Common use of Issuance of the Capital Securities Clause in Contracts

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.

Appears in 2 contracts

Samples: Trust Agreement (Equitable Resources Capital Trust I), Trust Agreement (Equitable Resources Capital Trust I)

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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, has executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, an AdministratorAdministrative Trustee, on behalf of the Issuer Trust, shall execute, manually or by facsimile, execute in accordance with Section Sections 5.2, 5.3 and 8.9(a) 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 evidencing an aggregate amount of 5,000,000 150,000 Capital Securities having an aggregate Liquidation Amount of $125,000,000150,000,000, against receipt of the aggregate purchase price of such Capital Securities of $125,000,000, by the Property Trustee148,500,000.

Appears in 1 contract

Samples: Trust Agreement (Northern Trust Corp)

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, has executed and delivered the Underwriting Agreement. Contemporaneously with the execution and delivery of this Trust Agreement, an AdministratorAdministrative Trustee, on behalf of the Issuer Trust, shall execute, manually or by facsimile, execute in accordance with Section Sections 5.2, 5.3 and 8.9(a) 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 evidencing an aggregate amount of 5,000,000 120,000 Capital Securities having an aggregate Liquidation Amount of $125,000,000120,000,000, against receipt of the aggregate purchase price of such Capital Securities of $125,000,000, by the Property Trustee118,800,000.

Appears in 1 contract

Samples: Trust Agreement (Northern Trust Corp)

Issuance of the Capital Securities. The On January , 1997, the Depositor, both on its own behalf and on behalf of the Issuer Trust pursuant to the Original Trust Agreement, 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, execute in accordance with Section 5.3 and the Property Trustee shall authenticate in accordance with Section 5.3 5.4 and deliver to the Underwriters, Capital Securities Certificates, registered in the names requested by the Underwriters, in an aggregate amount of 5,000,000 200,000 Capital Securities having an aggregate Liquidation Amount of $125,000,0005,000,000, against receipt of the aggregate purchase price of such Capital Securities of $125,000,0005,000,000, by the Property Trustee.

Appears in 1 contract

Samples: Trust Agreement (First Empire State Corp)

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Issuance of the Capital Securities. The On June 5, 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 Administrator, on behalf of the Issuer Trust, shall execute, manually or by facsimile, execute 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 5,000,000 100,000 Capital Securities having an aggregate Liquidation Amount of $125,000,000100,000,000, against receipt of the aggregate purchase price of such Capital Securities of $125,000,000100,000,000, by the Property Trustee.

Appears in 1 contract

Samples: First Empire State Corp

Issuance of the Capital Securities. The On January 28, 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 Administrator, on behalf of the Issuer Trust, shall execute, manually or by facsimile, execute 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 5,000,000 150,000 Capital Securities having an aggregate Liquidation Amount of $125,000,000150,000,000, against receipt of the aggregate purchase price of such Capital Securities of $125,000,000150,000,000, by the Property Trustee.

Appears in 1 contract

Samples: Trust Agreement (First Empire Capital Trust I)

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