French Bank Account Pledge Agreement definition

French Bank Account Pledge Agreement means the French law bank account pledge agreement (nantissement de comptes bancaires) between French FleetCo as pledger and the French FleetCo Secured Creditors as pledgees.
French Bank Account Pledge Agreement means the French bank account pledge agreement entered into on or about the Signing Date between French FleetCo as Pledgor and the French Security Trustee (as may be amended, restated or supplemented from time to time).
French Bank Account Pledge Agreement means the bank account pledge agreement to be entered into between the French Borrower and the Collateral Agent in relation to the Collection Accounts of the French Borrower.

More Definitions of French Bank Account Pledge Agreement

French Bank Account Pledge Agreement means the French law bank account pledge agreement dated on or about the Effective Date, entered into between, inter alia, Tornier France and the Administrative Agent pursuant to which Tornier France has pledged all of its bank accounts opened in France.
French Bank Account Pledge Agreement means the French bank account pledge agreement entered into on or about the Signing Date between French FleetCo as Pledgor and the French Security Trustee.
French Bank Account Pledge Agreement means the French bank account pledge agreement entered into on or about the Signing Date between French FleetCo as Pledgor and the French Security Trustee. “French Carrying Charges” means, for any Payment Date, without duplication, the sum of:

Related to French Bank Account Pledge Agreement

  • Pledge Agreements means one or more pledge agreements, each in form and substance satisfactory to the Administrative Agent, executed and delivered by the Company and/or certain of its Subsidiaries pursuant to or in connection with transactions contemplated by this Agreement, as the same may be amended, supplemented or otherwise modified from time to time.

  • Pledge Agreement means the Pledge Agreement dated as of the Closing Date between Borrower and Agent, as the same may from time to time be amended, restated, modified or otherwise supplemented.

  • Account Bank Agreement means the account bank agreement dated 15 August 2018 between the Issuer, the Trustee and The Bank of New York Mellon, London branch as the same may be amended, restated, amended and restated, novated, varied, supplemented, substituted, assigned, extended or otherwise replaced or redesignated from time to time;