Asset Sale Offer Period definition

Asset Sale Offer Period shall have the meaning specified in Section 4.14.
Asset Sale Offer Period shall have the meaning specified in Section 4.13.
Asset Sale Offer Period has the meaning assigned to it in Section 3.12(e).

Examples of Asset Sale Offer Period in a sentence

  • No later than five Business Days after the termination of the Asset Sale Offer Period (the “Asset Sale Purchase Date”), the Company shall purchase the principal amount of Notes required to be purchased pursuant to this Section 3.17 (the “Asset Sale Offer Amount”) or, if less than the Asset Sale Offer Amount has been so validly tendered and not properly withdrawn, all Notes validly tendered in response to the Asset Sale Offer.

  • The Indenture provides that an acquisition of Notes pursuant to an Asset Sale Offer may be deferred until the accumulated Net Cash Proceeds from Asset Sales not applied to the uses set forth in (i) above (the "Excess Proceeds") exceeds $50.0 million and that each Asset Sale Offer shall remain open for 20 Business Days following its commencement (the "Asset Sale Offer Period").

  • In the event that the aggregate purchase price of the Notes delivered by the Company to the Trustee is less than the Asset Sale Offer Amount, the Trustee or the Paying Agent shall deliver the excess to the Company immediately after the expiration of the Asset Sale Offer Period for application in accordance with this Section 3.08.

  • Upon expiration of the Asset Sale Offer Period, the Issuers shall apply the Asset Sale Offer Amount plus an amount equal to accrued and unpaid interest and Liquidated Damages, if any, to the purchase of all Indebtedness properly tendered (on a pro rata basis if the Asset Sale Offer Amount is insufficient to purchase all Indebtedness so tendered) at the applicable Asset Sale Offer Price (together with accrued and unpaid interest and Liquidated Damages, if any).

  • In the event that the Collateral Excess Proceeds delivered by the Issuer to the Trustee are greater than the pur- chase price of the Notes tendered, the Trustee shall deliver the excess to the Issuer reasonably promptly following its actual knowledge of the expiration of the Collateral Asset Sale Offer Period for application in accordance with Section 4.06.


More Definitions of Asset Sale Offer Period

Asset Sale Offer Period. 4.8 "Asset Sale Offer Amount" 4.8 "Asset Sale Purchase Date" 4.8 "Bankruptcy Law" 6.1 "Benefitted Party" 11.1 "Change of Control Offer" 4.7 "Change of Control Offer Period" 4.7 "Change of Control Payment" 4.7 "Change of Control Purchase Date" 4.7 "Covenant Defeasance" 8.3 "Custodian" 6.1 "Event of Default" 6.1 "Excess Proceeds" 4.8 "incur" 4.10 "Interest" 2.13 "Legal Defeasance" 8.2 "Notice of Default" 6.1 "Paying Agent" 2.3 "Payment Blockage Notice" 10.3 "Payment Default" 6.1 "Registrar" 2.3 "Representative" 10.3 "Restricted Payments" 4.9
Asset Sale Offer Period has the meaning specified in Section 10.13.
Asset Sale Offer Period. 3.10 “Asset Sale Payment Date” 3.10 “Authentication Agent” 2.02 “Authorized Agent” 12.05 “Change of Control Offer” 4.14 “Change of Control Payment” 4.14 “Change of Control Payment Date” 4.14 “Covenant Defeasance” 8.03 “Event of Default” 6.01 “Hedging Obligations” 4.09 “incur” 4.09 “Judgment Currency” 12.13 “Legal Defeasance” 8.02 “Paying Agent” 2.03 “Payment Default” 6.01 “Permitted Debt” 4.09 “Register” 2.03 “Registrar” 2.03 “Reinvestment Termination Date” 4.10 “Restricted Payments” 4.07 “Reversion Date” 4.19 “Surviving Entity” 5.01 “Suspended Covenants” 4.19 “Suspension Event” 4.19 “Suspension Period” 4.19 “Tax Jurisdiction” 4.17 “Tax Redemption Date” 3.08 “Transfer Agent” 2.03
Asset Sale Offer Period. 3.10(b) “Asset Sale Purchase Date” 3.10(b) “Authentication Order” 2.02(c) “Canadian Restricted Legend” 2.3(d)(i) of Appendix AChange of Control Offer” 4.14(a) “Change of Control Payment” 4.14(a) “Change of Control Payment Date” 4.14(a)(2) “Clearstream” 1.1(a) of Appendix A “Covenant Defeasance” 8.03 “Definitive Notes Legend” 2.3(d)(i) of Appendix A “Euroclear” 1.1(a) of Appendix A “Event of Default” 6.01(a) Term Defined in SectionExcess Proceeds” 4.10(c) “Expiration Date” 1.04(j) “Global Note” 2.1(b) of Appendix A “Global Notes Legend” 2.3(d)(i) of Appendix A “Initial Default” 6.04 “Legal Defeasance” 8.02(a) “Note Register” 2.03(a) “Paying Agent” 2.03(a) “Payment Default” 6.01(a)(5) “Permitted Debt” 4.09(b) “QIB” 1.1(a) of Appendix A “Registrar” 2.03(a) “Regulation S” 1.1(a) of Appendix A “Regulation S Global Note” 2.1(b) of Appendix A “Regulation S Notes” 2.1(a) of Appendix A “Relevant Taxing Jurisdiction” 2.13(a) “Restricted Notes Legend” 2.3(d)(i) of Appendix A “Rule 144” 1.1(a) of Appendix A “Rule 144A” 1.1(a) of Appendix A “Rule 144A Global Note” 2.1(b) of Appendix A “Rule 144A Notes” 2.1(a) of Appendix A “Second Commitment” 4.10(b) “Suspended Covenants” 4.17(a) “Suspension Period” 4.17(b) “Taxes” 2.13(a) “Unrestricted Global Note” 1.1(a) of Appendix A “U.S. person” 1.1(a) of Appendix A
Asset Sale Offer Period. 3.09 "Asset Sale Payment Date" 3.09 "Authentication Order" 2.04 "Change of Control Offer" 4.15 "Change of Control Payment" 4.15 "Change of Control Payment Date" 4.15 "Covenant Defeasance" 8.03 "DTC" 2.05 "Event of Default" 6.01 "Excess Proceeds" 4.10 "incur" 4.09 "Legal Defeasance" 8.02 "New Guarantor" 11.05 "Offer Amount" 3.09 "Other Indebtedness" 11.05 "Paying Agent" 2.05 "Payment Default" 6.01 "Permitted Debt" 4.09 "Registrar" 2.05 "Restricted Payments" 4.07
Asset Sale Offer Period. 4.8 "Asset Sale Offer Amount" 4.8 "Asset Sale Purchase Date" 4.8
Asset Sale Offer Period is defined in Section 1109 hereof.