01 definition

01. Offer Period"................................................................ 4.06(d) "Original Securities"......................................................... Preamble "Paying Agent"................................................................ 2.04 "protected purchaser"......................................................... 2.08 "Refinancing Indebtedness".................................................... 4.03(b) "Refunding Capital Stock"..................................................... 4.04 "Registration Agreement"...................................................... Appendix A "Registered Exchange Offer"................................................... Appendix A "Registrar"................................................................... 2.04 "Restricted Payment".......................................................... 4.04(a) "Retired Capital Stock"....................................................... 4.04(b) "Securities Custodian"........................................................ Appendix A "Shelf Registration Statement"................................................ Appendix A "Special Redemption".......................................................... 3.07(b) "Special Redemption Date"..................................................... 3.07(b) "Special Redemption Price".................................................... 3.07(b) "Successor Company"........................................................... 5.01(a) "Successor Guarantor"......................................................... 5.01(b)(i) "TRW Automotive Luxembourg"................................................... 4.11(d)
01. Extraordinary Cash Dividend"........................................10.08 "Institutional Accredited Investors"...............................2.01(b) "Legal Holiday"......................................................12.09 "Legend"...........................................................2.06(f) "Market Price".....................................................3.08(d) "Measurement Period"..............................................11.08(a) "noncontingent bond method"...........................................4.07 "Notice of Default"...................................................6.01 "Paying Agent"........................................................2.03 "Permitted Holder" ................................................3.09(a) "Purchase Date"....................................................3.08(a) "Purchase Notice"..................................................3.08(a) "Purchase Price"...................................................3.08(a) "QIB"..............................................................2.01(a) "Registrar"...........................................................2.03 "Relevant Cash Dividends".........................................10.08(a) "Rights".............................................................10.19 "Rights Agreement"...................................................10.19 "Rule 144A Information"...............................................4.06 "Securities Act"...................................................3.08(d) "Time of Determination"..............................................10.01
01. Permitted Debt".................................................................... 4.09 "Purchase Date"..................................................................... 3.09 "Registrar"......................................................................... 2.03 "Restricted Payments"............................................................... 4.07

More Definitions of 01

01. Change of Control Offer"............................. 4.09 "Change of Control Payment"........................... 4.09 "Change of Control Payment Date"...................... 4.09 "Covenant Defeasance"................................ 8.03 "Defaulted Interest".................................. 2.12 "DTC"................................................ 2.03 "Euroclear".......................................... 2.01 "Event of Default"................................... 6.01 "Excess Proceeds"..................................... 4.10 "Incur"............................................... 4.12 "Legal Defeasance".................................... 8.02 "Offer Amount"........................................ 3.10 "Offer Period"........................................ 3.10 "Paying Agent"........................................ 2.03 "Payment Blockage Notice"............................. 10.03 "Payment Default".................................... 6.01 "Permitted Debt"...................................... 4.12 "Purchase Date"....................................... 3.10 "QIB"................................................ 2.01 "Registrar".......................................... 2.03 "Restricted Payments"................................ 4.11 "Rule 144 A Global Notes"............................ 2.01 "Successor Company".................................. 5.01
01. “02,”…”31”) when the loan payment will be due is required on the blank space available in this statement. (13)
01 legal defeasance option"............... 8.01(b) "Legal Holiday"......................... 13.08 "Offer"................................ 4.07(b) "Offer Amount"......................... 4.07(c)(2) "Offer Period"......................... 4.07(c)(2) "pay the Securities".................... 10.03 "Paying Agent".......................... 2.03 "Payment Blockage Period"............... 10.03 "Purchase Date"........................ 4.07(c)(1) "Registrar"............................. 2.03 "Successor Company"..................... 5.01
01. Change of Control Offer"............................ 4.16 "Change of Control Notice"........................... 4.16 "Change of Control Payment Date"..................... 4.16 "Covenant Defeasance"................................ 8.03 "Custodian" ........................................ 6.01 "Event of Default"................................... 6.01 "Excess Proceeds".................................... 4.11 "Funding Guarantor".................................. 10.06 "incur" ............................................ 4.09 "Legal Defeasance"................................... 8.02 "Legal Holiday"...................................... 11.07 "Net Proceeds Offer"................................. 4.11 "Net Proceeds Offer Amount".......................... 4.11 "Net Proceeds Payment Date".......................... 4.11 "Paying Agent"....................................... 2.03 "Payment Default".................................... 6.01 "Payment Restriction"................................ 4.14 "Permitted Consideration"............................ 4.11 "Registrar".........................................+ 2.03
01 mandatory sinking fund payment"............................................................. 3.09 "optional sinking fund payment".............................................................. 3.09 "Paying Agent"............................................................................... 2.05 "Registrar".................................................................................. 2.05 "Required Currency".......................................................................... 6.10 "Successor".................................................................................. 5.01
01. Blockage Notice"....................... 10.03 "Change of Control Offer"............... 4.09(b) "covenant defeasance option"............ 8.01(b) "Custodian"............................. 6.01 "Event of Default"...................... 6.01 "legal defeasance option"............... 8.01(b) "Legal Holiday"......................... 13.08 "Offer"................................ 4.07(b) "Offer Amount"......................... 4.07(c)(2) "Offer Period"......................... 4.07(c)(2) "pay the Securities".................... 10.03 "Paying Agent".......................... 2.03 "Payment Blockage Period"............... 10.03 "Purchase Date"........................ 4.07(c)(1) "Registrar"............................. 2.03 "Successor Company"..................... 5.01
01 covenant defeasance"........................................................................ 8.01 "Event of Default"........................................................................... 6.01 "Exchange Rate".............................................................................. 2.11 "Funding Guarantor".......................................................................... 10.05 "Judgment Currency".......................................................................... 6.10 "legal defeasance"........................................................................... 8.01 "mandatory sinking fund payment"............................................................. 3.09 "optional sinking fund payment".............................................................. 3.09 "Paying Agent"............................................................................... 2.05 "Registrar".................................................................................. 2.05 "Required Currency".......................................................................... 6.10 "Successor".................................................................................. 5.01