Common Contracts

6 similar Distribution Agreement contracts by Credit Suisse First Boston Usa Inc, Credit Suisse (Usa) Inc, Credit Suisse / /Fi, others

CREDIT SUISSE Subordinated Medium-Term Notes DISTRIBUTION AGREEMENT
Distribution Agreement • March 25th, 2009 • Credit Suisse / /Fi • American depositary receipts • New York

The Issuer and the Agent will discuss from time to time the price of and the rates to be borne by the Notes that may be sold as a result of the solicitation of offers by the Agent. Once the Agent has recorded any indication of interest in Notes upon certain terms and communicated with the Issuer, if the Issuer plans to accept an offer to purchase Notes upon such terms, the Issuer will prepare a Pricing Supplement to the Prospectus and Prospectus Supplement, as then amended or supplemented, reflecting the terms of such Notes and, after approval from the Agent, will arrange to have the Pricing Supplement filed with, or transmitted by a means reasonably calculated to result in filing with, the Securities and Exchange Commission (the “Commission”) via the Commission’s EDGAR System pursuant to Rule 424(b) under the Act.* No settlements with respect to Notes upon such terms may occur prior to such transmitting or filing and the Agent will not, prior to such transmitting or filing, mail confi

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CREDIT SUISSE Medium-Term Notes DISTRIBUTION AGREEMENT
Distribution Agreement • May 11th, 2007 • Credit Suisse Group • Security brokers, dealers & flotation companies • New York

filing and the Agent will not, prior to such transmitting or filing, mail confirmations to customers who have offered to purchase Notes upon such terms. After such transmitting or filing, sales, mailing of confirmations and settlements may occur with respect to Notes upon such terms, subject to the provisions of "Delivery of Prospectus" below.

CREDIT SUISSE (USA), INC. Medium-Term Notes DISTRIBUTION AGREEMENT
Distribution Agreement • February 24th, 2006 • Credit Suisse (Usa) Inc • Security & commodity brokers, dealers, exchanges & services • New York

The Issuer and the Agent will discuss from time to time the price of and the rates to be borne by the Notes that may be sold as a result of the solicitation of offers by the Agent. Once the Agent has recorded any indication of interest in Notes upon certain terms and communicated with the Issuer, if the Issuer plans to accept an offer to purchase Notes upon such terms, the Issuer will prepare a Pricing Supplement to the Prospectus, as then amended or supplemented, reflecting the terms of such Notes and, after approval from the Agent, will arrange to have the Pricing Supplement filed with, or transmitted by a means reasonably calculated to result in filing with, the Securities and Exchange Commission (the “Commission”) via the Commission’s EDGAR System pursuant to Rule 424(b) under the Act.* No settlements with respect to Notes upon such terms may occur prior to such transmitting or filing and the Agent will not, prior to such transmitting or filing, mail confirmations to customers who

CREDIT SUISSE FIRST BOSTON (USA), INC. Medium-Term Notes DISTRIBUTION AGREEMENT
Distribution Agreement • June 25th, 2004 • Credit Suisse First Boston Usa Inc • Security & commodity brokers, dealers, exchanges & services • New York
PEPSIAMERICAS, INC. Medium-Term Notes, Series DISTRIBUTION AGREEMENT
Distribution Agreement • August 22nd, 2003 • Pepsiamericas Inc/Il/ • Bottled & canned soft drinks & carbonated waters • New York

price of the specified index, indices and the face amount of the Indexed Note and certain additional tax considerations will be described in the applicable Pricing Supplement.

FORM OF DISTRIBUTION AGREEMENT] $ CREDIT SUISSE FIRST BOSTON (USA), INC. Medium-Term Notes DISTRIBUTION AGREEMENT
Distribution Agreement • April 22nd, 2002 • Credit Suisse First Boston Usa Inc • Security & commodity brokers, dealers, exchanges & services • New York

If clause (b)(3) of Rule 424 is applicable, such filing shall be made no later than the fifth business day following the earlier of the date of determination of the settlement information described below or the date such Pricing Supplement is first used. If clause (b)(2) or (b)(5) of Rule 424 is applicable, such filing shall be made no later than the second business day following the earlier of the date of determination of the settlement information or the date such Pricing Supplement is first used.

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