Series A Redemption Notice definition

Series A Redemption Notice has the meaning set forth in Section 16.6(b).
Series A Redemption Notice has the meaning set forth in Section 5.11(c)(viii)(B).
Series A Redemption Notice shall state, as applicable: (1) the Series A Redemption Date, (2) the number of Series A Preference Units to be redeemed and, if less than all Outstanding Series A Preference Units are to be redeemed, the number (and the identification) of Units to be redeemed from such Series A Holder, (3) the Series A Redemption Price, (4) the place where the Series A Preference Units are to be redeemed and shall be presented and surrendered for payment of the Series A Redemption Price therefor and (5) that distributions on the Units to be redeemed shall cease to accumulate from and after such Series A Redemption Date.

Examples of Series A Redemption Notice in a sentence

  • Each Series A Redemption Notice will state (A) the Series A Redemption Date, (B) the Series A Redemption Price, (C) the place or places where such shares of Series A Preferred Stock are to be surrendered, and (D) that legally required dividends or distributions, if any, on shares of Series A Preferred Stock to be redeemed will cease to accrue on the Series A Redemption Date.

  • Notwithstanding any Series A Redemption Notice, there shall be no redemption of any Series A Preferred Shares called for redemption until funds sufficient to pay the full Series A Redemption Price of such shares shall have been deposited by the Company with the Paying Agent.

  • Notwithstanding any Series A Redemption Notice, there shall be no redemption of any Series A Preferred Units called for redemption until funds sufficient to pay the full Series A Redemption Price of such Series A Preferred Units shall have been deposited by the Partnership with the Paying Agent.

  • Notice of such proposed redemption (the "Series A Redemption Notice") must be mailed at least 45 days prior to the Series A Redemption Date to all holders of shares of Series A Preferred Stock at their respective addresses as the same appear on the stock record books of this corporation.

  • Each date fixed for redemption pursuant to this Section 5.12(b)(ix) or Section 5.12(b)(x) is referred to as a “Series A Redemption Date.” A Series A Redemption Notice will be irrevocable and will be delivered by the Partnership not less than 30 days prior to the Series A Redemption Date, addressed to the respective Record Holders of the Series A Preferred Units to be redeemed at their respective addresses as they appear on the books and records of the Partnership.


More Definitions of Series A Redemption Notice

Series A Redemption Notice shall state: (i) the Series A Redemption Date, (ii) the number of Series A Preferred Units to be redeemed and, if less than all Outstanding Series A Preferred Units are to be redeemed, the number (and, in the case of Units in certificated form, the identification) of Units to be redeemed from such Series A Holder, (iii) the Series A Redemption Price, (iv) the place where any Series A Preferred Units in certificated form are to be redeemed and shall be presented and surrendered for payment of the Series A Redemption Price therefor and (v) that distributions on the Units to be redeemed shall cease to accumulate from and after such Series A Redemption Date.
Series A Redemption Notice shall state, as applicable: (i) the Series A Redemption Date, (ii) the number of Series A Preferred Units to be redeemed and, if less than all Outstanding Series A Preferred Units are to be redeemed, the number (and, in the case of Series A Preferred Units in certificated form, the identification) of Series A Preferred Units to be redeemed from such Series A Holder, (iii) the Series A Redemption Price, plus an amount equal to all Series A Unpaid Cash Distributions thereon to, but excluding, the applicable Series A Redemption Date, (iv) the place where any Series A Preferred Units in certificated form are to be redeemed and shall be presented and surrendered for payment of the Series A Redemption Price, plus an amount equal to all Series A Unpaid Cash Distributions thereon to, but excluding, the applicable Series A Redemption Date, therefor and (v) that Series A Distributions on the Series A Preferred Units to be redeemed shall cease to accumulate from and after such Series A Redemption Date.
Series A Redemption Notice has the meaning set forth in Section 11.04(a).
Series A Redemption Notice has the meaning set forth in Section 7(c)(i) of this Exhibit AP.
Series A Redemption Notice shall state: (i) the Series A Redemption Date; (ii) the number of Series A Preferred Units to be redeemed and, if less than all outstanding Series A Preferred Units are to be redeemed, the number of such units to be redeemed from such Series A Holder; (iii) the Series A Redemption Price; and (iv) that Series A Distributions on the Series A Preferred Units to be redeemed shall cease from and after such Series A Redemption Date.
Series A Redemption Notice has the meaning given to it in Article 25(a).
Series A Redemption Notice or the “Series B Redemption Notice”, as applicable) shall state, as applicable: (1) the Series A Redemption Date or Series B Redemption Date, (2) the number of Series A Preferred Units or Series B Preferred Units to be redeemed and, if less than all Outstanding Series A Preferred Units or Series B Preferred Units are to be redeemed, the number (and the identification) of Series A Preferred Units or Series B Preferred Units to be redeemed from such Series A Holder or Series B Holder, (3) the Series A Redemption Price or Series B Redemption Price, (4) the place where the Series A Preferred Units or Series B Preferred Units are to be redeemed and shall be presented and surrendered for payment of the Series A Redemption Price or Series B Redemption Price therefor and (5) that distributions on the Series A Preferred Units or Series B Preferred Units to be redeemed shall cease to accumulate from and after such Series A Redemption Date or Series B Redemption Date.