Certificate Number definition

Certificate Number. AGGREGATE LIQUIDATION AMOUNT: $ ___________ CUSIP NUMBER: _________ CERTIFICATE EVIDENCING SERIES CAPITAL SECURITIES OF SKY FINANCIAL CAPITAL TRUST I 9.34% CAPITAL SECURITIES, SERIES A (LIQUIDATION AMOUNT $1,000 PER CAPITAL SECURITY) Sky Financial Capital Trust I, a statutory business trust created under the laws of the State of Delaware (the "Trust"), hereby certifies that _________________ is the registered owner of _____________ Capital Securities, Series A of the Trust (liquidation amount of $1,000 per Capital Security), representing undivided preferred beneficial interests in the assets of the Trust designated the 9.34% Capital Securities, Series A (liquidation amount $1,000 per Capital Security) (the "Capital Securities"). The Capital Securities are transferable on the books and records of the Trust, in person or by a duly authorized attorney, upon surrender of this certificate duly endorsed and in proper form for transfer. The designation, rights, privileges, restrictions, preferences and other terms and provisions of the Capital Securities represented hereby are issued and shall in all respects be subject to the provisions of the Amended and Restated Declaration of Trust of the Trust, dated as of March 31, 2000, as the same may be amended from time to time (the "Declaration"), including the designation of the terms of the Capital Securities as set forth in Annex I to the Declaration. Capitalized terms used but not defined herein shall have the meaning given them in the Declaration. The Sponsor will provide a copy of the Declaration, the Capital Securities Guarantee and the Indenture (including any supplemental indenture) to a Holder without charge upon written request to the Trust at its principal place of business. Upon receipt of this Certificate, the Holder is bound by the Declaration and is entitled to the benefits thereunder and to the benefits of the Capital Securities Guarantee to the extent provided therein. By acceptance hereof, the Holder agrees to treat, for United States federal income tax purposes, the Debentures as indebtedness and the Capital Securities as evidence of indirect beneficial ownership in the Debentures.
Certificate Number means the identification number issued by the Company for a Loan to which coverage is extended as shown on the Certificate Schedule for such Loan.
Certificate Number means a reference number allocated by an Issuer in respect of, and printed on, a Certificate.

Examples of Certificate Number in a sentence

  • Certificate Number Denomination ......................................................................

  • This Notice relates to the Note(s) bearing the following certificate numbers and in the following denominations: Certificate Number Denomination ......................................................................

  • It is the responsibility of the vendor to verify that the purchaser is exempt by obtaining the purchaser’s Federal Excise and State Taxes and Use Certificate Number.

  • This Notice relates to the Note(s) bearing the following certificate numbers and in the following denominations: Certificate Number Denomination ....................................................

  • The Board recognizes the Association as the sole and exclusive bargaining agent for the members of the bargaining unit as defined by Certificate Number 1594-79-R of the Ontario Labour Relations Board dated December 18, 1979, and as amended on June 6, 1980.


