Issuance of the Capital Securities Sample Clauses

Issuance of the Capital Securities. On [ ], the Depositor, both on its own behalf and on behalf of the Issuer Trust and pursuant to the Original Trust Agreement, executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, an Administrative Trustee, on behalf of the Issuer Trust, shall execute in accordance with Sections 5.2, 5.3 and 8.9(a) and deliver to the Underwriters, Capital Securities Certificates, registered in the names requested by the Underwriters or a representative thereof, evidencing [ ] Capital Securities having an aggregate Liquidation Amount of $ [ ], against receipt of the aggregate purchase price for such Capital Securities of $ [ ] by the Property Trustee.
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Issuance of the Capital Securities. As of _________________, the Depositor, on behalf of the Trust and pursuant to the Original Trust Agreement, executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, an Administrative Trustee, on behalf of the Trust, shall execute in accordance with Section 5.2 and deliver to the Underwriters named in the Underwriting Agreement Capital Securities Certificates, registered in the name of the nominee of the initial Clearing Agency, in an aggregate amount of _00,000 Capital Securities having an aggregate Liquidation Amount of $_00,000,000, against receipt of an aggregate purchase price plus accrued distributions from ______________ of such Capital Securities of $___,___,___ which amount such Administrative Trustee shall promptly deliver to the Property Trustee.
Issuance of the Capital Securities. On July 21, 1998, the Depositor, both on its own behalf and on behalf of the Issuer Trust pursuant to the Original Trust Agreement, executed and delivered the Purchase Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, an Administrator, on behalf of the Issuer Trust, shall execute in accordance with Section 5.3 and the Property Trustee shall authenticate in accordance with Section 5.3 and deliver to the Initial Purchaser, Capital Securities Certificates, registered in the names requested by the Initial Purchaser, in an aggregate amount of 30,000 Capital Securities having an aggregate Liquidation Amount of $30,000,000, against receipt of the aggregate purchase price of such Capital Securities of $30,000,000, by the Property Trustee.
Issuance of the Capital Securities. On _________ ___, ___, the Depositor, both on its own behalf and on behalf of the Issuer Trust pursuant to the Original Trust Agreement, executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, an Administrative Trustee, on behalf of the Issuer Trust, shall manually execute in accordance with Sections 5.2, 5.3 and 8.9(a) and the Property Trustee shall deliver to the Underwriters, Capital Securities Certificates, registered in the names requested by the Underwriters, evidencing an aggregate of _______ Capital Securities having an aggregate Liquidation Amount of $___________, against receipt of the aggregate purchase price of such Capital Securities of $___________, by the Property Trustee.
Issuance of the Capital Securities. As of November 25, 1996, the Depositor, on behalf of the Trust and pursuant to the Original Trust Agreement, executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, an Administrative Trustee, on behalf of the Trust, shall execute in accordance with Section 5.2 and deliver to the Underwriters named in the Underwriting Agreement Capital Securities Certificates, registered in the name of the nominee of the initial Clearing Agency, in an aggregate amount of _00,000 Capital Securities having an aggregate Liquidation Amount of $_00,000,000, against receipt of an aggregate purchase price plus accrued distributions from January _, 1997 of such Capital Securities of $___,___,___ which amount such Administrative Trustee shall promptly deliver to the Property Trustee.
Issuance of the Capital Securities. The Depositor, both on its own behalf and on behalf of the Issuer Trust pursuant to the Original Trust Agreement, executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, an Administrator, on behalf of the Issuer Trust, shall execute, manually or by facsimile, in accordance with Section 5.3 and the Property Trustee shall authenticate in accordance with Section 5.3 and deliver to the Underwriters, Capital Securities Certificates, registered in the names requested by the Underwriters, in an aggregate amount of 5,000,000 Capital Securities having an aggregate Liquidation Amount of $125,000,000, against receipt of the aggregate purchase price of such Capital Securities of $125,000,000, by the Property Trustee.
Issuance of the Capital Securities. On September 26, 2006, the Depositor, both on its own behalf and on behalf of the Issuer Trust and pursuant to the Original Trust Agreement, executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, an Administrative Trustee, on behalf of the Issuer Trust, shall execute in accordance with Sections 5.2, 5.3 and 8.9(a) and deliver to the Underwriters, Capital Securities Certificates, registered in the names requested by the Underwriters or a representative thereof, evidencing 6,000,000 Capital Securities having an aggregate Liquidation Amount of $150,000,000, against receipt of the aggregate purchase price for such Capital Securities of $150,000,000 by the Property Trustee.
