Form of Put Option Notice Sample Clauses

Form of Put Option Notice. Notice of exercise of a Put Option under Section 10.04 hereof shall be given by the Majority Noteholders (including to the Indenture Trustee) by first-class mail, postage prepaid, or by facsimile mailed or transmitted not later than 5 days prior to the date on which the Notes shall be repurchased by the Issuer.
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Form of Put Option Notice. To: AGY (Cayman) c/o AGY Holding Corp. 0000 Xxxxxxx Xxxx Aiken, SC 29801 U.S.A. Attn: [—] Date: [—] Dear Sirs, We refer to the Option Agreement (the “Agreement”) dated the day of , 2009 made between you and us. We give you notice that we require you to purchase from us in accordance with the terms and conditions of the Agreement, the Option Interest (as defined in the Agreement). Yours faithfully, For and on behalf of Grace Technology Investment Co. Ltd. EXECUTED by the parties SIGNED for and on behalf of ) AGY (Cayman) ) ) In the presence of:- ) Date: SIGNED for and on behalf of ) Grace Technology Investment Co., Ltd. ) ) In the presence of:- ) Date: SIGNED for and on behalf of ) Main Union Industrial Ltd. ) ) In the presence of:- )
Form of Put Option Notice. 150 Section 16.06 Class A Certificates Mature on Put Date.......................................................... 150 ARTICLE XVII MISCELLANEOUS PROVISIONS Section 17.01 Acts of Certificateholders....................................................................... 151 Section 17.02 Amendment........................................................................................ 151 Section 17.03 Recordation of Agreement......................................................................... 152 Section 17.04 Duration of Agreement............................................................................ 152 Section 17.05 Governing Law.................................................................................... 152 Section 17.06 Notices.......................................................................................... 152 Section 17.07 Severability of Provisions....................................................................... 153 Section 17.08 No Legal Title to Owner Trust Estate in Certificateholders....................................... 153 Section 17.09 Counterparts..................................................................................... 153 Section 17.10 Successors and Assigns........................................................................... 154 Section 17.11 Headings......................................................................................... 154 Section 17.12 Actions of Certificateholders.................................................................... 154 Section 17.13 Non-Petition Agreement........................................................................... 154 Section 17.14 Holders of the Certificates...................................................................... 155 Section 17.15 Due Diligence Fees, Due Diligence................................................................ 155 EXHIBIT A Form of Notice of Additional Class A Certificate Principal Balance EXHIBIT B Form of Servicer's Remittance Report to Owner Trustee EXHIBIT C Form of T&SA Assignment EXHIBIT D [Reserved] EXHIBIT E-1 Form of Class A Certificate EXHIBIT E-2 Form of Class B Certificate EXHIBIT F Form of Certificate of Trust EXHIBIT G Bailee Agreement EXHIBIT H-1 Form of Transferor Affidavit (144A) EXHIBIT H-2 Form of Transferee Affidavit (Accredited Investor) EXHIBIT H-3 Form of Transfer Affidavit ANNEX A Tax Considerations
Form of Put Option Notice. Notice of exercise of the Put Option under Section 16.04 hereof shall be given by the Majority Certificateholders by first-class mail, postage prepaid, or by facsimile mailed or transmitted not later than 15 days prior to the date on which the Class A Certificates shall be repurchased by the Trust (the "Final Put Date"). The Final Put Date may be extended with the consent of the Majority Certificateholders. All notices of exercise of the Put Option shall state the Final Put Date. The Put Date will be subject to mutual agreement between the Trust and the Majority Certificateholders, but in any case will not be later than the Final Put Date.
Form of Put Option Notice. To: [ ] Dear Sirs, Exercise of Put Option under the Investment Agreement dated [*] 2017 made between China Huarong International Holdings Limited , Sun Wise Oriented (HK) Co., Limited , Sun Wise (UK) Co., Ltd and Xx. Xxxx Yonghong (the “Agreement”) We hereby give you notice in accordance with Clause 9 of the Agreement of the exercise of the Put Option. Pursuant to Clause 9 of the Agreement, the number of Put Option Shares to be acquired from us upon completion of the Put Option comprises [*] Preferred Shares. The total Put Option Sale Price for such Put Option Shares is US$[*]. Completion of the transfer of the Put Option Shares shall take place at [* time] [a.m.]/[p.m.] on [*] (“Completion Date”) at [*] (or such other date, time and place as may be mutually agreed between us in writing). Terms used in this notice shall have the same meanings as defined in the Agreement. This notice is governed by and shall be construed in accordance with Hong Kong law. Yours faithfully, For and on behalf of CHINA HUARONG INTERNATIONAL HOLDINGS LIMITED Name: Title:

Related to Form of Put Option Notice

  • Form of Exercise Notice To: XXXX Xxx Sheung (the “Transferor”) From: TIAN Wenjun 田文军 (the “Transferee”) We refer to the Share Transfer Agreement (the “Share Transfer Agreement”) dated April 26, 2010 made between the Transferee and the Company. Terms defined in the Share Transfer Agreement shall have the same meanings as used herein. We hereby give you notice that we require you to sell to us / [Nominees’ names] in accordance with the terms and conditions of the Share Transfer Agreement, the following Option Shares at the Exercise Price set out below, subject to the terms and conditions set out in the Share Transfer Agreement Completion shall take place at [ ] on [ ] at the office of [ ]: Transferee Option Shares Exercise Price/ Alternative Exercise Price Dated this day of , 20 Yours faithfully ____________________________ Name: Title: For & on behalf of Transferee Part II

  • Changes in Form of Purchase Option This form of Purchase Option need not be changed because of any change pursuant to this Section, and Purchase Options issued after such change may state the same Exercise Price and the same number of Units as are stated in the Purchase Options initially issued pursuant to this Agreement. The acceptance by any Holder of the issuance of new Purchase Options reflecting a required or permissive change shall not be deemed to waive any rights to an adjustment occurring after the Commencement Date or the computation thereof.

