Defeasance Redemption Date. 404 "Defeased Securities" 401 "Excess Proceeds" 1012 "incur" 1008 "Offer" 1012 "Offer Date" 1012 "Offered Price" 1012 "Pari Passu Debt Amount" 1012 "Pari Passu Offer" 0000 "Permitted Indebtedness" 1008 "Permitted Payment" 1009 "Private Placement Legend" 202 "Purchase Money Security Agreement" 101 "refinancing" 1008 "Required Filing Date" 1019 "Restricted Payments" 1009 "Securities" Recitals "Security Amount" 1012 "Security Registex" 000 "Security Registrar" 305 "Series A Securities" Recitals "Series B Securities" Recitals "Special Payment Date" 309 "Surviving Entity" 801 "Surviving Guarantor Entity" 801 "U.S. Government Obligations" 404 Section 103. Compliance Certificates and Opinions. ------------------------------------ Upon any application or request by the Company to the Trustee to take any action under any provision of this Indenture and as may be requested by the Trustee, the Company and any Guarantor (if applicable) and any other obligor on the Securities (if applicable) shall furnish to the Trustee an Officers' Certificate in a form and substance reasonably acceptable to the Trustee stating that all conditions precedent, if any, provided for in this Indenture (including any covenant compliance with which constitutes a condition precedent) relating to the proposed action have been complied with, and an Opinion of Counsel in a form and substance reasonably acceptable to the Trustee stating that in the opinion of such counsel all such conditions precedent, if any, have been complied with, except that, in the case of any such application or request as to which the furnishing of such certificates or opinions is specifically required by any provision of this Indenture relating to such particular application or request, no additional certificate or opinion need be furnished. Every certificate or Opinion of Counsel with respect to compliance with a condition or covenant provided for in this Indenture shall include:
Defeasance Redemption Date shall have the meaning set forth in Section 15.4(1).
Defeasance Redemption Date is defined in Section 404 hereof.
Examples of Defeasance Redemption Date in a sentence
If the Trustee has required the Issuer to defease the Construction Loan pursuant to the Construction Loan Agreement and the Issuer has delivered to the Trustee for deposit in the Payment Account the Defeasance Collateral, on the first Business Day following the Two-Year Date (also a "Defeasance Redemption Date"), the Notes shall be redeemed in whole pursuant to this Article IX.
Based on that absence and statements made by the debtor’s counsel at the September 30, 2021 hearing, the court finds that the debtor has abandoned any claim to punitive damages.
More Definitions of Defeasance Redemption Date
Defeasance Redemption Date. 404 "Defeased Securities" 401 "Excess Proceeds" 1012 "incur" 1008 "Joint Venture Partners" 1009 "Offer" 1012 "Offer Date" 1012 "Offered Price" 1012 "Pari Passu Debt Amount" 1012 "Xxxx Xxxxx Xxxxx" 1012 "Permitted Indebtedness" 1008
Defeasance Redemption Date has the meaning specified in Section 1504.
Defeasance Redemption Date. 404 "Defeased Securities" 401 "Excess Proceeds" 1013 "incur" 1008 "Initial Period" 1303 "Initial Securities" Recitals "Marsx Xxxily" 101 "Non-payment Default" 1303 "Offer" 1013 "Offer Date" 1013 "Offered Price" 1013 "Offshore Physical Securities" 201 "Offshore Securities Exchange Date" 201 "Pari Passu Debt Amouxx" 0000 "Pari Passu Offer" 1013 "Payment Blockage Period" 1303 "Payment Default" 1303 "Permanent Offshore Physical Securities" 201 "Permitted Guarantor Junior Securities" 1417 "Permitted Junior Securities" 1302 "Permitted Payment" 1009
Defeasance Redemption Date. 404 "Defeased Securities" 401 "Designation" 1017 "Designation Amount" 1017 "DTC" 101 "Excess Proceeds" 1012 "incur" 1008 "Initial Period" 1303 "maximum fixed repurchase price" 101 "Net Cash Proceeds Transaction" 1012 "Non-payment Default" 1303 "Offer" 1012 "Offer Date" 1012
Defeasance Redemption Date. 404 "Defeased Securities" 401 "Excess Proceeds" 1012 "incur" 1008
Defeasance Redemption Date. 404 "Defeased Securities" 401 "Designation" 1017 "Designation Amouxx" 0000 "Event of Default" 501 "Four Quarter Period" 101 "Global Security" 201 "incur" 1008 "Initial Securities" Recitals "Offer Date" 1011 "Offered Price" 1011 "Other Indebtedness" 1013 "Pari Passu Debt Amouxx" 0000 "Pari Passu Offer" 1013 "Permitted Indebtedness" 1008 "Physical Securities" 306 "Private Placement Legend" 202 "Reference Period" 101 "Registration Default" 202 "Required Filing Date" 1018 "Restricted Payment" 1009
Defeasance Redemption Date. Section 4.04(1) “Defeased Securities” Section 4.01 “Designation” Section 10.17 “Designation Amount” Section 10.17(b) “DTC” Section 1.01 “Excess Proceeds” Section 10.12(b)