Common Contracts

4 similar null contracts by Oklahoma Gas & Electric Co

Oklahoma Gas and Electric Company (an Oklahoma corporation) $250,000,000 5.85% Senior Notes, Series due June 1, 2040 Underwriting Agreement Dated: June 3, 2010
Oklahoma Gas & Electric Co • June 8th, 2010 • Electric services • New York

Oklahoma Gas and Electric Company, an Oklahoma corporation (the “Company”), confirms its agreement with Mizuho Securities USA Inc., RBS Securities Inc. and UBS Securities LLC (the “Representatives”), and each of the other entities identified on Schedule A hereto as underwriters (collectively, with the Representatives, the “Underwriters,” which term includes any underwriter substituted as hereinafter provided in Section 11 hereof), with respect to the issue and sale by the Company and the purchase by the Underwriters, acting severally and not jointly, of the respective principal amounts set forth in Schedule A hereto of $250,000,000 aggregate principal amount of the Company’s 5.85% Senior Notes, Series due June 1, 2040 (the “Senior Notes”). The Senior Notes are to be issued pursuant to the Indenture dated as of October 1, 1995 between the Company and UMB Bank, N.A., as successor trustee (the “Trustee”), as heretofore amended and supplemented and as amended and supplemented by Supplement

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250,000,000 8.25% Senior Notes, Series due January 15, 2019 UNDERWRITING AGREEMENT Dated: December 8, 2008
Oklahoma Gas & Electric Co • December 11th, 2008 • Electric services • New York

Oklahoma Gas and Electric Company, an Oklahoma corporation (the “Company”), confirms its agreement with Greenwich Capital Markets, Inc., Mizuho Securities USA Inc. and UBS Securities LLC (the “Representatives”), and each of the other entities identified on Schedule A hereto as underwriters (collectively, with the Representatives, the “Underwriters,” which term includes any underwriter substituted as hereinafter provided in Section 11 hereof), with respect to the issue and sale by the Company and the purchase by the Underwriters, acting severally and not jointly, of the respective principal amounts set forth in Schedule A hereto of $250,000,000 aggregate principal amount of the Company’s 8.25% Senior Notes, Series due January 15, 2019 (the “Senior Notes”). The Senior Notes are to be issued pursuant to the Indenture dated as of October 1, 1995 between the Company and UMB Bank, N.A., as successor trustee (the “Trustee”), as heretofore amended and supplemented and as amended and supplement

_____% Senior Notes, Series due _____________ FORM OF UNDERWRITING AGREEMENT Dated: _______________
Oklahoma Gas & Electric Co • June 6th, 2008 • Electric services • New York

Oklahoma Gas and Electric Company, an Oklahoma corporation (the “Company”), confirms its agreement with _______________________________ (the “Representatives”), and each of the other entities identified on Schedule A hereto as underwriters (collectively, with the Representatives, the “Underwriters,” which term includes any underwriter substituted as hereinafter provided in Section 11 hereof), with respect to the issue and sale by the Company and the purchase by the Underwriters, acting severally and not jointly, of the respective principal amounts set forth in Schedule A hereto of $___________ aggregate principal amount of the Company’s _____% Senior Notes, Series due ______________ (the “Senior Notes”). The Senior Notes are to be issued pursuant to the Indenture dated as of October 1, 1995 between the Company and UMB Bank, N.A., as successor trustee (the “Trustee”), as heretofore amended and supplemented and as amended and supplemented by Supplemental Indenture No. __, dated as of ___

OKLAHOMA GAS AND ELECTRIC COMPANY (an Oklahoma corporation) $200,000,000 6.45% Senior Notes, Series due February 1, 2038 UNDERWRITING AGREEMENT Dated: January 28, 2008
Oklahoma Gas & Electric Co • January 31st, 2008 • Electric services • New York

Oklahoma Gas and Electric Company, an Oklahoma corporation (the “Company”), confirms its agreement with Greenwich Capital Markets, Inc. and BNY Capital Markets, Inc. (the “Representatives”), and each of the other entities identified on Schedule A hereto as underwriters (collectively, with the Representatives, the “Underwriters,” which term includes any underwriter substituted as hereinafter provided in Section 11 hereof), with respect to the issue and sale by the Company and the purchase by the Underwriters, acting severally and not jointly, of the respective principal amounts set forth in Schedule A hereto of $200,000,000 aggregate principal amount of the Company’s 6.45% Senior Notes, Series due February 1, 2038 (the “Senior Notes”). The Senior Notes are to be issued pursuant to the Indenture dated as of October 1, 1995 between the Company and UMB Bank, N.A., as successor trustee (the “Trustee”), as heretofore amended and supplemented and as amended and supplemented by Supplemental In

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