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SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
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FORM T-1
STATEMENT OF ELIGIBILITY
UNDER THE TRUST INDENTURE ACT OF 1939 OF
A CORPORATION DESIGNATED TO ACT AS TRUSTEE
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CHECK IF AN APPLICATION TO DETERMINE ELIGIBILITY OF
A TRUSTEE PURSUANT TO SECTION 305(B)(2)
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THE CHASE MANHATTAN BANK
(Exact name of trustee as specified in its charter)
NEW YORK 00-0000000
(State of incorporation (I.R.S. employer
if not a national bank) identification No.)
000 XXXX XXXXXX
XXX XXXX, XXX XXXX 00000
(Address of principal executive offices) (Zip Code)
Xxxxxxx X. XxXxxxx
General Counsel
000 Xxxx Xxxxxx
Xxx Xxxx, Xxx Xxxx 00000
Tel: (000) 000-0000
(Name, address and telephone number of agent for service)
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SPINNAKER INDUSTRIES, INC.
(Exact name of obligor as specified in its charter)
DELAWARE 00-0000000
(State or other jurisdiction of (I.R.S. employer
incorporation or organization) identification No.)
000 X. XXXXX XXXXXX, XXXXX 0000
XXXXXX, XXXXX 00000
(Address of principal executive offices) (Zip Code)
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SENIOR SECURED NOTES DUE 2006
(Title of the indenture securities)
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GENERAL
ITEM 1. GENERAL INFORMATION.
Furnish the following information as to the trustee:
(a) Name and address of each examining or supervising authority to which it
is subject.
New York Xxxxx Xxxxxxx Xxxxxxxxxx, Xxxxx Xxxxx, Xxxxxx, Xxx Xxxx 00000.
Board of Governors of the Federal Reserve System, Washington, D.C.,
20551
Federal Reserve Bank of New York, District Xx. 0, 00 Xxxxxxx Xxxxxx, Xxx
Xxxx, X.X.
Federal Deposit Insurance Corporation, Xxxxxxxxxx, X.X., 00000.
(b) Whether it is authorized to exercise corporate trust powers.
Yes.
ITEM 2. AFFILIATIONS WITH THE OBLIGOR.
If the obligor is an affiliate of the trustee, describe each such
affiliation.
None.
2
ITEM 16. LIST OF EXHIBITS
List below all exhibits filed as a part of this Statement of Eligibility.
1. A copy of the Articles of Association of the Trustee as now in effect,
including the Organization Certificate and the Certificates of Amendment dated
February 17, 1969, August 31, 1977, December 31, 1980, September 9, 1982,
February 28, 1985, December 2, 1991 and July 10, 1996 (see Exhibit 1 to Form T-1
filed in connection with Registration Statement No. 333-06249, which is
incorporated by reference).
2. A copy of the Certificate of Authority of the Trustee to Commence
Business (see Exhibit 2 to Form T-1 filed in connection with Registration
Statement No. 33-50010, which is incorporated by reference. On July 14, 1996, in
connection with the merger of Chemical Bank and The Chase Manhattan Bank
(National Association), Chemical Bank, the surviving corporation, was renamed
The Chase Manhattan Bank).
3. None, authorization to exercise corporate trust powers being contained
in the documents identified above as Exhibits 1 and 2.
4. A copy of the existing By-Laws of the Trustee (see Exhibit 4 to Form T-1
filed in connection with Registration Statement No. 333-06249, which is
incorporated by reference).
5. Not applicable.
6. The consent of the Trustee required by Section 321(b) of the Act (see
Exhibit 6 to Form T-1 filed in connection with Registration Statement No.
33-50010, which is incorporated by reference. On July 14, 1996, in connection
with the merger of Chemical Bank and The Chase Manhattan Bank (National
Association), Chemical Bank, the surviving corporation, was renamed The Chase
Manhattan Bank).
7. A copy of the latest report of condition of the Trustee, published
pursuant to law or the requirements of its supervising or examining authority.
8. Not applicable.
9. Not applicable.
SIGNATURE
Pursuant to the requirements of the Trust Indenture Act of 1939 the Trustee,
The Chase Manhattan Bank, a corporation organized and existing under the laws of
the State of New York, has duly caused this statement of eligibility to be
signed on its behalf by the undersigned, thereunto duly authorized, all in the
City of New York and State of New York, on the 31st day of January, 1997.
