Closing P&I Amount definition

Closing P&I Amount means the total aggregate principal amount and accrued interest of the Tranche B Notes as of the Exchange Closing.

Related to Closing P&I Amount

  • Closing Cash Amount has the meaning set forth in Section 2.2.

  • Post-Closing Adjustment Amount has the meaning set forth in Section 1.9.3.

  • Post-Closing Straddle Period means the portion of a Straddle Period beginning the day after the Closing Date.

  • Closing Adjustment Amount shall have the meaning set forth in Section 2.3(b)(i)(A).

  • Pre-Closing Straddle Period means the portion of a Straddle Period ending on the Closing Date.

  • Estimated Closing Cash has the meaning set forth in Section 2.4(a).

  • Closing Stock Price means the Stock Price as of the last day of any Performance Measurement Period.

  • Closing Amount has the meaning set forth in Section 2.2(a).

  • Cash Amount means an amount of cash equal to the Value on the Valuation Date of the Shares Amount.

  • Post-Closing Period means any taxable period (or portion thereof) beginning after the Closing Date.

  • Closing Cash means the amount of Cash determined as of the close of business on the Closing Date.

  • Post-Closing Adjustment has the meaning set forth in Section 2.04(b)(ii).

  • Closing Cash Payment has the meaning set forth in Section 2.06(a).

  • Daily Cash Amount means, with respect to any VWAP Trading Day, the lesser of (A) the applicable Daily Maximum Cash Amount; and (B) the Daily Conversion Value for such VWAP Trading Day.

  • Closing Purchase Price shall have the meaning ascribed to such term in Section 2.1(b), which aggregate purchase price shall be net of the underwriting discounts and commissions.

  • Unadjusted Principal Distribution Amount As defined in the definition of “Principal Distribution Amount.”

  • True-Up Amount means the difference between the ABO calculated by using the member’s actual creditable service and the actual final average compensation as of the member’s effective date in the FRS Investment Plan and the ABO initially transferred.

  • Closing Cash Consideration has the meaning set forth in Section 2.6(a)(i).

  • Closing Payment has the meaning set forth in Section 2.2(a).

  • Final Closing Cash shall have the meaning set forth in Section 2.11(g).

  • Estimated Closing Indebtedness has the meaning set forth in Section 2.3(a).

  • Seller Remittance Amount With respect to each Servicer, the meaning assigned to such term in the related Servicing Agreement.

  • Closing Period means the period between the close of business on the date of this Agreement and the Closing.

  • Earnout Amount has the meaning set forth in Section 2.7(a).

  • Estimated Closing Net Working Capital has the meaning set forth in Section 2.6(a).

  • Closing Value means, as of a particular date, the value of a Share determined by the closing sales price for such Share (or the closing bid, if no sales were reported) as quoted on The New York Stock Exchange for the last market trading day prior to the date of determination, as reported in The Wall Street Journal or such other source as the Administrator deems reliable.