Class B Underwriting Agreement definition

Class B Underwriting Agreement means the Underwriting Agreement dated October 23, 2017 among the Class B Underwriters and United, relating to the purchase of the Class B Certificates by the Class B Underwriters, as the same may be amended, supplemented or otherwise modified from time to time in accordance with its terms.
Class B Underwriting Agreement means the Underwriting Agreement, dated February 7, 2011 among Xxxxxx Xxxxxxx & Co. Incorporated, Deutsche Bank Securities Inc. and Xxxxxxx, Sachs & Co., as representatives of the Class B Underwriters, and Delta, as the same may be amended, supplemented or otherwise modified from time to time in accordance with its terms.

Examples of Class B Underwriting Agreement in a sentence

  • It is a condition to the effectiveness of the Pricing Agreement and the Agreement that the Class B Underwriting Agreement and the Class B Pricing Agreement be duly executed and delivered by the parties thereto.

  • Xxxxxxxx Title: Treasurer The foregoing Class B Underwriting Agreement is hereby confirmed and accepted as of the date first written above.

  • The Class A Certificates and the Class B Certificates are referred to herein collectively as the "Certificates." This Agreement and the Class B Underwriting Agreement are referred to herein collectively as the "Underwriting Agreements." The Receivables will be conveyed by the Originators to the Transferor pursuant to the Receivables Purchase Agreement dated as of December 1, 1996 (the "Receivables Purchase Agreement") between the Originators and the Transferor.

  • It is understood that Seller and the Transferor are currently entering into a Class B Underwriting Agreement, dated the date hereof (the "Class B Underwriting Agreement") among the Seller, the Transferor and the Underwriters named on Schedule I thereto (the "Class B Underwriters") providing for the sale of $17,600,000 aggregate initial principal amount of the Trust's Class B Floating Rate Asset Backed Certificates, Series 2002-1 (the "Class B Certificates").

  • Xxxxx Title: Secretary The foregoing Class B Underwriting Agreement is hereby confirmed and accepted as of the date first written above.

  • The Class B Notes will be sold pursuant to a Class B Underwriting Agreement, dated _________, 2001 (the "Class B Underwriting Agreement"), between the Seller and [__________] (the "Class B Underwriter").

  • The Class B Notes will be sold pursuant to a Class B Underwriting Agreement, dated August 11, 2000 (the "Class B Underwriting Agreement"), between the Seller and Salomon, as representative of the underwriters named therein (the "Xxxxx B Underwriters").

  • The Class B Notes will be sold pursuant to a Class B Underwriting Agreement, dated November 10, 2000 (the "Class B Underwriting Agreement"), between the Seller and Salomon (the "Class B Underwriter").

  • It is understood that Seller and the Transferor are currently entering into a Class B Underwriting Agreement, dated the date hereof (the "Class B Underwriting Agreement") among the Seller, the Transferor and the Underwriters named on Schedule I thereto (the "Class B Underwriters") providing for the sale of $20,000,000 aggregate initial principal amount of the Trust's Class B Floating Rate Asset Backed Certificates, Series 2001-1 (the "Class B Certificates").

  • This opinion is furnished pursuant to Section 4(b)(2) of the Class B Underwriting Agreement, dated [ ], 2017 (the “Underwriting Agreement”), among American and Credit Suisse Securities (USA) LLC and [ ], as representatives of the Underwriters named therein.


More Definitions of Class B Underwriting Agreement

Class B Underwriting Agreement has the meaning set forth in the eighth recital to the Note Purchase Agreement.
Class B Underwriting Agreement. Controlling Party”, “Corporate Trust Office”, “Delivery Period Expiry Date”, “Downgraded [Revolving Credit Agreement (2018-1B)]
Class B Underwriting Agreement. Means the Class B Underwriting Agreement, dated September 26, 2017, among the Company, the Depositary and Deutsche Bank Securities Inc. and Credit Suisse Securities (USA) LLC, as representatives of the Class B Underwriters, as the same may be amended, supplemented or otherwise modified from time to time in accordance with its terms. Code: Means the Internal Revenue Code of 1986, as amended. Trust Supplement No. 2017-2B American Airlines Aircraft EETC Company: Has the meaning specified in the preamble to this Trust Supplement.

Related to Class B Underwriting Agreement

  • Underwriting Agreement means the Underwriting Agreement, dated ______ __, 19__, among the Trust, the Depositor and the underwriters named therein.