THE CHASE MANHATTAN BANK
By /s/ XXXXX X. XXXXXXXX
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Xxxxx X. XxXxxxxx
SENIOR TRUST OFFICER
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EXHIBIT 7 TO FORM T-1
BANK CALL NOTICE
RESERVE DISTRICT NO. 2
CONSOLIDATED REPORT OF CONDITION OF
THE CHASE MANHATTAN BANK
OF 000 XXXX XXXXXX, XXX XXXX, XXX XXXX 00000
AND FOREIGN AND DOMESTIC SUBSIDIARIES,
A MEMBER OF THE FEDERAL RESERVE SYSTEM,
AT THE CLOSE OF BUSINESS SEPTEMBER 30, 1996, IN
ACCORDANCE WITH A CALL MADE BY THE FEDERAL RESERVE BANK OF THIS
DISTRICT PURSUANT TO THE PROVISIONS OF THE FEDERAL RESERVE ACT.
ASSETS
DOLLAR AMOUNTS
IN MILLIONS
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Cash and balances due from depository institutions:
Noninterest-bearing balances and currency and coin.............................................. $ 11,095
Interest-bearing balances....................................................................... 4,998
Securities:.......................................................................................
Held to maturity securities....................................................................... 3,231
Available for sale securities..................................................................... 38,078
Federal Funds sold and securities purchased under agreements to resell in domestic offices of the
bank and of its Edge and Agreement subsidiaries, and in IBF's:
Federal funds sold.............................................................................. 8,018
Securities purchased under agreements to resell................................................. 731
Loans and lease financing receivables:
Loans and leases, net of unearned income........................................................ $ 130,513
Less: Allowance for loan and lease losses....................................................... 2,938
Less: Allocated transfer risk reserve........................................................... 27
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Loans and leases, net of unearned income, allowance, and reserve................................ 127,548
Trading Assets.................................................................................... 48,576
Premises and fixed assets (including capitalized leases).......................................... 2,850
Other real estate owned........................................................................... 300
Investments in unconsolidated subsidiaries and associated companies............................... 92
Customer's liability to this bank on acceptances outstanding...................................... 2,777
Intangible assets................................................................................. 1,361
Other assets...................................................................................... 12,204
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TOTAL ASSETS...................................................................................... $ 261,859
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DOLLAR AMOUNTS
IN MILLIONS
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LIABILITIES
Deposits
In domestic offices............................................................................. $ 80,163
Noninterest-bearing............................................................................. $ 30,596
Interest-bearing................................................................................ 49,567
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In foreign offices, Edge and Agreement subsidiaries, and IBF's.................................. 65,173
Noninterest-bearing............................................................................. $ 3,616
Interest-bearing................................................................................ 61,557
Federal funds purchased and securities sold under agreements to repurchase in domestic offices of
the bank and of its Edge and Agreement subsidiaries, and in IBF's Federal funds purchased....... 14,594
Securities sold under agreements to repurchase.................................................. 14,110
Demand notes issued to the U.S. Treasury.......................................................... 2,200
Trading liabilities............................................................................... 30,136
Other Borrowed money:
With a remaining maturity of one year or less................................................... 16,895
With a remaining maturity of more than one year................................................. 449
Mortgage indebtedness and obligations under capitalized leases.................................... 49
Bank's liability on acceptances executed and outstanding.......................................... 2,764
Subordinated notes and debentures................................................................. 5,471
Other liabilities................................................................................. 13,997
TOTAL LIABILITIES................................................................................. 246,001
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Limited-Life Preferred stock and related surplus.................................................. 550
EQUITY CAPITAL
Common stock...................................................................................... 1,209
Surplus........................................................................................... 10,176
Undivided profits and capital reserves............................................................ 4,385
Net unrealized holding gains (Losses) on available-for-sale securities............................ (481)
Cumulative foreign currency translation adjustments............................................... 19
TOTAL EQUITY CAPITAL.............................................................................. 15,308
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TOTAL LIABILITIES, LIMITED-LIFE PREFERRED STOCK AND EQUITY CAPITAL................................ $ 261,859
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I, Xxxxxx X. Xxxxxxxx, S.V.P. & Controller of the above-named bank, do
hereby declare that this Report of Condition has been prepared in conformance
with the instructions issued by the appropriate Federal regulatory authority and
is true to the best of my knowledge and belief.
XXXXXX X. XXXXXXXX
We, the undersigned directors, attest to the correctness of this Report of
Condition and declare that it has been examined by us, and to the best of our
knowledge and belief has been prepared in conformance with the instructions
issued by the appropriate Federal regulatory authority and is true and correct.
XXXXXX X. XXXXXXX
XXXXXX X. XXXXXX Directors
XXXXXX X. XXXXXXXXX
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