Exhibit H definition

Exhibit H. Negative Assurance Letter of Counsel for the Agents [To Be Attached] Exhibit I - Opinion of Counsel for the Global Funding Delaware Trustee and the Relevant Issuing Trust Trustee [To Be Attached] Exhibit J - Opinion of Counsel for Global Funding Administrator and the Issuing Trust Administrator [To Be Attached] Exhibit K - Opinion of Counsel for the Indenture Trustee [To Be Attached] Exhibit L - Opinion of Counsel for Global Funding and the relevant Issuing Trust Concerning Certain Delaware Security Interest Matters [To Be Attached] Exhibit M - Opinion of Counsel for Global Funding [To Be Attached] Exhibit N - Opinion of Counsel for the relevant Issuing Trust [To Be Attached] Exhibit O - Form of Comfort Letter of Deloitte & Touche LLP, Accountants to the Company [To Be Attached] Exhibit P - Form of Agent Accession Letter [Name of new Agent] [Address] Ladies and Gentlemen:
Exhibit H. Assignment Agreement Exhibit I: Subsidiary Guaranty Exhibit J: Notice of Borrowing AMENDED AND RESTATED CREDIT AGREEMENT ------------------------------------- THIS AMENDED AND RESTATED CREDIT AGREEMENT is dated as of November 3, 1997, among COMPUCOM SYSTEMS, INC., a Delaware corporation (the "Borrower"), the -------- Lenders from time to time party hereto, and NATIONSBANK OF TEXAS, N.A., a national banking association, as administrative agent for the Lenders. BACKGROUND ---------- The Lenders have been requested to provide the Borrower the funds required to (i) refinance existing debt of the Borrower, including, inter alia, certain existing purchase money debt in connection with certain real estate purchased by the Borrower, outstanding to the Administrative Lender, the Lenders and certain other lenders pursuant to the terms of that certain Credit Agreement, dated as of September 26, 1996, as amended, modified, supplemented and restated from time to time (the "Existing Credit Agreement"), (ii) finance acquisitions permitted ------------------------- hereunder, and (iii) finance the ongoing working capital and general corporate requirements of the Borrower and its Subsidiaries (as hereinafter defined). The Lenders have agreed to provide such financing, subject to the terms and conditions set forth below. In consideration of the mutual covenants and agreements contained herein, and other good and valuable consideration hereby acknowledged, the parties hereto agree that the Existing Credit Agreement shall be amended, restated and superseded as follows:

Examples of Exhibit H in a sentence

  • In the event of a conflict between Exhibit H, the SDPC Standard Clauses, and/or the Supplemental State Terms, Exhibit H will control, followed by the Supplemental State Terms.

  • X If Checked, the Provider, has signed Exhibit “E” to the Standard Clauses, otherwise known as General Offer of Privacy Terms If checked, XXX and Provider agree to the additional terms of modifications set forth in Exhibit "H".

  • A complete set of the Schematic Park Plans is attached hereto as Exhibit "H" and expressly made a part hereof.

  • The Charter Operator shall submit a budget directly to MCSAB in a manner and at the times prescribed in the Fiscal Oversight Policy promulgated by MCSAB, attached hereto as Exhibit H.

  • DEP Agreement Number: 22PLN27 Project Title: Alachua County Critical Infrastructure and Land Use Climate Vulnerability Analysis Grantee: Alachua County Subcontractor: Note: Submit separate Exhibit H Certification for each additional subcontractor.


More Definitions of Exhibit H

Exhibit H. FORM OF ADDITIONAL MATTER INCORPORATED INTO THE FORM OF THE CERTIFICATES (OTHER THAN THE CLASS R CERTIFICATES) This Certificate does not represent an obligation of or interest in Washington Mutual Mortgage Securities Corp. or any of its affiliates. Neither this Certificate nor the underlying Mortgage Loans are guaranteed by any agency or instrumentality of the United States. This certifies that the above-named Registered Owner is the registered owner of certain interests in a trust fund (the "REMIC III Trust Fund") whose assets consist of interests in a trust fund (the "REMIC II Trust Fund") whose assets consist of interests in a trust fund (the "REMIC I Trust Fund") whose assets consist of, among other things, a pool (the "Mortgage Pool") of conventional one- to four-family mortgage loans (the "Mortgage Loans"), formed and administered by Washington Mutual Mortgage Securities Corp. (the "Company"), which term includes any successor entity under the Pooling Agreement referred to below. The Mortgage Pool was created pursuant to a Pooling and Servicing Agreement, dated as of the Cut-Off Date stated above (the "Pooling Agreement"), between the Company and State Street Bank and Trust Company, as Trustee (the "Trustee"), a summary of certain of the pertinent provisions of which is set forth hereafter. To the extent not defined herein, the capitalized terms used herein have the meanings assigned in the Pooling Agreement. Nothing herein shall be deemed inconsistent with such meanings, and in the event of any conflict between the Pooling Agreement and the terms of this Certificate, the Pooling Agreement shall control. This Certificate is issued under and is subject to the terms, provisions and conditions of the Pooling Agreement, to which Pooling Agreement the Holder of this Certificate, by virtue of the acceptance hereof, assents and by which such Holder is bound. Distributions will be made, pursuant to the Pooling Agreement, on the 25th day of each month or, if such 25th day is not a Business Day, the Business Day immediately following (the "Distribution Date"), commencing on the first Distribution Date specified above, to the Person in whose name this Certificate is registered at the close of business on the last day (or if such last day is not a Business Day, the Business Day immediately preceding such last day) of the month immediately preceding the month of such distribution (the "Record Date"), to the extent of such Certificateholder's Percentage Interest r...
Exhibit H. A Construction Phase Schedule which shall include, but not be limited to, the Substantial and Final Completion Dates, upon which the proposed Guaranteed Maximum Price is based, and a schedule of the Construction Documents issuance dates upon which the Substantial and Final Completion Dates are based.
Exhibit H. Scheduled Contracts Exhibit I: Scheduled Leases Exhibit J: Liens to be Released Exhibit K: Alterations APPENDICES: ----------
Exhibit H. The City’s FY21-22
Exhibit H. U.S. Department of Treasury LFRF FrequentlyAsked Questions (FAQ) guidance xxxxx://xxxx.xxxxxxxx.xxx/system/files/136/SLFRPFAQ.pdf Exhibit I: U.S. Department of Treasury Interim Final Rule xxxxx://xxx.xxxxxxx.xxx/content/pkg/FR-2021-05-17/pdf/2021-10283.pdf Exhibit J: U.S. Department of Treasury Fact Sheet xxxxx://xxxx.xxxxxxxx.xxx/system/files/136/SLFRP-Fact-Sheet-FINAL1-508A.pdf