Item 1. Date of Joinder Supplement: ______________
Item 1. Date of Joinder Supplement: Item 2: Additional Class A Purchaser: Item 3: Signatures of Parties to Agreement: as Additional Class A Purchaser By: Name: Title: [By: Name: Title:] PRIME II RECEIVABLES CORPORATION, as Transferor By: Name: Title: PNC BANK, NATIONAL ASSOCIATION, as Agent By: Name: Title: By: Name: Title: ACCEPTED BY: PNC BANK, NATIONAL ASSOCIATION, as Administrative Agent By: Name: Title: By: Name: Title: FDS NATIONAL BANK, as Servicer By: Name: Title: SCHEDULE II TO JOINDER SUPPLEMENT LIST OF INVESTING OFFICES, ADDRESSES FOR NOTICES AND COMMITMENT [Additional Class A Purchaser] Noncommitted Class A Purchaser: Yes/No Initial Noncommitted Purchaser Percentage: _______% (if applicable) Committed Class A Purchaser: Yes/No Initial Committed Purchaser Percentage: _______% (if applicable) Commitment: $____________ Commitment Expiration Date: _____________ Address for Notices: Investing Office: SCHEDULE III TO JOINDER SUPPLEMENT FORM OF JOINDER EFFECTIVE NOTICE To: [Name and address of Transferor, Servicer, Trustee, Administrative Agent and Additional Class A Purchaser] The undersigned, as Agent under the Class A Certificate Purchase Agreement, dated as of July 6, 1999, among Prime II Receivables Corporation, as Transferor, FDS National Bank, as Servicer, the Class A Purchasers parties thereto and PNC Bank, National Association, as Agent for the Class A Purchasers and as Administrative Agent thereunder, acknowledges receipt of five executed counterparts of a completed Joinder Supplement. [Note: attach copies of Schedules I and II from such Agreement.] Terms defined in such Supplement are used herein as therein defined. Pursuant to such Supplement, you are advised that the Joinder Effective Date will be _____________, 199_. Very truly yours, PNC BANK, NATIONAL ASSOCIATION, as Agent By:_______________________ Name: Title: By:_______________________ Name: Title: EXHIBIT C FORM OF TRANSFER SUPPLEMENT THIS TRANSFER SUPPLEMENT ("Supplement"), dated as of the date set forth in Item 1 of Schedule I hereto, among the Transferor Class A Purchaser set forth in Item 2 of Schedule I hereto (the "Transferor Class A Purchaser"), the Purchasing Class A Purchaser set forth in Item 3 of Schedule I hereto (the "Purchasing Class A Purchaser"), and PNC Bank, National Association, as Agent for the Class A Purchasers under, and as defined in, the Certificate Purchase Agreement described below (in such capacity, the "Agent").
Examples of Item 1 in a sentence
Provide the following information regarding the aggregate number and percentage of the class of securities of the issuer identified in Item 1.
Issuer’s website)Class A Ordinary Shares(Securities issued pursuant to Regulation A)Part II.TABLE OF CONTENTSCautionary Statement Regarding Forward-Looking Statements Item 1.
As noted in Item 1, your eligibility to contribute to a Xxxx XXX depends on your AGI (as defined below).
Ownership Provide the following information regarding the aggregate number and percentage of the class of securities of the issuer identified in Item 1.
Item 1: Cafeteria Furniture • Mobile tables on rollers with or without benches or stools.
More Definitions of Item 1
Item 1. Provide or implement a service whereby the Contractor captures work zone information in the possession of a TxShare Entity (referred to as the Supplier in this scenario) and
Item 1. Date of Transfer Supplement: Item 2: Transferor Purchaser: Item 3: Purchasing Purchaser: Item 4: Signatures of Parties to Agreement: --------------------------------- as Transferor Purchaser By: --------------------------------- Name: Title: By: --------------------------------- Name: Title: as Purchasing Purchaser By: --------------------------------- Name: Title: By: --------------------------------- Name: Title: CONSENTED TO AND ACCEPTED BY: BRANCH BANKING AND TRUST COMPANY, as Agent By: --------------------------------- Name: Title: By: --------------------------------- Name: Title: BXG TIMESHARE TRUST I By __________, not in its individual capacity, but solely as Owner Trustee By: --------------------------------- Name: Title: SCHEDULE II TO TRANSFER SUPPLEMENT LIST OF INVESTING OFFICES, ADDRESSES FOR NOTICES, ASSIGNED INTERESTS, PURCHASE AND COMMITMENT PERCENTAGES AND PURCHASE PRICE [Transferor Purchaser] Commitment Percentage: Transferor Purchaser Commitment Percentage Prior to Sale: _______% Commitment Percentage Sold: _______% Commitment Percentage Retained: _______% Commitment: Transferor Purchaser Commitment Prior to Sale: $________ Commitment Sold: $________ Commitment Retained $________ Class of Notes _________
Item 1 means item 1 of Schedule 2.’.
Item 1. Commencement Date Item 2: Deposit Amount Item 3: Deposit Payment Date Item 4: End Date Item 5: Client Item 6: Services
Item 1. Consolidated EBITDA (see Annex 1 for calculation of Consolidated EBITDA) $
Item 1. Consolidated Tangible Net Worth (determined in accordance with GAAP) $ Item 2: Aggregate proceeds received by the Trust (net of fees and expenses customarily incurred in transactions of such type) in connection with any offering of stock in the Trust $