Company Put Right Notice definition

Company Put Right Notice shall have the meaning specified in Section 9.01(c).
Company Put Right Notice shall have the meaning specified in Section 16.01(b).
Company Put Right Notice shall have the meaning specified in Section 15.01(b).

Examples of Company Put Right Notice in a sentence

  • At the Company’s written request, the Trustee shall give such Company Put Right Notice in the Company’s name and at the Company’s expense; provided, however, that, in all cases, the text of such Company Put Right Notice shall be prepared by the Company.

  • The Company Put Right Notice shall be sent by first-class mail to the Trustee and to each holder (and to each beneficial owner as required by applicable law) not less than 25 Business Days prior to any Put Right Purchase Date (the “Company Put Right Notice Date”).

  • If any of the Securities are to be redeemed in the form of a Global Security, the Company shall modify such notice to the extent necessary to accord with the procedures of the Depositary applicable to redemptions.At the Company’s request, the Trustee shall give such Company Put Right Notice on behalf of the Company and at the Company’s expense; provided, however, that, in all cases, the text of such Company Put Right Notice shall be prepared by the Company.

  • The Company Put Right Notice shall be sent by first-class mail to the Trustee and to each Holder (and to each beneficial owner as required by applicable law) not less than 20 Business Days prior to any Put Right Purchase Date (the "Company Put Right Notice Date").

  • In connection with any purchase of Notes pursuant to this Section 15.01, the Company shall give written notice of the Put Right Purchase Date to the holders (the “ Company Put Right Notice”).The Company Put Right Notice shall be sent by first-class mail to the Trustee and to each holder (and to each beneficial owner as required by applicable law) not less than 25 Business Days prior to any Put Right Purchase Date (the “Company Put Right Notice Date”).


More Definitions of Company Put Right Notice

Company Put Right Notice. 3.12 "Contingent Interest" Exhibit A "Conversion Agent" 2.03 "Conversion Date" 4.02 "Current Market Price" 4.06 "DTC" 2.01 "Defaulted Interest" 2.16 "Depositary" 2.01 "Determination Date" 4.06 "Distributed Securities" 4.06 "Distribution Notice" 4.06 "Dividend Threshold Amount" 4.06 "Event of Default" 7.01 "ex-date" 4.06 "ex-dividend date" 4.01 "Expiration Date" 4.06 "Expiration Time" 4.06 "Fundamental Change Conversion Notice" 4.01 "Fundamental Change Purchase Date" 3.08 "Fundamental Change Purchase Notice" 3.08 "Future Guarantor" 5.11 "in connection with" 4.10 "Initial Period" 11.03 "Issuer Fundamental Change Notice" 3.08 "Legend" 2.13 "Make Whole Premium" 4.01 "Non-Payment Default" 11.03 "Notice of Default" 7.01 "Outstanding" 2.09 "Paying Agent" 2.03 "Payment Default" 11.03 "Primary Registrar" 2.03

Related to Company Put Right Notice

  • Put Right has the meaning set forth in Section 8.05(a).

  • Exercise Notice Deadline In respect of any exercise of Options hereunder on any Conversion Date, the “Scheduled Trading Day” prior to the scheduled first “VWAP Trading Day” of the “Observation Period” (each as defined in the Indenture, but, in the case of any such Observation Period, as modified by the provision set forth opposite the caption “Convertible Security Settlement Method”) relating to the Convertible Securities converted on the Conversion Date occurring on the relevant Exercise Date; provided that in the case of any exercise of Options hereunder in connection with the conversion of any Relevant Convertible Securities on any Conversion Date occurring during the period starting on and including June 4, 2020 and ending on and including the second “Scheduled Trading Day” immediately preceding the “Maturity Date” (each as defined in the Indenture) (the “Final Conversion Period”), the Exercise Notice Deadline shall be noon, New York City time, on the “Scheduled Trading Day” (as defined in the Indenture) immediately preceding the “Maturity Date” (as defined in the Indenture).

  • Opt-Out Notice has the meaning specified therefor in Section 2.02(a) of this Agreement.

  • Step-Out Notice has the meaning given to it in Section 8.1.

  • Put Notice has the meaning provided in Section 3.4.

  • Put Option Notice means a notice which must be delivered to a Paying Agent by any Noteholder wanting to exercise a right to redeem a Note at the option of the Noteholder;

  • Acquisition Notice has the meaning set forth in Section 2.6(a).

  • Blackout Notice has the meaning set forth in Section 2.01(d).

  • ROFO Notice is defined in Section 6.2(a).

  • Retraction Notice has the meaning set forth in Section 11.01(c).

  • CAFA Notice refers to the notice requirements imposed by 28 U.S.C. § 1715(b).

  • Disposition Notice is defined in Section 5.2(a).

  • Company Notice means written notice from the Company notifying the selling Key Holders and each Investor that the Company intends to exercise its Right of First Refusal as to some or all of the Transfer Stock with respect to any Proposed Key Holder Transfer.

  • Call Right The right of the holder thereof (or any successor), as named in the applicable Supplement, to purchase Certificates from the Holders thereof or to purchase Underlying Securities from the Trust.

  • Option Notice has the meaning set forth in Section 5.2(a).

  • Pre-Notice shall have the meaning ascribed to such term in Section 4.13.

  • Company Cure Period has the meaning specified in Section 10.01(b).

  • Call Option Notice means a written notice from the holder of the Call Option or the Administrator, as applicable, stating its desire to exercise the Call Option on the related Reset Date, delivered to each Clearing Agency, the Indenture Trustee, the Remarketing Agents, the Rating Agencies and, if the related class of Reset Rate Notes is then listed on the Luxembourg Stock Exchange, the Administrator will forward a copy to the Luxembourg Listing Agent (the contents of which are to be published in a leading newspaper having general circulation in Luxembourg).

  • First Offer Period has the meaning set forth in Section 13.5.

  • Retraction Call Right has the meaning ascribed thereto in the Exchangeable Share Provisions.

  • Purchase Option Notice As defined in Section 3.18(e).

  • Co-Sale Notice has the meaning set forth in Section 4.3.

  • Repurchase Response Notice means a notice delivered by the Indenture Trustee at the direction of the Administrator to a Noteholder or Note Owner indicating that a Repurchase Request is unresolved.

  • Required Notice Period means the number of days required notice set forth below applicable to the Aggregate Reduction indicated below: Aggregate Reduction Required Notice Period £$100,000,000 two Business Days >$100,000,000 to $250,000,000 five Business Days ³$250,000,000 ten Business Days