71 definition

71. Standard Cost of Goods".................................................................. 9 1.72 "Taxes"................................................................................... 10 1.73 "Territory"............................................................................... 10 1.74 "Therapy"................................................................................. 10 1.75 "Third Party"............................................................................. 10 1.76 "Third Party Royalties"................................................................... 10 1.77 "Tositumomab"............................................................................. 11
71 interest earnings requirement" ............................ 74 ARTICLE II. DESCRIPTION, FORM, EXECUTION, REGISTRATION AND EXCHANGE OF BONDS
71. Offeree Member's Acceptance Notice" 7.1 "Offeree Member Response Date" 7.1 "Pilot Facility Costs" 2.11 "R&D Funding Disagreement" 2.7 "R&D Phase" 2.6(a) "Regulatory Allocations" 4.2 "Sale Materials" 7.1 "Second Appraiser" 2.9 "Secretary" 5.5(b) "Selling Member" 7.1 "Selling Member's Price" 7.1 "Selling Member's Offer Notice" 7.1 "Tax Matters Member" 4.5(a) "Tax Return" 4.5(b) "TESI Cash Contribution" 3.1 "Third Appraiser" 2.9 "Unanimous Approval" 5.3 "Unchanged Member" 7.2

More Definitions of 71

71. Deduction of amounts due to the Company.............................. 37 72. Unclaimed dividends.................................................. 37 73. Interest on dividends................................................ 37 74. Issue of bonus shares................................................ 37 75. Records of account................................................... 38 76. Financial year end................................................... 38 77. Financial statements................................................. 38 78. Appointment of Auditor............................................... 38 79. Remuneration of Auditor.............................................. 38 80. Vacation of office of Auditor........................................ 39 81. Access to books of the Company....................................... 39 82. Report of the Auditor................................................ 39 83. Notices to Members of the Company.................................... 39 84. Notices to joint Members............................................. 39 85. Service and delivery of notice....................................... 40 86. The seal............................................................. 40 BYE-LAW PAGE ------- ---- 87. Manner in which seal is to be affixed................................ 40 88. Winding-up/distribution by liquidator................................ 40 89. Alteration of Bye-laws............................................... 41 90. Directors of Bermuda Insurance Subsidiary............................ 41 91. Directors of certain Non-U.S. Subsidiaries........................... 41 92. Bye-laws or articles of association of certain subsidiaries.......... 42 93. Directors of subsidiaries of Bermuda Insurance Subsidiary............ 42 Schedule - Form A (Bye-law 59) Schedule - Form B (Bye-law 63) Schedule - Form C (Bye-law 67) INTERPRETATION
71. Note: This table of contents shall not, for any purpose, be deemed to be a part of this Indenture. --------------------------------------------------------------------------------------------- Indenture, dated as of , 2003 among COMPANHIA VALE DO RIO DOCE, a company ------ organized under the laws of the Federative Republic of Brazil (herein called the "Company"), having its principal office at Avenida Graca Aranha, No. 26, 17 Andar, 20030-900 Rio de Janeiro, RJ, Xxxxxx, xxx XXXXXXXX XXXXX BANK, a bank xxxx xxxxxxxxx xxx xxxxxxxx xxxxx xxe laws of New York, as Trustee (herein called the "Trustee").
71. Financial Indebtedness" means any indebtedness for or in respect of: (a) moneys borrowed; (b) any amount raised by acceptance under any acceptance credit facility; (c) any amount raised pursuant to any note purchase facility or the issue of bonds, notes, debentures, loan stock or any similar instrument; (d) the amount of any liability in respect of any lease, lease purchase, installment sale, conditional sale, hire purchase or credit sale or other similar arrangement (whether in respect of aircraft, machinery, equipment, land or otherwise) entered into primarily as a method of raising finance or for financing the acquisition of the relevant asset; (e) payments under any lease with a term, including optional extension periods, if any, capable of exceeding two years (whether in respect of aircraft, machinery, equipment, land or otherwise) characterized or interpreted as an operating lease in accordance with the relevant accounting standards but either entered into primarily as a method of financing the acquisition of the asset leased or having a termination sum payable upon any termination of such lease; (f) any amount raised by receivables sold or discounted (other than any receivables to the extent they are sold on