Refinancing Term B Repayment Amount definition

Refinancing Term B Repayment Amount shall have the meaning provided in Section 2.5(c).
Refinancing Term B Repayment Amount shall have the meaning provided in Section 2.05(c). “Refinancing Term C Commitments” shall have the meaning provided in Section 2.15(b)(i).
Refinancing Term B Repayment Amount shall have the meaning provided in Section 2.05(c). “Register” shall have the meaning provided in Section 13.06(b)(iv). “Regulation T” shall mean Regulation T of the Board as from time to time in effect and any successor to all or a portion thereof establishing margin requirements. “Regulation U” shall mean Regulation U of the Board as from time to time in effect and any successor to all or a portion thereof establishing margin requirements. “Regulation X” shall mean Regulation X of the Board as from time to time in effect and any successor to all or a portion thereof establishing margin requirements. “Reimbursement Date” shall have the meaning provided in Section 3.04(a). “Reinvestment Period” shall mean twenty four (24) months following the date of receipt of Net Cash Proceeds of an Asset Sale Prepayment Event or Recovery Prepayment Event; provided, that, any expenditures made up to 180 days prior to the date of receipt of Net Cash Proceeds may, at the option of the Borrower, be deemed to have been reinvested within such twenty four (24) month Reinvestment Period. “Rejection Notice” shall have the meaning provided in Section 5.02(h). “Related Parties” shall mean, with respect to any specified Person, such Person’s Affiliates and the directors, officers, employees, agents, trustees and advisors of such Person and any Person that possesses, directly or indirectly, the power to direct or cause the direction of the management or policies of such Person, whether through the ability to exercise voting power, by contract or otherwise. “Relevant Governmental Body” shall mean the Board and/or the NYFRB, the CME Term SOFR Administrator, as applicable, or a committee officially endorsed or convened by the Board and/or the NYFRB or, in each case, any successor thereto. “Repayment Amount” shall mean an Initial Term B Repayment Amount, the 2024-1 Incremental Term Loan B Repayment Amount, an Extended Term B Repayment Amount, an Incremental Term B Repayment Amount, a Refinancing Term B Repayment Amount, or a Replacement Term B Repayment Amount scheduled to be repaid on any date. “Replaced Revolving Loans” shall have the meaning provided in Section 13.1. “Replacement Facility” shall have the meaning provided in Section 13.1. “Replacement Revolving Commitments” shall mean commitments to make Permitted Other Loans that are provided by one or more lenders, in exchange for, or which are to be used to refinance, replace, renew, modify, refund or extend Revolving Commitments (...

Related to Refinancing Term B Repayment Amount

  • Refinancing Term Commitments means one or more term loan commitments hereunder that fund Refinancing Term Loans of the applicable Refinancing Series hereunder pursuant to a Refinancing Amendment.

  • Refinancing Term Loans means one or more Classes of Term Loans that result from a Refinancing Amendment.