Asset Sale Offer Payment Date definition

Asset Sale Offer Payment Date has the meaning assigned to it in Section 3.12(f).
Asset Sale Offer Payment Date means a Business Day which is no earlier than 30 days nor later than 60 days from the date the Asset Sale Offer Notice is mailed (other than as may be required by law).
Asset Sale Offer Payment Date has the meaning set forth in Section 2.05(b)(i)(E).

Examples of Asset Sale Offer Payment Date in a sentence

  • In addition, if an applicant cannot meet the appropriate cost share/match by the time of award, they will not be eligible to receive funding.

  • In the event the proceeds from a permitted Asset Sale exceed certain amounts and are not applied as specified in the Indenture, the Company will be required to make an Asset Sale Offer to purchase to the extent of such remaining proceeds each Holder’s Notes together with holders of certain other Indebtedness at 100% of the principal amount thereof, plus accrued interest (if any) to the Asset Sale Offer Payment Date, as more fully set forth in the Indenture.

  • In the event the proceeds from a permitted Asset Sale exceed certain amounts and are not applied as specified in the Indenture, the Company will be required to make an Asset Sale Offer to purchase to the extent of such remaining proceeds each Holder’s Notes together with holders of certain other Indebtedness at 100% of the principal amount thereof, plus accrued and unpaid interest thereon to the Asset Sale Offer Payment Date, as more fully set forth in the Indenture.

  • The Company will publicly announce the results of the Asset Sale Offer on the Asset Sale Offer Payment Date.

  • The Issuers will publicly announce the results of the Asset Sale Offer on or as soon as practicable after the Asset Sale Offer Payment Date.


More Definitions of Asset Sale Offer Payment Date

Asset Sale Offer Payment Date means, with respect to any Available Amount from an Asset Sale, the earlier of (x) the 180th day following receipt of such Available Amount or (y) such earlier date on which an Asset Sale Offer shall expire.
Asset Sale Offer Payment Date. 4.16 “Asset Sale Offer Trigger Date” 4.16 “Authentication Agent” 2.2 “Bankruptcy Law” 6.1 “Benefited Party” 12.1 “Change of Control Offer” 4.17 “Change of Control Payment” 4.17 “Change of Control Payment Date” 4.17 “Covenant Defeasance” 8.3 “Custodian” 6.1 “Deemed Date” 4.10 “DTC” 2.3 “Early Tender Premium” 4.17 “Event of Default” 6.1 “Increased Amount” 4.11 “incur” 4.10 “Judgment Currency” 11.13 “Legal Defeasance” 8.2 “Legal Holiday” 11.5 “New York Banking Day” 11.13 “Offer Amount” 3.8 “Offer Period” 3.8 “Pari Passu Indebtedness” 4.16 “Purchase Date” 3.8 “Reports Default Notice” 6.15 “Required Currency” 11.13 “Restricted Payments” 4.9 “Second Commitment” 4.16 “Successor Person” 5.2
Asset Sale Offer Payment Date is defined in Section 7.09(b).
Asset Sale Offer Payment Date has the meaning assigned to it in Section 5.06(e).
Asset Sale Offer Payment Date. 4.16 “Asset Sale Offer Trigger Date” 4.16 “Authentication Agent” 2.2 “Bankruptcy Law” 6.1 “Benefited Party” 12.1 “Change of Control Offer” 4.17 “Change of Control Payment” 4.17 “Change of Control Payment Date” 4.17 “Covenant Defeasance” 8.3 “Custodian” 6.1 “DTC” 2.3 “Event of Default” 6.1 “incur” 4.10 “Judgment Currency” 11.15 “Legal Defeasance” 8.2 “Legal Holiday” 11.7 “New York Banking Date” 11.15 “Note Register” 2.3 “Offer Amount” 3.9 “Offer Period” 3.9 “Pari Passu Indebtedness” 4.16 “Purchase Date” 3.9 “Required Currency” 11.15 “Restricted Payments” 4.9 “Subsidiary Guarantor” 12.1 “Successor Person” 5.2
Asset Sale Offer Payment Date has the meaning ascribed thereto in Section 8.8.
Asset Sale Offer Payment Date has the meaning specified in Section 10.12.