  • Form of Conversion Notice Each convertible Security shall have attached thereto, or set forth on the reverse of the Security, a notice of conversion in substantially the following form: Conversion Notice To: Xxxxxxxx Offshore Services, Inc. The undersigned owner of this Security hereby: (i) irrevocably exercises the option to convert this Security, or the portion hereof below designated, for shares of Common Stock of Xxxxxxxx Offshore Services, Inc. in accordance with the terms of the Indenture referred to in this Security and (ii) directs that such shares of Common Stock deliverable upon the conversion, together with any check in payment for fractional shares and any Security(ies) representing any unconverted principal amount hereof, be issued and delivered to the registered holder hereof unless a different name has been indicated below. If shares are to be delivered registered in the name of a person other than the undersigned, the undersigned will pay all transfer taxes payable with respect thereto. Any amount required to be paid by the undersigned on account of interest accompanies this Security. Dated: Signature: Fill in for registration of shares if to be delivered, and of Securities if to be issued, otherwise than to and in the name of the registered holder. (Name) Social Security or other Taxpayer Identification Number (Please print name and address) Principal amount to be converted: (if less than all) $ . Signature Guarantee* * Participant in a recognized Signature Guarantee Medallion Program (or other signature acceptable to the Trustee).

  • Notice of Purchase In the case of a Mandatory Purchase, the Liquidity Provider shall be obligated to purchase all Outstanding VRDP Shares.

  • Changes in Form of Purchase Warrant This form of Purchase Warrant need not be changed because of any change pursuant to this Section 6.1, and Purchase Warrants issued after such change may state the same Exercise Price and the same number of Shares as are stated in the Purchase Warrants initially issued pursuant to this Agreement. The acceptance by any Holder of the issuance of new Purchase Warrants reflecting a required or permissive change shall not be deemed to waive any rights to an adjustment occurring after the Commencement Date or the computation thereof.

  • Exercise Notice In order to exercise this Warrant, the Holder shall (i) send by facsimile transmission, at any time prior to 5:00 p.m., eastern time, on the Business Day on which the Holder wishes to effect such exercise (the “Exercise Date”), to the Company an executed copy of the notice of exercise in the form attached hereto as Exhibit A (the “Exercise Notice”), (ii) deliver the original Warrant or a copy thereof, and (iii) in the case of a Cash Exercise (as defined below), the Exercise Price to the Company. The Exercise Notice shall also state the name or names in which the Warrant Shares issuable on such exercise shall be issued. In the case of a dispute as to the calculation of the Exercise Price or the number of Warrant Shares issuable hereunder (including, without limitation, the calculation of any adjustment pursuant to Section 6 below), the Company shall promptly issue to the Holder the number of Warrant Shares that are not disputed and shall submit the disputed calculations to a certified public accounting firm of national recognition (other than the Company’s independent accountants) within two (2) Business Days following the date on which the Exercise Notice is delivered to the Company. The Company shall use its best efforts to cause such accountant to calculate the Exercise Price and/or the number of Warrant Shares issuable hereunder and to notify the Company and the Holder of the results in writing no later than two (2) Business Days following the day on which such accountant received the disputed calculations (the “Dispute Procedure”). Such accountant’s calculation shall be deemed conclusive absent manifest error. The fees of any such accountant shall be borne by the party whose calculations were most at variance with those of such accountant.

  • Delivery Notice Notice of the Aircraft's Delivery Date, given by the Lessee as provided in Section 3.01 of the Participation Agreement and including any notice with respect to a postponed Delivery Date given by the Lessee pursuant to Section 3.05(c) of the Participation Agreement.

  • Form of Redemption Notice Notice of redemption under Section 10.01 shall be given by the Indenture Trustee by first-class mail, postage prepaid, or by facsimile mailed or transmitted not later than 10 days prior to the applicable Redemption Date to each Holder of Notes, as of the close of business on the Record Date preceding the applicable Redemption Date, at such Holder’s address or facsimile number appearing in the Note Register. All notices of redemption shall state:

  • Redemption Notice To call any Notes for Redemption, the Company must send to each Holder of such Notes, the Trustee and the Paying Agent a written notice of such Redemption (a “Redemption Notice”). Such Redemption Notice must state:

  • Cancellation Notice Each of the insurance policies will be specifically endorsed to require the insurer to provide the Authority with 30 days written notice (or 10 days for non-payment of premium) prior to the cancellation of the policy. The endorsement will specify that such notice will be sent to: Hillsborough County Aviation Authority Attn.: Chief Executive Officer Tampa International Airport Post Office Box 22287 Xxxxx, Xxxxxxx 00000

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