EXHIBIT 1.1c
BANK ONE ISSUANCE TRUST
ONESERIES
CLASS C(2002-1) NOTES
TERMS AGREEMENT
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Dated: April 24, 2002
To: First USA Bank, National Association (the "Bank")
Re: Underwriting Agreement dated April 24, 2002
Series Designation: ONEseries
Underwriters:
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The Underwriters named on Schedule I attached hereto are the "Underwriters"
for the purpose of this Agreement and for the purposes of the above referenced
Underwriting Agreement as such Underwriting Agreement is incorporated herein and
made a part hereof.
Terms of the Class C(2002-1) Notes:
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Initial
Principal Interest Price to
Amount Rate or Formula Public
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$250,000,000 One-month LIBOR plus 100%
0.96% per annum
Interest Payment Dates: The 15/th/ of each month or if that day is not a
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Business Day, as defined in the Indenture, the next succeeding Business Day,
commencing June 17, 2002.
Note Ratings: "BBB" by Standard & Poor's Rating Services and Fitch, Inc. and
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"Baa2" by Xxxxx'x Investors Service, Inc.
Indenture: The Indenture, dated as of May 1, 2002, between Bank One Issuance
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Trust, by the Bank, as Beneficiary, Xxxxx Fargo Bank Minnesota, National
Association, as Indenture Trustee and acknowledged and accepted by the Bank, as
Servicer.
Asset Pool One Supplement: The Asset Pool One Supplement, dated as of May 1,
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2002, between Bank One Issuance Trust, by the Bank, as Beneficiary, and Xxxxx
Fargo Bank Minnesota, National Association, as Indenture Trustee and Collateral
Agent and acknowledged by the Bank, as Transferor, Servicer and Administrator.
Indenture Supplement: The ONEseries Indenture Supplement dated as of May 1,
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2002, between Bank One Issuance Trust, by the Bank, as Beneficiary, and Xxxxx
Fargo Bank Minnesota, National Association, as Indenture Trustee and Collateral
Agent.
Terms Document: The Class C(2002-1) Terms Document, dated as of May 1, 2002,
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between Bank One Issuance Trust, by the Bank, as Beneficiary and Xxxxx Fargo
Bank Minnesota, National Association, as Indenture Trustee and Collateral Agent.
Pooling and Servicing Agreement: The Amended and Restated Pooling and Servicing
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Agreement, dated as of March 28, 2002, as may be further amended, between the
Bank, as Transferor and Servicer, and The Bank of New York (Delaware), as
trustee (the "Master Trust Trustee").
Series Supplement: The Series 2002-CC Supplement, dated as of May 1, 2002,
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between the Bank, as Transferor and Servicer, and the Master Trust Trustee.
Purchase Price:
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The purchase price payable by the Underwriters for the Notes covered by
this Agreement will be the following percentage of the principal amounts to be
issued:
Per Class C(2002-1) Note: 100%
Registration Statement: 333-67076.
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Underwriting Commissions, Concessions and Discounts:
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The Underwriters' discounts and commissions, the concessions that the
Underwriters may allow to certain dealers, and the discounts that such dealers
may reallow to certain other dealers, each expressed as a percentage of the
principal amount of the Class C(2002-1) Notes, shall be as follows:
Underwriting
Discounts and Selling
Concessions Concessions Reallowance
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0.325% 0.195% 0.10%
Underwriters' Information: The information furnished by the Underwriters through
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the Representatives for purposes of Section 9(b) of the Underwriting Agreement
consists of the chart and the third and seventh paragraphs under the heading
"Underwriting" in the Prospectus Supplement.
Closing Date: Pursuant to Rule 15c6-1(d) under the Securities Exchange Act of
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1934, as amended, the Underwriters, the Bank and the Issuer hereby agree that
the Closing Date shall be May 1, 2002, 9:00 a.m., New York Time.
Location of Closing: Skadden, Arps, Slate, Xxxxxxx & Xxxx LLP, Four Times
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Xxxxxx, Xxx Xxxx, Xxx Xxxx 00000.
Payment for the Notes:
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The Underwriters agree, severally and not jointly, subject to the terms and
provisions of the above referenced Underwriting Agreement which is incorporated
herein in its entirety and made a part hereof, to purchase the respective
principal amounts of the above referenced Class C(2002-1) Notes set forth
opposite their names on Schedule I hereto.
Representations of the Underwriters:
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Each Underwriter of the Class C(2002-1) Notes has represented and agreed
that: (a) it has not offered or sold, and prior to the date which is six months
after the date of issue of the Class C(2002-1) Notes will not offer or sell any
Class C(2002-1) Notes to persons in the United Kingdom except to persons whose
ordinary activities involve them in acquiring, holding, managing or disposing of
investments (as principal or agent) for the purposes of their businesses or
otherwise in circumstances which do not constitute an offer to the public in the
United Kingdom for the purposes
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of the Public Offers of Securities Regulations 1995 (the "Regulations") and the
Financial Services and Markets Act 2000 (the "FSMA"); (b) it has complied and
will comply with all applicable provisions of the Regulations and of the FSMA
with respect to anything done by it in relation to the Class C(2002-1) Notes in,
from or otherwise involving the United Kingdom; and (c) it has only communicated
or caused to be communicated and it will only communicate or cause to be
communicated any invitation or inducement to engage in investment activity
(within the meaning of section 21 of the FSMA) received by it in connection with
the issue or sale of any Class C(2002-1) Notes in circumstances in which section
21(1) of the FSMA does not apply to the Issuer.
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BANC ONE CAPITAL MARKETS, INC.,
as a Representative of the Under-
writers named in Schedule I hereto
By: /s/ Xxxxxx X. XxXxxxxx
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Name: Xxxxxx X. XxXxxxxx
Title: Managing Director
XXXXXX BROTHERS INC., as a
Representative of the Underwriters
named in Schedule I hereto
By: /s/ Xxxxx Xxxxxxxxxxx
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Name: Xxxxx Xxxxxxxxxxx
Title: Managing Director
Accepted:
FIRST USA BANK, NATIONAL ASSOCIATION,
as Transferor and Servicer
By: /s/ Xxxxxxx X. Xxxxxxxxxxx
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Name: Xxxxxxx X. Xxxxxxxxxxx
Title: First Vice President
BANK ONE ISSUANCE TRUST
By: FIRST USA BANK, NATIONAL ASSOCATION,
not in its individual capacity but solely as Beneficiary
on behalf of the Issuer
By: /s/ Xxxxxxx X. Xxxxxxxxxxx
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Name: Xxxxxxx X. Xxxxxxxxxxx
Title: First Vice President
[Signature Page to the Bank One Issuance
Trust (ONEseries Class C(2002-1)) Terms Agreement]
SCHEDULE I
UNDERWRITERS
$250,000,000 Principal Amount of ONEseries Class C(2002-1) Notes
Principal Amount
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Banc One Capital Markets, Inc. $ 62,500,000
Xxxxxx Brothers Inc. $ 62,500,000
Deutsche Bank Securities Inc. $ 62,500,000
Xxxxxxx Xxxxx Barney Inc. $ 62,500,000
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Total $250,000,000
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