Common use of Deposit of Repayment Price Clause in Contracts

Deposit of Repayment Price. On or before any old Stated Maturity where the Maturity has been extended, and on or before any Optional Reset Date, the Company shall deposit with the Trustee an amount of money sufficient to pay the principal amount, plus interest accrued to such old Stated Maturity or Optional Reset Date, as the case may be, for all the Book-Entry Notes or portions thereof which are to be repaid on such old Stated Maturity or Optional Reset Date, as the case may be. The Trustee will use such money to repay such Book-Entry Notes pursuant to the terms set forth in such Notes.

Appears in 9 contracts

Samples: Selling Agency Agreement (Citigroup Inc), Selling Agency Agreement (Citigroup Inc), Global Selling Agency Agreement (Citigroup Inc)

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Deposit of Repayment Price. On or before any old Stated Maturity where the Maturity has been extended, and on or before any Optional Reset Date, the Company shall deposit with the applicable Trustee an amount of money sufficient to pay the principal amount, plus interest accrued to such old Stated Maturity or Optional Reset Date, as the case may be, for all the Book-Entry Notes or portions thereof for which such Trustee serves as Trustee and which are to be repaid on such old Stated Maturity or Optional Reset Date, as the case may be. The Such Trustee will use such money to repay such Book-Entry Notes pursuant to the terms set forth in such Notes.

Appears in 1 contract

Samples: Global Selling Agency Agreement (Citigroup Inc)

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Deposit of Repayment Price. On or before any old Stated -------------------------- Maturity Date where the Maturity has been extended, and on or before any an Optional Reset Date, the Company shall deposit with the Trustee an amount of money sufficient to pay the principal amount, plus interest accrued to such old Stated Maturity Date or Optional Reset Date, as the case may be, for all the Book-Entry Certificated Notes or portions thereof which are to be repaid on such old Stated Maturity Date or Optional Reset Date, as the case may be. The Such Trustee will use such money to repay such Book-Entry Certificated Notes pursuant to the terms set forth in such Notes.

Appears in 1 contract

Samples: Terms Agreement (Energen Corp)

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