Securities Purchase Agreement Recitals Sample Clauses

Securities Purchase Agreement Recitals. Senior Executive Officers Section 1.1(d)(x) Series C Conversion Recitals Series C Preferred Stock Recitals Series D Preferred Stock Recitals Share Dilution Amount Section 5.7(a)(ii) Status Report Section 4.8
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Securities Purchase Agreement Recitals. Senior Executive Officers Section 1.2(d)(x) Series B Preferred Stock Recitals Series B Shares Recitals Share Dilution Amount Section 5.7(a)(ii) Status Report Section 4.9 subsidiary Section 6.7(a) Targeted Completion Date Section 4.9 Transfer Section 5.4 Underlying Common Shares Section 3.2(a) Warrant Shares Section 3.2(a) EXCHANGE AGREEMENT, dated as of July 26, 2010 (this “Agreement”) by and between Pacific Capital Bancorp, a California corporation (the “Company”), and the United States Department of the Treasury (the “Investor”). All capitalized terms used herein and not otherwise defined shall have the respective meanings ascribed to them in the Securities Purchase Agreement.
Securities Purchase Agreement Recitals. Senior Executive Officers Section 1.2(d)(vii) Series A Preferred Stock Recitals Series A Shares Recitals Share Dilution Amount Section 5.5(a)(ii) Transfer Section 5.3 Trust Preamble Trust Agreement Section 1.2(d)(iii) Trust Indenture Act Section 4.8 THIS EXCHANGE AGREEMENT, dated as of June 30, 2010 (this “Agreement”) by and among First Merchants Corporation, an Indiana corporation (the “Company”), First Merchants Capital Trust III (the “Trust”), a Delaware statutory trust created under the Delaware Statutory Trust Act (as defined in the Trust Agreement), and the United States Department of the Treasury (the “Investor”). All capitalized terms used herein and not otherwise defined shall have the respective meanings ascribed to them in the Securities Purchase Agreement.
Securities Purchase Agreement Recitals. Senior Executive Officers Section 1.1(d)(xi) Share Dilution Amount Section 5.7(a)(ii) Status Report Section 4.9 subsidiary Section 6.7(a) Targeted Completion Date Section 4.9 Tax Benefits Preservation Plan Section 3.6 Transfer Section 5.4 Warrant Exchange Recitals Warrant Shares Section 3.2(a) EXCHANGE AGREEMENT, dated as of February 17, 2011 (this “Agreement”) by and between Central Pacific Financial Corp., a Hawaii corporation (the “Company”), and the United States Department of the Treasury (the “Investor”). All capitalized terms used herein and not otherwise defined shall have the respective meanings ascribed to them in the Securities Purchase Agreement.
Securities Purchase Agreement Recitals. Senior Executive Officers Section 1.1(d)(xv) Share Dilution Amount Section 5.7(a)(ii) Share Issuance Proposal Section 1.1(d)(i) Shareholder Proposals Section 1.1(d)(i) Status Report Section 4.9 Stock Split Proposal Section 1.1(d)(i) subsidiary Section 6.7(a) SunTrust Recitals SunTrust Settlement Recitals Targeted Completion Date Section 4.9 Tax Benefits Preservation Plan Section 3.6 Transfer Section 5.4 Warrant Exchange Recitals Warrant Shares Section 3.2(a) Warrant Offering Recitals EXCHANGE AGREEMENT, dated as of August 12, 2011 (this “Agreement”) by and between FNB United Corp., a North Carolina corporation (the “Company”), and the United States Department of the Treasury (the “Investor”). All capitalized terms used herein and not otherwise defined shall have the respective meanings ascribed to them in the Securities Purchase Agreement.

Related to Securities Purchase Agreement Recitals

  • Securities Purchase Agreement This Agreement and the transactions contemplated hereby have been duly and validly authorized by the Company, this Agreement has been duly executed and delivered by the Company and this Agreement, when executed and delivered by the Company, will be, a valid and binding agreement of the Company enforceable in accordance with its terms, subject as to enforceability to general principles of equity and to bankruptcy, insolvency, moratorium, and other similar laws affecting the enforcement of creditors’ rights generally.

  • Stock Purchase Agreement Each Purchaser understands and agrees that the conversion of the Notes into equity securities of the Company will require such Purchaser’s execution of certain agreements relating to the purchase and sale of such securities as well as any rights relating to such equity securities.

  • Asset Purchase Agreement The transactions contemplated by the Asset Purchase Agreement shall have been consummated.

  • The Purchase Agreement This Agreement has been duly authorized, executed and delivered by the Company and the Guarantors.

  • Note Purchase Agreement The conditions precedent to the obligations of the Applicable Pass Through Trustees and the other requirements relating to the Aircraft and the Equipment Notes set forth in the Note Purchase Agreement shall have been satisfied.

  • of the Purchase Agreement Section 2.5 of the Purchase Agreement is hereby amended and restated in its entirety to read as follows:

  • Purchase Agreements The Sponsor has executed and delivered a Private Placement Warrants Purchase Agreement, the form of which is annexed as an exhibit to the Registration Statement (the “Sponsor Purchase Agreement”), pursuant to which the Sponsor will, among other things, on the Closing Date, consummate the purchase of and deliver the purchase price for the Placement Warrants allocated to the Sponsor described in Section 1.4.2. The Representative has executed and delivered a Private Placement Warrants Purchase Agreement, the form of which is annexed as an exhibit to the Registration Statement (the “Representative Purchase Agreement”, together with the Sponsor Purchase Agreement, the “Purchase Agreements”), pursuant to which the Representative will, among other things, on the Closing Date, consummate the purchase of and deliver the purchase price for the Placement Warrants allocated to the Representative described in Section 1.4.2. Pursuant to the Purchase Agreements, (i) the Sponsor and the Representative have waived any and all rights and claims it may have to any proceeds, and any interest thereon, held in the Trust Account in respect of the Placement Warrants, and (ii) certain proceeds from the sale of the Placement Warrants will be deposited by the Company in the Trust Account in accordance with the terms of the Trust Agreement on the Closing Date as provided for in the Purchase Agreements.

  • Receivables Purchase Agreement The Transferor, in its capacity as purchaser of Receivables from the RPA Seller under the Receivables Purchase Agreement, shall enforce the covenants and agreements of the RPA Seller as set forth in the Receivables Purchase Agreement, including its agreement to designate Additional Accounts as and when required in order for the Transferor to fulfill its undertakings in Section 2.06. The Transferor shall not amend, waive or otherwise modify the Receivables Purchase Agreement except in accordance with its terms.

  • Purchase Agreement See the introductory paragraphs hereof.

  • Amendment to Purchase Agreement The Purchase Agreement is hereby amended as follows:

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