Common use of Irregular Payments Clause in Contracts

Irregular Payments. 11.5.1 In case of interest payments made on a date other than the regularly scheduled payment date, the Bond Trustee may instruct the Issuer or Bondholders of other payment mechanisms than described in Clause 11.1 or 11.2 above. The Bond Trustee may also obtain payment information regarding Bondholders’ accounts from the Securities Register or Account Managers.

Appears in 5 contracts

Samples: Bond Agreement (Teekay Offshore Partners L.P.), Bond Agreement (Teekay Corp), Bond Agreement (Teekay Offshore Partners L.P.)

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Irregular Payments. 11.5.1 In case of interest payments made on a date other than the regularly scheduled payment dateirregular payments, the Bond Trustee may instruct the Issuer or Bondholders of other payment mechanisms than described in Clause 11.1 or 11.2 above. The Bond Trustee may also obtain payment information regarding Bondholders’ accounts from the Securities Register or Account Managers.

Appears in 3 contracts

Samples: www.sec.gov, Bond Agreement (Golar LNG Partners LP), Bond Agreement (Pacific Drilling S.A.)

Irregular Payments. 11.5.1 In case of interest payments made on a date other than the regularly scheduled payment date, the Bond Trustee may instruct the Issuer or Bondholders of other payment mechanisms than described in Clause 11.1 or 11.2 above. The Bond Trustee may also obtain payment information regarding Bondholders’ accounts from the Securities Register or Account Managers.. Norsk Tillitsmann ASA 12 Issuer’s acquisition of Bonds

Appears in 2 contracts

Samples: Bond Agreement (Teekay LNG Partners L.P.), Bond Agreement (Teekay LNG Partners L.P.)

Irregular Payments. 11.5.1 In case of interest payments made on a date other than the regularly scheduled payment dateirregular payments, the Bond Trustee may instruct the Issuer or Bondholders of other payment mechanisms than as described in Clause 11.1 or 11.2 above. The Bond Trustee may also obtain payment information regarding Bondholders’ accounts from the Securities Register or Account Managers.

Appears in 1 contract

Samples: Bond Agreement

Irregular Payments. 11.5.1 In case of interest payments made on a date other than the regularly scheduled payment dateirregular payments, the Bond Trustee may instruct the Issuer or Bondholders of other payment mechanisms than described in Clause 11.1 or 11.2 above. The Bond Trustee may also obtain payment information regarding Bondholders’ accounts from the Securities Register or Account Managers.. Norsk Tillitsmann ASA 12 Issuer’s acquisition of Bonds

Appears in 1 contract

Samples: Bond Agreement (Ship Finance International LTD)

Irregular Payments. 11.5.1 In case of interest payments made on a date other than the regularly scheduled payment dateirregular payments, the Bond Trustee may instruct the Issuer or Bondholders of other payment mechanisms than described in Clause 11.1 or 11.2 above. The Bond Trustee may also obtain payment information regarding Bondholders’ accounts from the Securities Register or Account Managers.. 12 Issuer’s acquisition of Bonds

Appears in 1 contract

Samples: Bond Agreement

Irregular Payments. 11.5.1 In case of interest payments made on a date other than the regularly scheduled payment date, the Bond Trustee may instruct the Issuer any Obligor or Bondholders of other payment mechanisms than described in Clause 11.1 or 11.2 above. The Bond Trustee may also obtain payment information regarding Bondholders’ accounts from the Securities Register or Account Managers.. Norsk Tillitsmann ASA 12 Issuer’s acquisition of Bonds

Appears in 1 contract

Samples: Bond Agreement (Teekay Offshore Partners L.P.)

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Irregular Payments. 11.5.1 In case of interest payments made on a date other than the regularly scheduled payment dateirregular payments, the Bond Trustee may instruct the Issuer or Bondholders of other payment mechanisms than described in Clause 11.1 or 11.2 above. The Bond Trustee may also obtain payment information regarding Bondholders' accounts from the Securities Register or Account Managers.

Appears in 1 contract

Samples: Bond Agreement (Golar LNG LTD)

Irregular Payments. 11.5.1 10.5.1 In case of interest payments made on a date other than the regularly scheduled payment dateirregular payments, the Bond Trustee may instruct the Issuer or Bondholders of other payment mechanisms than described in Clause 11.1 10.1 or 11.2 10.2 above. The Bond Trustee may also obtain payment information regarding Bondholders' accounts from the Securities Register or Account Managers.

Appears in 1 contract

Samples: Bond Agreement (Ship Finance International LTD)

Irregular Payments. 11.5.1 In case of interest payments made on a date other than the regularly scheduled payment dateirregular payments, the Bond Trustee may instruct the Issuer or Bondholders of other payment mechanisms than those described in Clause 11.1 or 11.2 above. The Bond Trustee may also obtain payment information regarding Bondholders’ accounts from the Securities Register or Account Managers.

Appears in 1 contract

Samples: Bond Agreement (North Atlantic Drilling Ltd.)

Irregular Payments. 11.5.1 In case of interest payments made on a date other than the regularly scheduled payment dateirregular payments, the Bond Trustee may instruct the Issuer or Bondholders of other payment mechanisms than described in Clause 11.1 or 11.2 above. The Bond Trustee may also obtain payment information regarding Bondholders' accounts from the Securities Register or Account Managers.

Appears in 1 contract

Samples: Bond Agreement (Ship Finance International LTD)

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