  • Initial Purchase Agreement means the Purchase Agreement (including the related Blanket Endorsement, Initial Xxxx of Sale and any attachments thereto) substantially in the form of Attachment A hereto (of which these Master Terms form a part by reference), to be executed by VL Funding, the VL Funding Eligible Lender Trustee on behalf of VL Funding, Funding and the Interim Eligible Lender Trustee on behalf of Funding, which shall certify that the representations and warranties made by VL Funding as set forth in Sections 5(A) and (B) and by the Servicer as set forth in Section 5(C) of these Master Terms are true and correct as of the Closing Date.

  • IDR Transfer Agreement means an agreement to transfer, subject to the terms of Tariff, Part VI, section 237, Incremental Deliverability Rights to a party for the purpose of eliminating or reducing the need for Local or Network Upgrades that would otherwise have been the responsibility of the party receiving such rights. Immediate-need Reliability Project: “Immediate-need Reliability Project” shall have the same meaning provided in the Operating Agreement.

  • Asset Transfer Agreement means the asset transfer agreement dated September 12, 2014 between Centurion Real Estate Opportunities Trust and Centurion Apartment REIT pursuant to which Centurion Apartment REIT seeded the initial portfolio of Centurion Real Estate Opportunities Trust.

  • Forward Purchase Agreement means an agreement that provides for the sale of equity securities in a private placement that will close substantially concurrently with the consummation of a Business Combination.

  • Investment Agreement shall have the meaning set forth in the Recitals hereto.

  • Investor Rights Agreement has the meaning set forth in the Recitals.

  • Original Purchase Agreement has the meaning set forth in the recitals to this Agreement.

  • Netting agreement means a netting agreement, master netting agreement or other similar document having the same effect as a netting agreement or master netting agreement and, as applicable, any collateral annex, security agreement or other similar document related to any master netting agreement or Permitted Contract.

  • Pricing Agreement means the pricing agreement between the Trust, the Debenture Issuer, and the underwriters designated by the Regular Trustees with respect to the offer and sale of the Preferred Securities.

  • Unit Purchase Agreement means the Common Unit and Class B Unit Purchase Agreement, dated as of December 1, 2006, among the Partnership and the purchasers named therein.

  • Master Transaction Agreement has the meaning set forth in the recitals.

  • Subsequent Transfer Agreement A Subsequent Transfer Agreement substantially in the form of Exhibit P hereto, executed and delivered by the Sellers, the Depositor and the Trustee as provided in Section 2.01(d).

  • Dealer Manager Agreement shall have the meaning set forth in the preamble.

  • Securities Lending Agreement means an agreement under which a local agency agrees to transfer securities to a borrower who, in turn, agrees to provide collateral to the local agency. During the term of the agreement, both the securities and the collateral are held by a third party. At the conclusion of the agreement, the securities are transferred back to the local agency in return for the collateral.

  • Initial LLC Agreement has the meaning set forth in the recitals to this Agreement.

  • Registration Agreement means the Exchange and Registration Rights Agreement dated February 18, 2003 between the Company and the Initial Purchasers relating to the Securities and (b) any other similar Exchange and Registration Rights Agreement relating to Additional Securities.

  • Underwriting Fee has the meaning given to it in the eighth paragraph of this Agreement;

  • Remarketing Agreement means the Remarketing Agreement to be entered into by and among the Company, the Trust, the Remarketing Agent and the Agent.

  • Lock-Up Agreement means the Lock-Up Agreement, dated as of the date hereof, by and among the Company and the directors, officers and 5% stockholders of the Company, in the form of Exhibit C attached hereto.

  • Issuer-ICSDs Agreement means the agreement entered into between the Issuer and each of the ICSDs;

  • Private Placement Agreement has the meaning set forth in Annex A hereto.

  • Lockup Agreement means the Lockup Agreement, dated as of the date hereof, by and between the Company and each person listed as a signatory thereto, in the form attached as Exhibit C hereto.

  • Additional Purchase Agreement means each Additional Purchase Agreement (including the related Additional Xxxx of Sale, the related Blanket Endorsement and any attachments thereto), substantially in the form of Attachment C hereto (of which these Master Terms form a part by reference, provided that in the event of a substitution, the form will be modified accordingly), to be executed by SLM ECFC, Funding and the Interim Eligible Lender Trustee for the benefit of Funding, which certifies that the representations and warranties made by SLM ECFC as set forth in Sections 5(A) and (B) of these Master Terms are true and correct as of the related Purchase Date.

  • Exchange Agreement has the meaning set forth in the Recitals.

  • Bond Purchase Agreement means a Bond Purchase Agreement, dated as of the sale of the Series 2019 Bonds, entered into by and between KUB and the Underwriter, in substantially the form of the document attached hereto as Exhibit A, subject to such changes as permitted by Section 9 hereof, as approved by the President and Chief Executive Officer of KUB, consistent with the terms of this resolution;