Asset Disposition Purchase Date definition

Asset Disposition Purchase Date has the meaning set forth in Section 4.16.
Asset Disposition Purchase Date has the meaning assigned to such term in Section 9.06.
Asset Disposition Purchase Date. 3.7(d)(i) “Authenticating Agent” 2.2 “Change of Control Offer” 3.9(b) “Change of Control Payment” 3.9(b)(i) “Change of Control Payment Date” 3.9(b)(ii) “covenant defeasance option” 8.1(b) “Defaulted Interest” 2.13 “Definitive Note Legend” 2.1(d)(D) “Event of Default” 6.1(a) “Excess Proceeds” 3.7(c) “Global Note Legend” 2.1(d)(C) “Global Notes” 2.1(b) “Guarantor Obligations” 10.1 “Initial Notes” Recitals “Issuer Order” 2.2 “legal defeasance option” 8.1(b) “Note Register” 2.3 “Notes” Recitals “Notice of Default” 6.1(a) “Paying Agent” 2.3 “payment default” 6.1(a)(vi) “Private Placement Legend” 2.1(d)(A) “protected purchaser” 2.9(b) “Redemption Date” 5.4 “Registrar” 2.3 “Regulation S” 2.1(b)

Examples of Asset Disposition Purchase Date in a sentence

  • The Company will publicly announce the results of the Asset Disposition Offer on the Asset Disposition Purchase Date.

  • The Issuer will publicly announce the results of the Asset Disposition Offer on the Asset Disposition Purchase Date.

  • If the Asset Disposition Purchase Date is on or after an interest record date and on or before the related Interest Payment Date, any accrued and unpaid interest will be paid to the Person in whose name a Note is registered at the close of business on such record date, and no additional interest will be payable to Holders who tender Notes pursuant to the Asset Disposition Offer.

  • The Company shall publicly announce the results of the Asset Disposition Offer on the Asset Disposition Purchase Date.

  • If the Asset Disposition Purchase Date is on or after an interest record date and on or before the related interest payment date, any accrued and unpaid interest will be paid to the Person in whose name a Security is registered at the close of business on such record date, and no additional interest will be payable to Holders who tender Securities pursuant to the Asset Disposition Offer.


More Definitions of Asset Disposition Purchase Date

Asset Disposition Purchase Date. Section 3.09(b) “Authentication Order” 2.02(c)
Asset Disposition Purchase Date. 6.11(b) “Change of Control Payment” 6.14(1) “Excess Proceeds” 6.11 “Funding Guarantor” 9.04 “General Partner” 2.02 (definition of “Indebtedness”) “Joint Venture” 2.02 (definition of “Indebtedness”) “Legal Defeasance” 8.02 “Obligations” 9.01 “Pari Passu Notes” 6.11(a) “Payment Default” 3.02(6)(a) “Qualifying SLB” 2.02 (clause (20) of the definition ofAsset Disposition”) “Reinstatement Date” 6.05 “Restricted Payment” 6.08(a) “Successor Company” 4.02(1) “Suspended Covenants” 6.05 “Suspension Period” 6.05
Asset Disposition Purchase Date. 3.12(b) “Asset Seizure” 3.09 “Asset Seizure Compensation” 3.09 “Asset Seizure Redemption Date” 3.09 “Authentication Order” 2.02(c)
Asset Disposition Purchase Date. 4.10 “Authentication Order” 2.02 “Authentication Agent” 2.02 “Change in Tax Law” 3.10 “Change of Control Offer” 4.15 “Change of Control Payment” 4.15 “Change of Control Payment Date” 4.15 “Covenant Defeasance” 8.03 “Event of Default” 6.01 “Excess Proceeds” 4.10 “Notes” Preamble “Guaranteed Obligations” 11.01 “Initial Agreement” 4.08 “Initial Lien” 4.12 “Interest Amount” 2.16 “Legal Defeasance” 8.02 “Luxembourg Guarantor” 11.02 “Margin” 2.16 “Payor” 2.13 “Permitted Payments” 4.07
Asset Disposition Purchase Date. 4.05(g) “Authenticating Agent” 2.03 “Authentication Order” 2.03 “Authorized Agent” 12.08 “Calculation Date” 1.01 “Change of Control Offer” 4.14(b) “Change of Control Payment” 4.14(b)(i) “Change of Control Payment Date” 4.14(b)(ii) “Code” 4.13(a)(ii) “covenant defeasance option” 8.01(b) “cross acceleration provision” 6.01(d)(ii) “defeasance trust” 8.02(i) “Definitive Registered NoteExhibit A
Asset Disposition Purchase Date. 4.05(f) “Authenticating Agent” 2.03 “Authentication Order” 2.03 “Authority” 7.10(h)(i) “Authorized Agent” 12.08 “Change of Control Offer” 4.14(b) “Change of Control Payment” 4.14(b)(i) “Change of Control Payment Date” 4.14(b)(ii) “Code” 4.13(b) “covenant defeasance option” 8.01(b) “defeasance trust” 8.02(a)(i) “Definitive Registered NoteExhibit A “Depositary” Exhibit A “Dollar Paying Agent” 2.04(a) “Electronic Means” 7.02(x) “Established Material New U.S. Subsidiary” 4.08(a) “Euro Paying Agent” 2.04(a) “Event of Default” 6.01 “Excess Proceeds” 4.05(b) “FATCA Withholding” 4.13(c) “First Lien Pari Passu Indebtedness” 4.05(b)(i) “Global Notes” Exhibit A “Global Notes Legend” Exhibit A “Increased Amount” 4.03 “Initial Agreement” 4.04(b)(iii) “Initial Default” 4.16(b) “Initial Lien” 4.03 “legal defeasance option” 8.01(b) “Material New U.S. Subsidiaries” 4.08(a) “Notes Custodian” Exhibit A “NY Law Receivables Pledge AgreementSchedule 1 “Party” 7.10(h)(i) “Payor” 4.13(a) “Permitted Debt” 4.01(b) “Permitted Payments” 4.02(c) “protected purchaser” 2.08 “QIB” Exhibit A “Registrar” 2.04(a)
Asset Disposition Purchase Date. 4.07(e) “Authenticating Agent” 2.02 “Authentication Order” 2.02 “Authorized Agent” 13.06 “Change in Tax Law” 3.08(a) “Change of Control Offer” 4.12(b) “Change of Control Payment” 4.12(b) “Change of Control Payment Date” 4.12(b) “Covenant Defeasance” 8.03 “cross-acceleration provision” 6.01(a)(6)(B) “Event of Default” 6.01(a) “Excess Proceeds” 4.07(b) “guarantee provision” 6.01(a)(11) “Initial Default” 6.01(c) “Initial Lien” 4.09 “Initial Notes” Preamble “judgment default provision” 6.01(a)(9) “Legal Defeasance” 8.02 “payment default” 6.01(a)(6)(A) “Payor” 4.17(a) “Permitted Payments” 4.04(b) “recognized stock exchange” 4.11 “Registrar” 2.03 “Relevant Taxing Jurisdiction” 4.17(a) “Restricted Payment” 4.04(a) “security default provision” 6.01(a)(10) “Successor Person” 5.01(a) “Suspension Event” 4.18 “Tax Redemption Date” 3.08(a) “Transfer Agent” 2.03