Asset Sale Offer Price definition

Asset Sale Offer Price shall have the meaning specified in Section 4.13.
Asset Sale Offer Price shall have the meaning specified in Section 4.14.
Asset Sale Offer Price has the meaning specified in Section 10.14.

Examples of Asset Sale Offer Price in a sentence

  • If the Asset Sale Offer Price with respect to Securities tendered into such Asset Sale Offer exceeds the Excess Proceeds allocable to the Securities, Securities to be purchased shall be selected on a pro rata basis.

  • A staff of document specialists is on-site at all times to ensure vital documents remain safe, intact and readily accessible.

  • Upon expiration of the Asset Sale Offer Period, the Company shall apply the Asset Sale Offer Amount, plus an amount equal to accrued interest to the purchase of all Indebtedness properly tendered (on a pro rata basis as described above if the Asset Sale Offer Amount is insufficient to purchase all Indebtedness so tendered) at the Asset Sale Offer Price (together with accrued interest).

  • When the aggregate amount of Excess Proceeds equals or exceeds $10,000,000, the Company shall make an offer to purchase (an "Asset Sale Offer"), from all holders of the Securities, an aggregate principal amount of Securities equal to such Excess Proceeds, at a price in cash equal to 100% of the outstanding principal amount thereof plus accrued and unpaid interest, if any, thereon to the Purchase Date (the "Asset Sale Offer Price").

  • The Paying Agent shall promptly mail or deliver to Holders of Securities so accepted payment in an amount equal to the Asset Sale Offer Price, and the Trustee shall promptly authenticate and mail or deliver to such Holders a new Security equal in principal amount to any unpurchased portion of the Security surrendered.


More Definitions of Asset Sale Offer Price

Asset Sale Offer Price has the meaning set forth in Section 6.11(c) hereof.
Asset Sale Offer Price. 10.14 "Asset Sale Offer Trigger Date" 10.14 "Authenticating Agent" 2.02 "Change of Control Date" 10.15 "Change of Control Offer" 10.15 "Change of Control Purchase Date" 10.15 "Change of Control Purchase Price" 10.15 "covenant defeasance" 4.03 "Defaulted Interest" 3.06 "defeasance" 4.02 "Defeased Guarantees" 4.01 "Defeased Notes" 4.01 "Designation" 10.19 "Designation Amount" 10.19 "Excess Proceeds" 10.14
Asset Sale Offer Price has the meaning provided in Section 3.10.
Asset Sale Offer Price. 4.10 "Change of Control Offer" 4.18 "Change of Control Purchase Date" 4.18 "Change of Control Offer Period" 4.18 "Change of Control Purchase Price" 4.18 "Covenant Defeasance" 8.3 "Event of Default" 6.1 "Excess Proceeds" 4.10 "incur" 4.9 "Legal Defeasance" 8.2 "Paying Agent" 2.3 "Registrar" 2.3 "Repurchase Offer" 3.1 "Restricted Payments" 4.7 "Unrestricted Investment" 4.16
Asset Sale Offer Price has the meaning speci- fied in Section 10.14.
Asset Sale Offer Price. 4.10 "Company's Subsidiaries" 6.01 "Equity Realization Offer" 4.15 "Equity Realization Offer Price" 4.15 "Equity Realization Payment" 4.15 "Equity Realization Payment Date" 4.15 "Excess Proceeds" 4.10 "Excess Proceeds Offer Triggering Event" 4.10 "Event of Default" 9.01 "Fonda Option Agreement" 3.02 "Guarantor Xxxxon Agreement 3.03 "incur" 4.09 "Indemnitee[s]" 8.02 "Inspectors" 4.21 "Laws" 6.11 "New Sweetheart Indenture" 4.26 "Offered Price" 4.10 "Option Agreement" 3.02 "Other Indebtedness" 4.10 "Other Indebtedness Amount" 4.10 "Pari Passu Offer" 4.10 "Payment Amount" 4.10 "Permitted Debt" 4.09 "Proceedings" 6.09 "Projections" 6.03 "Restricted Payments" 4.07 "Supplemental Data" 6.03 "Transaction Agreements" 8.01
Asset Sale Offer Price. 10.15 "Asset Sale Purchase Date" 10.15 "Change of Control Date" 10.16 "Change of Control Offer" 10.16 "Change of Control Payment Date" 10.16 "Change of Control Purchase Notice" 10.16 "Change of Control Purchase Price" 10.16 "covenant defeasance" 4.03 "Defaulted Interest" 3.07 "defeasance" 4.02 "Defeased Securities" 4.01 "Deficiency" 10.15 "Designation Amount" 10.10 "Excess Proceeds" 10.15 "incur" 10.12 "insolvent person" 4.04 "Notice of Default" 5.01 "Payment Date" 3.08 "rate of exchange" 1.20 "Replacement Assets" 10.15 "Restricted Security" 2.05 "surviving entity" 8.01 "Surviving Guarantor" 8.01