiary Bank(s) on a combined basis, in each case (expressed as a percentage) ), to be less than 11.512.5% as of the last day of any fiscal quarter.

Appears in 1 contract

Samples: Credit Agreement (Peoples Bancorp Inc)

Total Risk-Based Capital Ratio. The Borrower will not permit the Total Risk-Based Capital Ratio of the Subsidiary Bank(s) on a combined basis, in each case basis (expressed as a percentage) to be less than 11.512% as of the last day of any fiscal quarter.

Appears in 1 contract

Samples: Credit Agreement (Bancorpsouth Inc)

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Total Risk-Based Capital Ratio. The Borrower will not permit the Total Risk-Based Capital Ratio of any of the Subsidiary Bank(s) on a combined basis, in each case (expressed as a percentage) to be less than 11.511.50% as of the last day of any fiscal quarterFiscal Quarter.

Appears in 1 contract

Samples: Credit Agreement (MVB Financial Corp)

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