08 definition

08. Change of Control Date".................................... 4.15 "Change of Control Offer"................................... 4.15 "Change of Control Payment Date"............................ 4.15 "Change of Control Purchase Price".......................... 4.15 "Covenant Defeasance"....................................... 9.03 "Custodian"................................................. 6.01 "Default Amount"............................................ 6.02 "Euro Conversion Amount".................................... 2.16 "Event of Default".......................................... 6.01 "Excess Proceeds"........................................... 4.08 "Excess Proceeds Payment Date".............................. 4.08 "Global Notes".............................................. 2.01 "incur"..................................................... 4.06 "Investments"............................................... 4.11 "judgment currency"......................................... 10.11 "Legal Defeasance".......................................... 9.02 "Legal Holiday"............................................. 10.08 "New York Business Day"..................................... 2.16 "Other Notes"............................................... 4.08 "Offer Period".............................................. 4.08 "Offshore Physcial Notes"................................... 2.01 "Paying Agent".............................................. 2.03 "Permanent Regulation S Unrestricted Global Note"........... 2.01 "Permitted Payment"......................................... 4.07 "Physical Notes"............................................ 2.01 "rate(s) of exchange"....................................... 10.11 "Registered Exchange"....................................... 2.02 "Registrar"................................................. 2.03 "Regulation S Unrestricted Global Notes".................... 2.01 "Reinvestment Date"......................................... 4.08 "Rule 144A Restricted Global Note".......................... 2.01 "Surviving Entity".......................................... 5.01 "Tax Redemption"............................................ 3.07 "Taxes"..................................................... 4.17 "Taxing Jurisdiction"....................................... 4.17 "U.S. Physical Notes"....................................... 2.01
08. Ex-Dividend Time"...................................................10.01 "Extraordinary Cash Dividend"........................................10.08 "Institutional Accredited Investors"...............................2.01(b) "Legal Holiday"......................................................12.09 "Legend"...........................................................2.06(f) "Market Price".....................................................3.08(d) "Measurement Period"..............................................11.08(a) "noncontingent bond method"...........................................4.07 "Notice of Default"...................................................6.01 "Paying Agent"........................................................2.03 "Permitted Holder" ................................................3.09(a) "Purchase Date"....................................................3.08(a) "Purchase Notice"..................................................3.08(a) "Purchase Price"...................................................3.08(a) "QIB"..............................................................2.01(a) "Registrar"...........................................................2.03 "Relevant Cash Dividends".........................................10.08(a) "Rights".............................................................10.19 "Rights Agreement"...................................................10.19 "Rule 144A Information"...............................................4.06 "Securities Act"...................................................3.08(d) "Time of Determination"..............................................10.01
08. Asset Sale Offer Period"................................... 4.08 "Asset Sale Purchase Date".................................. 4.08 "Clearstream"............................................... 2.01 "Change of Control Offer"................................... 4.07 "Change of Control Offer Period"............................ 4.07 "Change of Control Payment"................................. 4.07 "Change of Control Purchase Date"........................... 4.07 "Covenant Defeasance"....................................... 8.03 "Custodian"................................................. 6.01 "DTC"....................................................... 2.03 -12- Defined in -Term Section ----- ---------- "Euroclear"................................................. 2.01 "Event of Default".......................................... 6.01 "Excess Proceeds"........................................... 4.08 "Global Note"............................................... 2.01 "incur"..................................................... 4.10 "Legal Defeasance".......................................... 8.02 "Legal Holiday"............................................. 12.13 "Note Custodian"............................................ 2.03 "outstanding"............................................... 2.08 "Paying Agent".............................................. 2.03 "Registrar"................................................. 2.03

More Definitions of 08

08. Offer Period"............................... 4.14 "Pari Passu Excess Proceeds Offer............ 4.14 "Paying Agent"............................... 2.03 "Payment Blockage Period".................... 11.02 "Payment Default"............................ 11.02 "Payment Notice"............................. 11.02 "Purchase Date".............................. 4.14 "Registrar".................................. 2.03 "Reinvestment Date".......................... 4.14 "Resale Restriction Termination Date"........ 2.15
08. Change of Control Offer".........................4.19 "Change of Control Payment Date"..................4.19 "Change of Control Purchase Price"................4.19 "Covenant Defeasance".............................9.03 "Custodian".......................................6.01 "DTC".............................................2.03 "Event of Default"................................6.01 "Excess Proceeds".................................4.20 "Excess Proceeds Offer"...........................4.20 "Exchange Securities".............................2.02 "Global Notes"....................................2.01 "Legal Defeasance"................................9.02 "Legal Holiday"..................................11.08 "Other Consideration".............................4.20 "Noteholder" ("Holder") ..........................1.01 "Paying Agent"....................................2.03 "Physical Notes"..................................2.12 "Private Exchange"................................2.02 "Private Exchange Securities".....................2.02 "Registrar".......................................2.03 "Reinvestment Dates"..............................4.20 "Required Filing Date"............................4.02 "Subsidiary Indebtedness".........................4.10
08 non-payment default"..............................10.03 "Notice of Default"................................ 6.01 "Offer Amount"..................................... 3.09(a) "Offer Period"..................................... 3.09(a) "Offshore Global Security.......................... 2.01 "Offshore Physical Securities...................... 2.01 "Option of Holder to Elect Purchase"............... 3.09 "Payment Blockage Notice"..........................10.03 "payment default"..................................10.03 "Permanent Offshore Global Securities"............. 2.01 "Permitted Debt"................................... 4.03(b) "Physical Securities".............................. 2.01 "Purchase Date".................................... 3.09(a) "Registrar......................................... 2.04 "Repurchase Offer"................................. 3.09(a) "Restricted Payments".............................. 4.04(a) "Rule 144A"........................................ 2.01(b) "Security Register"................................ 2.04 "Trustee".......................................... 8.03 "U.S. Global Securities"........................... 2.01 "U.S. Physical Securities"......................... 2.01
08. Change of Control Offer".............................. 4.20 "Change of Control Payment Date" ...................... 4.20 "Change of Control Purchase Price" .................... 4.20 "Covenant Defeasance" ................................. 9.03 "Custodian" ........................................... 6.01 "Event of Default" .................................... 6.01 "Excess Proceeds Offer"................................ 4.15
08. Offshore Notes Exchange Date" ........................... 2.01 "Paying Agent" ........................................... 2.03 "QIB Global Note" ........................................ 2.01 "refinance" .............................................. 4.07 "Refinancing Indebtedness" ............................... 4.07 "Registrar" .............................................. 2.03 "
08. Refinancing Indebtedness"..................................4.07 "Registrar".................................................2.03 "Required Filing Dates".....................................4.02 "Special Offer".............................................4.12 "Special Offer Price".......................................4.12 "Special Offer Purchase Date"...............................4.12 "Trustee Expenses"..........................................6.08 "Trust Funds"...............................................4.18
08. Trust Funds"...............................................4.18