a non-recourse basis) including any bill discounting, factoring or documentary credit facilities; (g) any amount raised under any other transaction (including any forward sale or purchase agreement) having the commercial effect of a borrowing; (h) any derivative transaction entered into in connection with protection against or benefit from fluctuation in any rate or price (and, when calculating the value of any derivative transaction, only the marked to market value shall be taken into account); (i) obligations (whether or not conditional) arising from a commitment to purchase or repurchase shares or securities where such commitment is or was in respect of raising finance; (j) any counter-indemnity obligation in respect of a guarantee, indemnity, bond, standby or documentary letter of credit or any other instrument issued by a bank or financial institution; and the amount of any liability in respect of any guarantee or indemnity for any of the items referred to in paragraphs (a) through (j) above. "Floor" means a rate of interest equal to 0%. "Frontier Airlines" means Frontier Airlines, Inc. "Frontier Holdings" means Frontier Airlines Holdings, Inc. "Frontier Group Holdings" means Frontier Group Holdings, Inc. "Guarantee" means each guarantee, a...
71 means the Emergency Measures Agreement entered into by the Parties on or around 1 April 2020 to deal with the impacts of COVID 19;
71. “Tax”: Any tax, levy, impost, duty, charge, assessment, deduction, withholding or fee of any nature (including interest, penalties and additions thereto) imposed by any governmental taxing authority. “Tax Event”: (i)(x) Any Obligor under any Collateral Obligation being required to deduct or withhold from any payment under such Collateral Obligation to the Issuer for or on account of any Tax for whatever reason and such Obligor is not required to pay to the Issuer such additional amount as is necessary to ensure that the net amount actually received by the Issuer (free and clear of Taxes, whether assessed against such Obligor or the Issuer) will equal the full amount that the Issuer would have received had no such deduction or withholding occurred and (y) the total amount of such deductions or withholdings on the Assets results in a payment by, or charge or tax burden to, the Issuer that results or will result in the withholding of 5% or more of Scheduled Distributions for any Collection Period, or (ii) any jurisdiction imposing net income, profits or similar Tax on the Issuer (including, for this purpose, any Tax required to be withheld under Section 1446 of the Code) in an aggregate amount in any Collection Period in excess of U.S.$1,000,000. “Tax Jurisdiction”: The Bahamas, Bermuda, the British Virgin Islands, the Cayman Islands or the Channel Islands so long as each such tax advantaged jurisdiction is rated at least “A-1” by S&P and any other tax advantaged jurisdiction as may be notified by the Collateral Manager to S&P from time to time so long as each such other tax advantaged jurisdiction is rated at least “A-1” by S&P. “Tax Redemption”: The meaning specified in Section 9.3(a) hereof. “Term SOFR Administrator”: CME Group Benchmark Administration Limited, or a successor administrator of the Term SOFR Reference Rate selected by the Collateral Manager with notice to the Trustee and the Collateral Administrator. “Term SOFR Rate”: For any Interest Accrual Period, the greater of (a) zero and (y) the Term SOFR Reference Rate for the Corresponding Tenor, as such rate is published by the Term SOFR Administrator on the related Interest Determination Date; provided that the Term SOFR Rate for the first Interest Accrual Period shall be determined as follows: (i) with respect to the period from the Closing Date to but excluding the First Interest Determination End Date, the Term SOFR Rate shall equal the rate determined by interpolating between the rate publishe...

Related to 71

  • 01 Change of Control Offer"..................................................... 4.08 "covenant defeasance option".................................................. 8.01(b) "Custodian"................................................................... 6.01 "Definitive Securities"....................................................... Appendix A "Event of Default"............................................................ 6.01 "Excess Proceeds"............................................................. 4.06 "Exchange Securities"......................................................... Preamble "Global Securities"........................................................... Appendix A "Guaranteed Obligations"...................................................... 10.01 "incorporated provision"...................................................... 11.01 "Initial Securities".......................................................... Preamble "legal defeasance option"..................................................... 8.01(b) "Notice of Default"........................................................... 6.01 "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)

