Event of Loss Offer definition

Event of Loss Offer shall have the meaning provided in Section 4.02(d).
Event of Loss Offer has the meaning set forth in Section 4.21.
Event of Loss Offer. 4.15(b) “Excess Loss Proceeds” 4.15(b) “Excess Proceeds” 4.06(b) “Exchange Securities” Preamble “Global SecuritiesAppendix A

Examples of Event of Loss Offer in a sentence

  • Upon completion of any such Event of Loss Offer, the amount of Excess Loss Proceeds shall be reset at zero.

  • The Company will comply with the requirements of Rule 14e-1 under the Exchange Act and any other securities laws and regulations thereunder to the extent such laws or regulations are applicable in connection with the repurchase of the Notes pursuant to an Event of Loss Offer.

  • Each Event of Loss Offer shall remain open for a period of at least 20 Business Days.

  • In the event that the Issuer shall be required to commence an Offer to Purchase pursuant to an Asset Sale Offer, Event of Loss Offer or a Change of Control Offer, the Issuer shall follow the procedures specified below.

  • If any Excess Loss Proceeds remain after consummation of an Event of Loss Offer, the Company may use such Excess Loss Proceeds for any purpose not otherwise prohibited by this Indenture and the Security Documents and such remaining amount shall not be added to any subsequent Excess Loss Proceeds for any purpose under this Indenture; provided that any remaining Excess Loss Proceeds shall remain subject to the Lien of the Security Documents.


More Definitions of Event of Loss Offer

Event of Loss Offer means “Event of Loss Offer” as that term is defined in the Indenture.
Event of Loss Offer. 4.16 "Event of Loss Offer Trigger Date" 4.16 "Excess Loss Proceeds" 4.16 "Excess Loss Proceeds Payment Date" 4.16 "Excess Proceeds" 4.11 "Gaming Redemption" 3.09 "Global Note" 2.01 "Global Note Legend" 2.17 "Guarantee Obligations" 12.01 "incur" 4.08 "Legal Defeasance" 8.03 "Minimum Facilities" 4.25 "Paying Agent" 2.03 "Payment Default" 6.01 "Private Placement Legend" 2.17 "Registrar" 2.03 "Regulation S Global Notes" 2.01 "Released Collateral" 10.05 "Released Trust Monies" 11.04 "Replacement Assets" 4.11 "Resale Restriction Termination Date" 2.16 "Restricted Payments" 4.07 "Rule 144A Global Notes" 2.01 "Subject Property" 4.16 "Surviving Entity" 5.01 "Surviving Guarantor Entity" 12.03 "Valuation Date" 10.05
Event of Loss Offer has the meaning ascribed thereto in the Indenture. "FF&E" means furniture, fixtures and equipment that is or will be installed in the Facility. "FF&E COLLATERAL" means FF&E in respect of which the lenders under the FF&E Financing have advanced funds and which are not subject to a Lien in favor of the Trustee in accordance SECTION 4.09 of the Indenture. "FF&E FINANCING" has the meaning ascribed thereto in the Indenture.
Event of Loss Offer. 3.10 "Excess Cash Flow Redemption" 3.09 "Excess Cash Flow Redemption Amount" 3.09 "Excess Proceeds" 4.10 "Excess Proceeds Offer" 3.10 "incur" 4.09 "Legal Defeasance" 8.02 "Offer Amount" 3.10 "Offer Period" 3.10 "Paying Agent" 2.03 "Purchase Date" 3.10 "Registrar" 2.03 "Restricted Payments" 4.07 "Series A Notes" Recitals "Series B Notes" Recitals
Event of Loss Offer shall have the meaning given thereto in Section 5(w)(2) hereto.
Event of Loss Offer. Amount"................. 4.16 "Event of Loss Offer Period"................. 4.16 "Event of Loss Purchase Date"................ 4.16 "Excess Cash Flow Offer Date"................ 4.25 "Excess Cash Flow Offer Notice".............. 4.25 "Excess Loss Proceeds"....................... 4.16 "Excess Loss Proceeds Payment Date".......... 4.16 "Excess Proceeds"............................ 4.11 "First Half Excess Cash Flow Offer".......... 4.25 "Full Fiscal Year Excess Cash Flow Offer".... 4.25 "Global Notes"............................... 2.01 "Global Note Legend"......................... 2.17 "Guarantee".................................. 12.01 "Guarantee Obligations"...................... 12.01 "incur"...................................... 4.08 "Incurrence Date"............................ 4.08 "Interest Rate Test Date".................... 4.01 "Issuers' Obligations"....................... 4.01 "Investment Company Act"..................... 4.24 "Legal Defeasance"........................... 8.03 "Material Excess Proceeds"................... 4.11 "Ordinary Excess Proceeds"................... 4.11 "Paying Agent"............................... 2.03 "Payment Default"............................ 6.01 "Private Placement Legend"................... 2.17 "Registrar".................................. 2.03 "Regulation S Global Note"................... 2.01 "Released Collateral"........................ 10.05 "Released Trust Monies"...................... 11.04 "Replacement Assets"......................... 4.11 "Required Filing Date"....................... 4.03 "Required Regulatory Redemption"............. 3.09 -36- Defined in Term Section ---- ----------