Automatic Exchange Notice Date definition

Automatic Exchange Notice Date has the meaning specified in Section 305(d) of this Indenture.
Automatic Exchange Notice Date. 2.3(i) “Global Note” 2.1(b) “IAI Global Note” 2.1(b)
Automatic Exchange Notice Date has the meaning set forth in Section 2.3(c)(vi).

Examples of Automatic Exchange Notice Date in a sentence

  • At the Issuer’s written request on no less than five (5) calendar days’ notice prior to the Automatic Exchange Notice Date, the Trustee shall deliver, in the Issuer’s name and at its expense, the Automatic Exchange Notice to each Holder at such Holder’s address appearing in the register of Holders; provided that the Issuer has delivered to the Trustee the information required to be included in such Automatic Exchange Notice.

  • At the Issuer’s request on no less than five (5) calendar days’ notice prior to the Automatic Exchange Notice Date, the Trustee shall deliver, in the Issuer’s name and at its expense, the Automatic Exchange Notice to each Holder in accordance with DTC’s applicable procedures.

  • Notwithstanding anything to the contrary in ‎Section 2.16, during the 10-day period between the Automatic Exchange Notice Date and the Automatic Exchange Date, no transfers or exchanges other than pursuant to this ‎Section 2.17 shall be permitted without the prior written consent of the Company.

  • At the Company’s written request on no less than five (5) calendar days’ notice prior to the Automatic Exchange Notice Date, the Trustee shall deliver, in the Company’s name and at its expense, the Automatic Exchange Notice to each Holder at such Holder’s address appearing in the register of Holders; provided that the Company has delivered to the Trustee the information required to be included in such Automatic Exchange Notice.

  • Upon receipt by the Trustee of an Officer’s Certificate of the Issuer setting forth the information to be stated in such Automatic Exchange Notice, which Officer’s Certificate must be received by the Trustee, on no less than five (5) calendar days prior to the Automatic Exchange Notice Date, the Trustee shall deliver, in the Issuer’s name and at the Issuer’s expense, the Automatic Exchange Notice to each Holder at such Holder’s address appearing in the register of Holders.


More Definitions of Automatic Exchange Notice Date

Automatic Exchange Notice Date. 2.2(i) “Definitive Notes Legend” 2.2(e) “ERISA Legend” 2.2(e) “Global Note” 2.1(b)
Automatic Exchange Notice Date. Section 2.2(h) of Appendix ICalculation Date” 1.01 “Change of Control Offer” 4.15(a) “Change of Control Payment” 4.15(a) “Change of Control Payment Date” 4.15(a) “Change of Control Purchase Date” 4.15(a) “Clearstream” 1.1(a) of Appendix I “Covenant Defeasance” 8.03 “CUSIP” 2.2(i) of Appendix I “Definitive Notes Legend” 2.2(e) of Appendix I “Distribution Compliance Period” 1.1(a) of Appendix I “ERISA Legend” 2.2(e)of Appendix I “Euroclear” 1.1(a) of Appendix I “Event of Default” 6.01(a) “Excess Proceeds” 4.16(f) “Expiration Date” 1.05(j) “Global Note” 2.1(b) of Appendix I “Global Notes Legend” 2.2(e) of Appendix I “Guaranteed Obligations” 10.01(a) “IAI” 1.1(a) of Appendix I “IAI Global Note” 2.1(b) of Appendix I “incur” 4.09 “Joint Venture” 1.01 “Joint Venture General Partner” 1.01 “Legal Defeasance” 8.02(a) “Note Register” 2.03(a) “Notes Obligations” 13.01(a) “Paying Agent” 2.03(a) “Payment Default” 6.01(a) “Permitted Debt” 4.09(b) “QIB” 1.1(a) of Appendix I
Automatic Exchange Notice Date. Section 2.2(h) of Appendix ICalculation Date” 1.01
Automatic Exchange Notice Date has the meaning specified in Section 2.05(c).
Automatic Exchange Notice Date. 2.2(i) of Appendix Abalance sheet date” 4.06(f) “Cash Settlement” 13.03(a)
Automatic Exchange Notice Date. 2.2(i) of Appendix Abalance sheet date” 4.06(e) “Change of Control Offer” 4.15(a) “Change of Control Payment” 4.15
Automatic Exchange Notice Date. 2.17 “Change of Control Offer” 4.07 “Change of Control Payment” 4.07 “Change of Control Payment Date” 4.07 “covenant defeasance” 8.02 “defeasance trust” 8.03 “Distribution Compliance Period” 2.01 “Event of Default” 6.01 “Excess Proceeds” 4.11 “Global Notes” 2.01 “Guaranteed Obligations” 10.01 “Global Note Legend” Exhibit BIAI Global Note” 2.01 “Initial Global Notes” 2.01 “Initial Notes” 2.02 “legal defeasance” 8.02 “Net Proceeds Deficiency” 4.11 “Net Proceeds Payment Date” 4.11 “Offered Amount” 4.11 “Original Issue Discount Legend” Exhibit B “Pari Passu Debt” 4.11 “Pari Passu Debt Amount” 4.11 “Participants” 2.15 “Paying Agent” 2.03 “Payment Amount” 4.11 “Permanent Regulation S Global Note” 2.01 “Permitted Debt” 4.08 “Physical Notes” 2.01 “Private Placement Legend” Exhibit B “Registrar” 2.03 “Regulation S Global Note” 2.01 “Reporting Suspension Period” 4.16 “Reversion Date” 4.17 “Suspended Covenants” 4.17 “Suspension Date” 4.17 “Suspension Period” 4.17 “Temporary Regulation S Global Note” 2.01 “Temporary Regulation S Global Note Legend” Exhibit B “Testing Party” 4.18(a)(v) “Transaction Agreement Date” 4.18(a)(v) Section 1.03.