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Issuance of the Capital Securities. The Depositor, on behalf of the Trust and as successor Trust sponsor under the Initial Trust Agreement, has executed and delivered the Underwriting Agreement. At the Closing Time, an Administrative Trustee, on behalf of the Trust, shall execute in accordance with Section 5.2 and deliver to the Underwriters named in the Underwriting Agreement Capital Securities Certificates, registered in the name of the nominee of the initial Clearing Agency, in an initial aggregate amount of 300,000 Capital Securities having an initial aggregate Liquidation Amount of $300,000,000, against receipt of such initial aggregate purchase price of such Capital Securities of $299,505,000, which amount such Administrative Trustee shall promptly deliver to the Property Trustee. On each Date of Delivery provided for in the Underwriting Agreement, an Administrative Trustee, on behalf of the Trust, shall execute in accordance with Section 5.2 and deliver to the Underwriters named in the Underwriting Agreement Capital Securities Certificates, registered in the name of the nominee of the initial Clearing Agency, in an aggregate amount of up to 45,000 Capital Securities (less such number of Capital Securities evidenced by Capital Securities Certificates executed and delivered on any prior Dates of Delivery) having an aggregate Liquidation Amount of up to $45,000,000 (less the aggregate Liquidation Amount of any Capital Securities evidenced by Capital Securities Certificates executed and delivered on any prior Dates of Delivery), against receipt of such aggregate purchase price of such Capital Securities of $44,925,750 (less the aggregate Liquidation Amount of any Capital Securities evidenced by Capital Securities Certificates executed and delivered on any prior Dates of Delivery), which amount such Administrative Trustee shall promptly deliver to the Property Trustee. The Trust may issue up to an additional 200,000 Capital Securities at one or more subsequent Dates of Delivery; provided, however, that in no event shall a Date of Delivery occur after September 30, 2000. On each such subsequent Dates of Delivery, an Administrative Trustee, on behalf of the Trust, shall execute in accordance with Section 5.2 and deliver Capital Securities Certificates, registered in the name of the nominee of the initial Clearing Agency, in an aggregate amount of up to 200,000 Capital Securities (less such number of Capital Securities evidenced by Capital Securities Certificates executed and delivered on any...
Issuance of the Capital Securities. The Depositor and the Issuer Trust executed and delivered the Underwriting Agreement pursuant to the Original Trust Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, an Administrator, on behalf of the Issuer Trust, shall manually execute in accordance with Section 5.3 and the Property Trustee shall authenticate in accordance with Section 5.3 and deliver to the Underwriter, Capital Securities Certificates, registered in the names requested by the Underwriter, in an aggregate amount of 2,000,000 Capital Securities having an aggregate Liquidation Amount of $20,000,000, against receipt of the aggregate purchase price of such Capital Securities of $________________, by the Property Trustee. If the Underwriter exercises its option to purchase all or any portion of an additional 300,000 Capital Securities pursuant to the terms of the Underwriting Agreement, then an Administrator, on behalf of the Issuer Trust, shall manually execute in accordance with Section 5.3 and the Property Trustee shall authenticate in accordance with Section 5.3 and deliver to the Underwriter, additional Capital Securities Certificates, registered in the names requested by the Underwriter, in an aggregate amount of up to 300,000 additional Capital Securities having an aggregate Liquidation Amount of up to $3,000,000, against receipt of the aggregate purchase price of such additional Capital Securities of up to $3,000,000, by the Property Trustee.
Issuance of the Capital Securities. On __________, 1997, the Depositor, both on its own behalf and on behalf of the Issuer Trust pursuant to the Original Trust Agreement, executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, an Administrative Trustee, on behalf of the Issuer Trust, shall manually execute in accordance with Sections 5.2, 5.3 and 8.9(a) and the Property Trustee shall deliver to the Underwriters, Capital Securities Certificates, registered in the names requested by the Underwriters, evidencing an aggregate of 200,000 Capital Securities having an aggregate Liquidation Amount of $200,000,000, against receipt of the aggregate purchase price of such Capital Securities of $200,000,000, by the Property Trustee.
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