Drawing Number Sample Clauses

Drawing Number. Index (DNI)--C The DNI lists applicable drawings of the Aircraft delivered under the Agreement.
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Drawing Number. We refer to the facility constituted by the Credit Agreement and we hereby:
Drawing Number. 1605 (SK) 2017 04 03 (03) shall be appended to each Lease.
Drawing Number. Drawing Name Revision # And as received for the purposes of this Agreement by the District on the xx day of, 20xx: DESIGN CHANGES:
Drawing Number. The circuit (schematic) drawing number and issue that incorporates the change. (e.g., SD 11101-01, issue 11).
Drawing Number. C. Piece Number
Drawing Number. Index (DNI)--C The DNI lists applicable drawings of the Aircraft delivered under the Agreement. The PMS contains data related to manufacturing processes, material identification and treatments used in the construction and assembly of the Aircraft.
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Drawing Number. PATIO GUARDRAIL MATERIALS PATIO GUARDRAIL - 2X6 XXXXX PRESSURE TREATED LUMBER (SEE DETAILS FOR CONSTRUCTION) PATIO PICKETS - 2X2 XXXXX PRESSURE TREATED LUMBER (SEE DETAILS FOR CONSTRUCTION AND SPACING) DECK BOARDS - 5/4 X 6" XXXXX PRESSURE TREATED LUMBER (SEE DETAILS FOR CONSTRUCTION AND SPACING) ARCHITECT xxxx.xx 902.444.8085 00 xxxx xxxxxx xxxxxxxxx, xx. x0x 0x0 STRUCTURAL & CIVIL ENGINEER xxxxxxx.xx 1.833.756.8433 MECHANICAL XXXXXXXXxxxxxxxxxxxxxx.xx 902.481.8126 0-00 xxxxxxx xxxxxx xxxxxxxxx, xx. x0x 0x0 ELECTRICAL ENGINEER xxxxx.xx 902.628.1941 xx xxx 000 xxxxxxxxxxxxx, xxx. x0x 0x0 Copyright: The use of this drawing shall be covered by standard copyright law. This drawing may not be used for any purpose other than the stated project. Requirements and Approvals: It is the builder's responsibility to obtain prior written approval for changes to materials or workmanship which deviate from the instructions provided by these documents. Authorities Requirements and Approvals: All materials and workmanship must comply with the National Building Code of Canada, present edition, and with the requirements of all authorities having jurisdiction over the work. It is the builder's responsibility to gain necessary approvals and inspections from relevant authorities. Dimensions: All dimensions must be verified on site. Do not scale off drawings. If discrepancies exist notify the designer. All minimum dimensions must comply with the National Building Code of Canada. THIS ISSUE: 06.09.2019 BRIDGEWATER MULTI-RESIDENCECORNER XX XXXXXXXX & XXXX XX. XXXXXXXXXXX, XX Drawing Title BACK ELEVATION Drawn By RH, ML, DF A201 Date OCT 2019Revision Scale AS SHOWN NOTE: - THE CONTRACTOR/CLIENT SHALL PROVIDE SAMPLES OF ALL FINISH MATERIALS PRIOR TO THE PURCHASE AND INSTALLATION. - ALL ALUMINUM FLASHING, VINYL TRIM, GUTTES AND DOWNSPOUTS SHALL BE COLOUR MATCHED TO ADJACENT CLADDING. 3.1 4 5 7 8 54'-5" 25'-1" 4'-3" 25'-1" 5'-0" 2'-8" 4'-10" 12'-7" 12'-10 1/2" 4'-6 1/2" 2'-8" 5'-0" ROOF RIDGE BEYOND Z

Related to Drawing Number

  • Maximum Drawing Amount The maximum aggregate amount that the beneficiaries may at any time draw under outstanding Letters of Credit, as such aggregate amount may be reduced from time to time pursuant to the terms of the Letters of Credit.

  • Drawing One (1) Prize Winner will be chosen in a random drawing on or about February 1, 2023 from all eligible entries received. Odds of winning depend on the number of eligible entries received prior to the drawing. Return of prize notification as undeliverable or no response from the winner within seven (7) consecutive days after date of notification will result in disqualification and an alternate winner will be selected. If a prize winner is disqualified, Sponsor in its sole discretion will select a new winner. Sponsor reserves the right in its sole discretion to disqualify any individual it finds to be have tampered with the entry process or the operation of the promotion; to have acted in violation of the Official Rules; to have acted in violation of the terms of the website, or to have acted in an unsportsmanlike or disruptive manner, or with intent to annoy, abuse, threaten or harass any other person.

  • Minimum Amount of Each Borrowing; Maximum Number of Borrowings The aggregate principal amount of each Borrowing of Loans shall be in a multiple of $100,000 and shall not be less than the Minimum Borrowing Amount. More than one Borrowing may occur on any date; provided that at no time shall there be outstanding more than four (4) Borrowings of LIBOR Loans under this Agreement.

