Bond Schedule definition

Bond Schedule means the schedule attached to the Charter Contribution Agreement, the Origination Trust Contribution Agreement and the Administration and Custody Agreement as Exhibit A, as the same may be supplemented from time to time.
Bond Schedule shall have the meaning set forth in Section 5.26(a).

Examples of Bond Schedule in a sentence

  • Avnet agrees to provide Buyer an updated Bond Schedule at least five Business Days prior to the anticipated Closing Date.

  • Guaranty Schedule H Form of Performance Bond Schedule I Cancellation Fee Schedule J Drawings This ENGINEERING, PROCUREMENT AND CONSTRUCTION CONTRACT is made and entered into this _____ the day of ____________, 2003 by and between Contact Energy Limited, a New Zealand limited liability company with offices at Wellington, New Zealand ("Owner") and ORMAT Pacific Inc., a Delaware corporation acting through its New Zealand branch with offices at Taupo, New Zealand ("Contractor").

  • The initial public offering of the Units, which shall be made as set forth in the Prospectus, may be made on the date on which the Registration Statement becomes effective or as soon thereafter as in your judgment shall be practicable.

  • The bond shall be in a form and with a surety acceptable to ComEd. If 21st Century's use of ComEd Poles at any time exceeds the number of poles covered by the bond, 21st Century represents and warrants that it will immediately raise the total bond amount to the level which satisfies the requirement set forth in the Bond Schedule.

  • At the time this Agreement becomes effective, 21st Century agrees to furnish a bond to ComEd in the amount shown on the Bond Schedule attached as Exhibit D for the number of ComEd Poles being used throughout the term of this Agreement.

  • Except as set forth in the Honour Bond Schedule 1.03, Honour Bond does not have any subsidiaries, and does not own, beneficially or of record, any shares of or control any other corporation.

  • Exhibit A – Leases Exhibit A-1 - Easements Exhibit B – ▇▇▇▇▇ and Interests and Equipment Exhibit C – Contracts Exhibit D – Form of Assignment and ▇▇▇▇ of Sale Exhibit E – Allocated Value Schedule 1.02 – Excluded Assets Schedule 2.03(a) – XPLOR Bond Schedule 2.03(b) – Security Obligations This Purchase and Sale Agreement (this “Agreement”) is made and entered into this 17th day of November, 2011 (the “Execution Date”) by and between XPLOR Energy SPV-I, Inc.

  • Except as set forth in the Honour Bond Schedule 1.06, there are no existing options, warrants, calls, or commitments of any character relating to the authorized and unissued stock of Honour Bond.