20. Redemption Price"............................................................................20 "Reference Bank"..............................................................................21 "Regular Holder Preference"...................................................................21 "Reinvestment Bonds"..........................................................................21 "Reinvestment Income".........................................................................21 "Released Property"...........................................................................21 "REMIC".......................................................................................21 "Report Recipient"............................................................................21 "Required Rating Category"....................................................................21 "Requisite Amount of the Reserve Fund"........................................................21 "Reserve Fund"................................................................................21 "Reserve Interest Rate".......................................................................21 "Residual Interest"...........................................................................21 "Residual Interest Holder"....................................................................22 "Residual Payee"..............................................................................22 "Responsible Officer".........................................................................22 "SAB Amount"..................................................................................22 "SAB Bond"....................................................................................22 "SAB Payment Date"............................................................................22 "SAB Principal Payment".......................................................................22 "Sale"........................................................................................22 "Schedule of Certificates"....................................................................22 "Scheduled Principal Amount"..................................................................22 "Series"......................................................................................22 "Shortfall Period"............................................................................23 "Special Payment Date".........................................................
20. Residual Gain or Residual Loss"........................................................................21 "Restricted Activities".................................................................................21 "Second Liquidation Target Amount"......................................................................21 "Second Target Distribution"............................................................................21 "Securities Act"........................................................................................21 "Senior Unit"...........................................................................................21 "Senior Unit Conversion Option".........................................................................21 "Senior Unit Liquidation Preference"....................................................................21 "Senior Unit Distribution"..............................................................................21 "Senior Unit Redemption Date"...........................................................................22 "Senior Unit Redemption Notice".........................................................................22 "Senior Unit Redemption Price"..........................................................................22 "Special Approval"......................................................................................23 "Special Limited Partner"...............................................................................23 "Special Limited Partners Book Capital".................................................................23 "Subordinated Unit".....................................................................................23 "Subordination Period"..................................................................................23 "Subsidiary"............................................................................................23 "Substituted Limited Partner"...........................................................................23 "Surviving Business Entity".............................................................................23 "Termination Capital Transactions"......................................................................23 "Thermogas".............................................................................................24 "Third Target Distribution".............................................................................24 "Trading Day"..............................
20. PIK Note"....................................................................................20 "PIK Repayment Date"..........................................................................20 "Plan"........................................................................................20 "Plan of Reorganization"......................................................................20 "Pledge and Security Agreement"...............................................................20 "Pledged Debt Instruments"....................................................................20 "Pledged Stock"...............................................................................20 "Predecessor Security"........................................................................20 "Preferred Interests".........................................................................20 "Prepayment Date".............................................................................20 "Prepayment Price"............................................................................21 "Prepetition Intercreditor Agreement".........................................................21 "Property Loss Event".........................................................................21 "Proposed Acquisition"........................................................................21 "Proposed Acquisition Target".................................................................21 "Related Documents"...........................................................................21 "Release".....................................................................................21 "Remedial Action".............................................................................21 "Required Holders"............................................................................21 "Requirement of Law"..........................................................................21 "Responsible Financial Officer"...............................................................22 "Responsible Officer".........................................................................22 EXECUTION COPY
More Definitions of 20
20. Pay the Junior Notes"........................................................ 6.02 "Payment Default"............................................................. 6.01 "PBGC Agreement".............................................................. 1.01 "Principal Obligations"....................................................... 13.20 "Proceedings"................................................................. 13.11 "Register".................................................................... 2.06 "Relevant Taxing Jurisdiction"................................................ 4.37 "Restricted Payments"......................................................... 4.04 "retiring Trustee"............................................................ 7.10 "Semi-Annual Test Date"....................................................... 4.14 "Special Record Date"......................................................... 2.09 "Taxing Jurisdiction"......................................................... 3.09 "US Restricted Payments"...................................................... 4.04 Schedule 3 - 51 INCORPORATION BY REFERENCE OF TRUST INDENTURE ACT The following Trust Indenture Act terms have the following meanings:
20. Full Entitlement ADR(s)", "Full Entitlement ADS(s)" and "Full Entitlement Share(s)"..................................4 Section 1.21 "Holder(s)"................................................
20. Redeemable Capital Stock"..............................................................21 "Redemption Date".......................................................................21 "Redemption Price"......................................................................21 "Registration Rights Agreement".........................................................21 "Registration Statement"................................................................21 "Regular Record Date"...................................................................21 "Regulation S"..........................................................................21 "Regulation S Global Securities"........................................................21 "Responsible Officer"...................................................................21 "Replacement Assets"....................................................................22 "Restricted Subsidiary".................................................................22 "
20. Full Entitlement ADR(s)", "Full Entitlement ADS(s)" and "Full Entitlement Share(s)"..
20. Pledged Stock"...............................................................................20 "Predecessor Security"........................................................................20 "Preferred Interests".........................................................................20 "Prepayment Date".............................................................................20 "Prepayment Price"............................................................................21 "Prepetition Intercreditor Agreement".........................................................21 "Property Loss Event".........................................................................21 "Proposed Acquisition"........................................................................21 "Proposed Acquisition Target".................................................................21 "Related Documents"...........................................................................21 "Release".....................................................................................21 "Remedial Action".............................................................................21 "Required Holders"............................................................................21 "Requirement of Law"..........................................................................21 "Responsible Financial Officer"...............................................................22 "Responsible Officer".........................................................................22 EXECUTION COPY
20. 050 Accumulated other comprehensive income ......................................... (582) Other equity capital components ................................................ 0
20. New Security"................................................................