Asset Disposition Offer Amount definition

Asset Disposition Offer Amount has the meaning set forth in Section 4.16.
Asset Disposition Offer Amount has the meaning assigned to such term in Section 4.10.
Asset Disposition Offer Amount has the meaning assigned to such term in Section 9.06.

Examples of Asset Disposition Offer Amount in a sentence

  • No later than five Business Days after the termination of the Asset Disposition Offer Period (the “Asset Disposition Purchase Date”), the Company will purchase the principal amount of Notes and Pari Passu Notes required to be purchased pursuant to this Section 4.15 (the “Asset Disposition Offer Amount”) or, if less than the Asset Disposition Offer Amount has been so validly tendered, all Notes and Pari Passu Notes validly tendered in response to the Asset Disposition Offer.

  • No later than the Asset Disposition Purchase Date, the Company will apply all Excess Proceeds to the purchase of the Asset Disposition Offer Amount, or, if less than the Asset Disposition Offer Amount of Notes (and, if applicable, Pari Passu Indebtedness) has been so validly tendered, all Notes and Pari Passu Indebtedness validly tendered in response to the Asset Disposition Offer.

  • No later than five Business Days after the termination of the Asset Disposition Offer Period (the “Asset Disposition Purchase Date”), the Issuer will purchase the principal amount of Notes and Pari Passu Notes required to be purchased pursuant to this Section 4.16 (the “Asset Disposition Offer Amount”) or, if less than the Asset Disposition Offer Amount has been so validly tendered, all Notes and Pari Passu Notes validly tendered in response to the Asset Disposition Offer.

  • No later than five Business Days after the termination of the Asset Disposition Offer Period, the Company will purchase the principal amount of Securities and Pari Passu Notes required to be purchased pursuant to this Section 3.5 (the “Asset Disposition Offer Amount”) or, if less than the Asset Disposition Offer Amount has been so validly tendered, all Securities and Pari Passu Notes validly tendered in response to the Asset Disposition Offer.

  • No later than five Business Days after the termination of the Asset Disposition Offer Period (the “Asset Disposition Purchase Date”), the Company will purchase the principal amount of Notes and Pari Passu Notes required to be purchased pursuant to the Asset Disposition Offer (the “Asset Disposition Offer Amount”) or, if less than the Asset Disposition Offer Amount has been so validly tendered, all Notes and Pari Passu Notes validly tendered in response to the Asset Disposition Offer.


More Definitions of Asset Disposition Offer Amount

Asset Disposition Offer Amount. Section 3.09(b)
Asset Disposition Offer Amount shall have the meaning set forth in Section 3.05(b).
Asset Disposition Offer Amount. 4.09 “Asset Disposition Offer Period” 4.09 “Asset Disposition Purchase Date” 4.09 “Change of Control Offer” 5.06(b) “Change of Control Payment” 5.06(b)(i) “Change of Control Payment Date” 5.06(b)(ii) “Covenant Defeasance” 9.03 “Defeasance Trust” 9.04 “DTC” 3.03 “Event of Default” 7.01 “Excess Proceeds” 5.07(b) “General Partner” 2.01 (definition of Indebtedness) “Incremental Funds” 5.08(a)(B)(iv)(C) Term Defined in sectionInitial Lien” 5.10(d) “Legal Defeasance” 9.02 “Note Register” 3.03 “Pari Passu Notes” 5.07(b) “Paying Agent” 3.03 “Registrar” 3.03 “Restricted Payment” 5.08(a) “Special Incremental Funds” 5.08(a)(B)(iv)(C) “Successor Company” 6.01(a)(i)
Asset Disposition Offer Amount. 3.7(d)(i)
Asset Disposition Offer Amount has the meaning specified in Section 1115.
Asset Disposition Offer Amount. 4.07(f) “Asset Disposition Offer Period” 4.07(f) “Asset Disposition Purchase Date” 4.07(f) “Authenticating Agent” 2.02 “Authentication Order” 2.02 “Authorized Agent” 13.05 “Change in Tax Law” 6(a) of each Note “Change of Control Offer” 4.11(b) “Change of Control Payment” 4.11(b) 44817394_5 Term Defined in Section