  • Determination to Honor Drawing Request In determining whether to honor any request for drawing under any Letter of Credit by the beneficiary thereof, Agent shall be responsible only to determine that the documents and certificates required to be delivered under such Letter of Credit have been delivered and that they comply on their face with the requirements of such Letter of Credit and that any other drawing condition appearing on the face of such Letter of Credit has been satisfied in the manner so set forth.

  • Letter of Credit Compliance Notwithstanding any other provision of this Agreement, the Servicer shall comply with all the requirements of any Letter of Credit so as to assure the full benefit of such Letter of Credit to the Trustee.

  • Letter of Credit Fees, Etc (i) The Borrower shall pay to the Administrative Agent for the account of each Lender a commission, payable in arrears quarterly on the last day of each March, June, September and December, and on the Termination Date, on such Lender’s Pro Rata Share of the average daily aggregate Available Amount during such quarter of all Letters of Credit outstanding from time to time at the rate of the Applicable Margin for Eurodollar Rate Advances under the Revolving Facility.

  • Minimum Amounts; Limitation on Number of Borrowings At the commencement of each Interest Period for any Eurodollar Borrowing, such Borrowing shall be in an aggregate amount that is an integral multiple of $1,000,000 and not less than $1,000,000. At the time that each ABR Borrowing is made, such Borrowing shall be in an aggregate amount that is an integral multiple of $1,000,000 and not less than $1,000,000; provided that an ABR Borrowing may be in an aggregate amount that is equal to the entire unused balance of the total Commitments or that is required to finance the reimbursement of an LC Disbursement as contemplated by Section 2.08(e). Borrowings of more than one Type may be outstanding at the same time, provided that there shall not at any time be more than a total of 8 Eurodollar Borrowings outstanding. Notwithstanding any other provision of this Agreement, the Borrower shall not be entitled to request, or to elect to convert or continue, any Borrowing if the Interest Period requested with respect thereto would end after the Maturity Date.

  • Letter of Credit Requests 15 2.03 Letter of Credit Participations......................... 15 2.04 Agreement to Repay Letter of Credit Payments............ 17 2.05

  • Agreement to Repay Letter of Credit Drawings (a) The Borrower agrees to reimburse each Issuing Lender, by making payment to the Administrative Agent in immediately available funds at the Payment Office, for any payment or disbursement made by such Issuing Lender under any Letter of Credit issued by it (each such amount, so paid until reimbursed by the Borrower, an “Unpaid Drawing”), by making payment in Dollars (in the case of all Dollar Denominated Letters of Credit), Euros (in the case of Euro Denominated Letters of Credit) or Sterling (in the case of Sterling Denominated Letters of Credit) not later than one Business Day following receipt by the Borrower of notice of such payment or disbursement (provided that no such notice shall be required to be given if a Default or an Event of Default under Section 11.05 shall have occurred and be continuing, in which case the Unpaid Drawing shall be due and payable immediately without presentment, demand, protest or notice of any kind (all of which are hereby waived by the Borrower)), with interest on the amount so paid or disbursed by such Issuing Lender, to the extent not reimbursed prior to 1:00 P.M. (New York City time) on the date of such payment or disbursement, from and including the date paid or disbursed to but excluding the date such Issuing Lender was reimbursed by the Borrower therefor at a rate per annum equal to the Base Rate as in effect from time to time plus the Applicable Margin as in effect from time to time for Revolving Loans that are maintained as Base Rate Loans; provided, however, to the extent such amounts are not reimbursed prior to 1:00 P.M. (New York time) on the third Business Day following notice to the Borrower by the Administrative Agent or the respective Issuing Lender of such payment or disbursement, interest shall thereafter accrue on the amounts so paid or disbursed by such Issuing Lender (and until reimbursed by the respective Account Party) at a rate per annum which shall be (x) in the case of Dollar Denominated Letters of Credit, Sterling Denominated Letters of Credit, the Base Rate in effect from time to time plus the Applicable Margin for Revolving Loans in each case maintained as Base Rate Loans, as in effect from time to time plus 2% and (y) in the case of Euro Denominated Letters of Credit, the Overnight Euro Rate in effect from time to time plus the Applicable Margin for Euro Denominated Loans as in effect from time to time plus any Mandatory Costs plus 2%, in each such case, with interest to be payable on demand, provided further, that it is understood and agreed, however, that the notices referred to above in this clause (a) and in the immediately preceding proviso shall not be required to be given if a Default or an Event of Default under Section 11.05 shall have occurred and be continuing (in which case the Unpaid Drawings shall be due and payable immediately without presentment, demand, protest or notice of any kind (all of which are hereby waived by each Credit Party) and shall bear interest at the rate provided in the foregoing proviso on and after the third Business Day following the respective Drawing). The respective Issuing Lender shall give the Borrower prompt notice of each Drawing under any Letter of Credit, provided that the failure to give, or any delay in giving, any such notice shall in no way affect, impair or diminish the Borrower’s obligations under this Agreement.

  • Issuance of and Drawings and Reimbursement Under Letters of Credit (a) The Letter of Credit Commitment.

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