  • 22 Securities Act"........................................................................22 "Senior Guarantor Indebtedness".........................................................22 "Senior Indebtedness"...................................................................23 "Senior Representative".................................................................24 "Series B Global Securities"............................................................24 "Shelf Registration Statement"..........................................................24 "Significant Restricted Subsidiary".....................................................24 "Special Record Date"...................................................................24 "Stated Maturity".......................................................................24 "Subordinated Indebtedness".............................................................25 "Subsidiary"............................................................................25 "Successor Security"....................................................................25 "Trustee"...............................................................................25 "Trust Indenture Act"...................................................................25 "Unrestricted Subsidiary"...............................................................25 "Unrestricted Subsidiary Indebtedness"..................................................25 "Voting Stock"..........................................................................26 "Wholly Owned Restricted Subsidiary"....................................................26

  • 03 Guarantee Payment Blockage Period"......................... 12.03 "Guaranteed Obligations".................................... 11.01 "incorporated provision".................................... 13.01 "Initial Securities"........................................ Preamble "legal defeasance option"................................... 8.01(b) "Notice of Default"......................................... 6.01 "Offer Period" 4.06(d) "Original Securities"....................................... Preamble "pay its Senior Subordinated Guarantee"..................... 12.03 "pay the Securities"........................................ 10.03 "Paying Agent".............................................. 2.04 "Payment Blockage Period"................................... 10.03 "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)

  • 23 Senior Available Credit".....................................................................23 "Senior Borrowing Base".......................................................................23 "Senior Collateral"...........................................................................23 "Senior Commitments"..........................................................................23 "Senior Credit Agreement".....................................................................23 "Senior Default"..............................................................................23 "Senior Event of Default".....................................................................23 "Senior Loan Documents".......................................................................24 "Senior Loans"................................................................................24 "Senior Net Cash Proceeds"....................................................................24 "Senior Outstandings".........................................................................24 "Senior Secured Parties"......................................................................24 "Senior Termination Date".....................................................................24 "Stated Maturity".............................................................................24 "Stock".......................................................................................24 "Stock Equivalents"...........................................................................24 "Subsidiary"..................................................................................24 "Subsidiary Guarantors".......................................................................24 "Surviving Debt"..............................................................................24 "Take-Out Securities".........................................................................24 "Termination Date"............................................................................25 "Title IV Plan"...............................................................................25 "Transaction".................................................................................25 "Trust Indenture Act" or "TIA"................................................................25 "Trustees"....................................................................................25 "UCC".........................................................................................25 "Unfunded Pension Liability"..................................................................25 "U.S. Government Obligations".................................................................25 "Vice President"..............................................................................25 "Voting Stock"................................................................................25 "Warnaco Entity"..............................................................................25 "Warnaco Operations"..........................................................................25 EXECUTION COPY

  • Check 21 means the Check Clearing for the 21st Century Act.

  • o GENERAL HOSPITAL means a hospital that is designed to care for medical and surgical patients with acute illness or injury.

  • N1 means the number of calendar days in the relevant Interest Period; “d” means the number of calendar days in the relevant Interest Period; “Margin” has the meaning specified in the Final Terms;

  • AT&T-12STATE means the AT&T owned ILEC(s) doing business in Arkansas, California, Illinois, Indiana, Kansas, Michigan, Missouri, Nevada, Ohio, Oklahoma, Texas and Wisconsin.

  • place of safety means any institution, hospital or other suitable place the occupier of which is willing to accept the temporary care of a child;

  • Sxxxxxxx-Xxxxx Act means the Sxxxxxxx-Xxxxx Act of 2002, as amended.

