0001108426-08-000065 Sample Contracts

PNM Resources, Inc. UNDERWRITING AGREEMENT
Underwriting Agreement • May 12th, 2008 • Public Service Co of New Mexico • Electric & other services combined • New York

PNM Resources, Inc., a New Mexico corporation (the “Company”), proposes to issue and sell $102.75 million aggregate principal amount of its 9.25% Senior Notes, Series A Due 2015 (the “Notes”) to the several underwriters named in Schedule 1 hereto (the “Underwriters”), for which Banc of America Securities LLC and Lehman Brothers Inc. are acting as representatives (the “Representatives”). The Notes will (i) have terms and provisions which are summarized in the Pricing Disclosure Package as of the Applicable Time and the Prospectus dated as of the date hereof (each as defined in Section 1(a) hereof) and (ii) be issued pursuant to an Indenture dated as of March 15, 2005 between the Company and The Bank of New York (as successor to JPMorgan Chase Bank, N.A.), as Trustee (the “Trustee”), as previously supplemented by the first supplemental indenture, dated as of March 30, 2005, (collectively referred to herein as the “Indenture”), and to be further supplemented by the second supplemental ind

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Public Service Company of New Mexico UNDERWRITING AGREEMENT
Underwriting Agreement • May 12th, 2008 • Public Service Co of New Mexico • Electric & other services combined • New York

Public Service Company of New Mexico, a New Mexico corporation (the “Company”), proposes to issue and sell $350.0 million aggregate principal amount of its 7.95% notes due 2018 (the “Notes”) to the several underwriters named in Schedule 1 hereto (the “Underwriters”), for which Lehman Brothers Inc. and Merrill Lynch, Pierce, Fenner & Smith Incorporated are acting as representatives (the “Representatives”). The Notes will (i) have terms and provisions which are summarized in the Pricing Disclosure Package as of the Applicable Time and the Prospectus dated as of the date hereof (each as defined in Section 1(a) hereof) and (ii) be issued pursuant to an Indenture dated as of August 1, 1998 between the Company and The Bank of New York (as successor to JPMorgan Chase Bank, N.A.), as Trustee (the “Trustee”) (the “Indenture”), as supplemented by the third supplemental indenture to be dated as of May 13, 2008 between the Company and the Trustee (the “Supplemental Indenture.”) This agreement (thi

SUPPLEMENTAL REMARKETING AGREEMENT
Supplemental Remarketing Agreement • May 12th, 2008 • Public Service Co of New Mexico • Electric & other services combined • New York

Banc of America Securities LLC Hearst Tower 214 North Tryon Street Charlotte, North Carolina 28255 Merrill Lynch, Pierce, Fenner & Smith Incorporated 4 World Financial Center New York, New York 10080

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