More Definitions of Certificate Number

Certificate Number means a unique traceable number allocated to a certificate by SANEDI;
Certificate Number. P- [__] U.S. $60,000,000 Aggregate Liquidation Amount Preferred Securities CUSIP NO. 92549Y AA8 Certificate Evidencing Preferred Securities of VESTIN II CAPITAL TRUST I Preferred Securities (liquidation amount U.S. $1,000 per Preferred Security) Vestin II Capital Trust I, a statutory trust created under the laws of the State of Delaware (the “Trust”), hereby certifies that Cede & Co., as nominee on behalf of The Depository Trust Company (the “Holder”) is the registered owner of Sixty Thousand Preferred Securities [if the Preferred Security is a Global Security, then insert – or such other number of Preferred Securities represented hereby as may be set forth in the records of the Securities Registrar hereinafter referred to in accordance with the Trust Agreement (as defined below)] of the Trust representing an undivided preferred beneficial interest in the assets of the Trust and designated the Vestin II Capital Trust I Preferred Securities, (liquidation amount U.S. $1,000 per Preferred Security) (the “Preferred Securities”). Subject to the terms of the Trust Agreement (as defined below), the Preferred Securities are transferable on the books and records of the Trust, in person or by a duly authorized attorney, upon surrender of this certificate duly endorsed and in proper form for transfer as provided in Section 5.7 of the Trust Agreement (as defined below). The designations, rights, privileges, restrictions, preferences and other terms and provisions of the Preferred Securities are set forth in, and this certificate and the Preferred Securities represented hereby are issued and shall in all respects be subject to the terms and provisions of, the Amended and Restated Trust Agreement of the Trust, dated as of June 22, 2007, as the same may be amended from time to time (the “Trust Agreement”), among Vestin Realty Mortgage II, Inc., as Depositor, The Bank of New York Trust Company, National Association, as Property Trustee, The Bank of New York (Delaware), as Delaware Trustee, the Administrative Trustees named therein and the Holders, from time to time, of the Trust Securities. The Trust will furnish a copy of the Trust Agreement to the Holder without charge upon written request to the Property Trustee at its Corporate Trust Office. Upon receipt of this certificate, the Holder is bound by the Trust Agreement and is entitled to the benefits thereunder. This Preferred Securities Certificate shall be governed by and construed in accordance with the laws of the S...
Certificate Number ft045 Date Issued: 2/19/93 Basic Vegetable Products certifies the attributes listed. No claims or reference regarding listing can be used in advertisement without the written approval of Basic Vegetable Products. This analysis represents the typical standard of identity for this product as supplied to Pure-Gar. -------------------------- C.O.G. Administrator X.X. Xxx 00000 Xxxxxx, XX 00000 000-000-0000 FAX: 000-000-0000 P U R E - G A R A SUBSIDIARY OF BASIC VEGETABLE PRODUCTS January 15, 1998 Client: Pure-Gar Product: Organic Granulated Garlic A-1500 CERTIFICATION OF GUARANTEE Test Product Code: Resource # 00000 Xxx # X.X. # Xxxxxxxxxx Test Results: B/L # ATTRIBUTES METHOD ---------- ------ *Allicin yield XXXXX ppm minimum C-18 HPLC Moisture XXXX maximum A 2.2 Granulation XXX mesh, XX maximum A 6.0 XXX mesh, XXX maximum XXXX mesh, XXX maximum MICROBIOLOGICAL ---------------- Total Plate Count XXXXXX/g maximum M 1.0 Mold XXXXX/g maximum M 2.0 Coliform XX/g maximum M 4.0 E. coli less than XX/g M 4.0 Salmonella Negative/XX grams M 15.0 ----------- * Determined using a C-18 HPLC column ORGANIC CERTIFICATION This product has been organically grown in accordance with the standards established by the California Certified Organics Farmers and the provisions of the California Organic Food Act of 1990.
Certificate Number means the certificate number granted to the Registrant by CPCC permitting the Registrant to purchase or otherwise acquire, directly from a Distributor, Zero-Rated Media on a Levy-free basis;
Certificate Number. ANNUITY SERVICE CENTER: P9999999999 733 XXXXX XXXXXX 0XX XXXXX XXX XXXX, XX 00000 XXXTICIPANT: JOHN XXX XXNUITANT: JOHN XXX XXNEFICIARY: DATE OF ISSUE: DECEMBER 09, 1992 ANNUITY DATE: FIRST PURCHASE PRICE SEPTEMBER 01, 2048 ($10,000.00) MINIMUM SUBSEQUENT PURCHASE PAYMENT: $250.00 AGE AT ISSUE: 35 MAXIMUM PURCHASE PAYMENT: $500,000.00 FUNDS UNDERLYING VARIABLE SEPARATE ACCOUNT: FIXED ACCOUNT - MUTUAL FUND VARIABLE Minimum Subsequent Guarantee ANNUITY TRUST Rate: 3.0%
Certificate Number. ANNUITY SERVICE CENTER: P9999999999 P. O. BOX 54299 LOS ANGELES, CA 90054-0299 PARTICIPANT: AGE AT ISSUE: JOHN XXX 35 ANNUITANT: GROSS PURCHASE PAYMENT: JOHN XXX $10,000.00 ANNUITY DATE: PURCHASE PAYMENT: October 1, 2028 $9425.00 LATEST ANNUITY DATE: CERTIFICATE DATE: October 1, 2053 October 1, 1998 MORTALITY RISK CHARGE: FIXED ACCOUNT OPTIONS - [0.23%] Minimum Guarantee Rate: 3.0%
Certificate Number. 00000 CONTRACT DATE: March 1 2008] 2007IFL-I-A(rev 11-07) FLEXIBLE PREMIUM DEFERRED VARIABLE ANNUITY CONTRACT Processing Office: AXA Equitable Life Insurance Company, [P.O. Box 1547, Secaucus, New Jersey 07096-1547] This Contract is issued in return for the Contributions to be made to us under the Contract.