  • (2A) base resolution plan” means a resolution plan provided by the corporate debtor under clause (c) of sub-section (4) of section 54A;’;

  • By: Name Title: Date: Documents returned to Custodian: ---------------------------- as Custodian By____________________________ Name: Title: Date: EXHIBIT C ORIGINATORS EQUICREDIT CORPORATION OF AMERICA EQUICREDIT CORPORATION/ALA. & MISS. CALIFORNIA/EQUICREDIT CORPORATION EQUICREDIT CORPORATION OF IN. EQUICREDIT CORPORATION OF PA. EQUICREDIT CORPORATION OF SC EXHIBIT D Transfer Certificate ________ __, 199_ THE FIRST NATIONAL BANK OF BOSTON as Custodian under the Custodial Agreement (defined below) 100 Federal Street Boston, Massachusetts 02110 XX: Xxxxxxxxx Xxxxxxxxx, xxxxx xx xx March 1, 1997 (the "Custodial Agreement"), by and among the Originators listed in Exhibit C thereto (collectively, the "Originators"), Equicredit Corporation of America, as Representative (the "Representative") and as Servicer (the "Servicer"), EQCC Receivables Corporation and EQCC Asset Backed Corporation (collectively, the "Depositors"), First Bank National Association, as Trustee (the "Trustee") and The First National Bank of Boston, as Custodian (the "Custodian") To whom it may concern: Pursuant to Section 3.1 of the above-referenced Custodial Agreement (capitalized terms used herein but not otherwise defined shall have the same meanings assigned to such terms in the Custodial Agreement), we hereby advise you of the Transfer by the undersigned to [Depositor][the Trustee] of the Mortgage Loans identified on the Mortgage Loan Schedule[s] attached [hereto] [to the [Depositor's Trust Receipt[s]] with respect to the undersigned which we are delivering to you for cancellation]. You are instructed to deliver to [Depositor][the Trustee] a [Depositor's] [Trustee's] Trust Receipt evidencing [such Depositor's] [the Trustee's] interest in these Mortgage Loans. Very truly yours, [--------------------------------] By________________________________ Name: Title: SCHEDULE I MORTGAGE LOAN SCHEDULE

  • Xxxxxxx Xxx 0000 means the Xxxxxxx Xxx 0000 and any subordinate legislation made under that Act from time to time together with any guidance or codes of practice issued by the relevant government department concerning the legislation.

  • Van Xxxxxx Xxxrican Capital Tax Free High Income Fund ("Tax Free High Income Fund") Van Xxxxxx Xxxrican Capital California Insured Tax Free Fund ("California Insured Tax Free Fund") Van Xxxxxx Xxxrican Capital Municipal Income Fund ("Municipal Income Fund") Van Xxxxxx Xxxrican Capital Intermediate Term Municipal Income Fund (Intermediate Term Municipal Income Fund") Van Xxxxxx Xxxrican Capital Florida Insured Tax Free Income Fund ("Florida Insured Tax Free Income Fund") Van Xxxxxx Xxxrican Capital New Jersey Tax Free Income Fund ("New Jersey Tax Free Income Fund") Van Xxxxxx Xxxrican Capital New York Tax Free Income Fund ("New York Tax Free Income Fund") Van Xxxxxx Xxxrican Capital California Tax Free Income Fund ("California Tax Free Income Fund") Van Xxxxxx Xxxrican Capital Michigan Tax Free Income Fund ("Michigan Tax Free Income Fund") Van Xxxxxx Xxxrican Capital Missouri Tax Free Income Fund ("Missouri Tax Free Income Fund") Van Xxxxxx Xxxrican Capital Ohio Tax Free Income Fund ("Ohio Tax Free Income Fund")

  • Xxxxxxxx-Xxxxx Act means the Xxxxxxxx-Xxxxx Act of 2002.

  • ESFA means the Education and Skills Funding Agency.

  • OEHHA in the amount of $1,500; and (2) “Xxxxxx Xxxxxxxxx” in the amount of $500.

  • Contact Name P osition : : A ddress : : Zip Code & City : : E -mail address : : T elephone # : : Fax#: Country : :

  • (12A) goods and services tax” means any tax on supply of goods, or services or both except taxes on the supply of the alcoholic liquor for human consumption;’;

  • Xxxxxxx Xxxx Xxxx Xxxxx”

  • Sxxxxxxx-Xxxxx means the Sxxxxxxx-Xxxxx Act of 2002.

  • Xxxxxx Xxxx shall have the meaning set forth in Section 2.5 of this Agreement.

  • Xxxx-Xxxxx-Xxxxxx Act means the Xxxx-Xxxxx-Xxxxxx Antitrust Improvements Act of 1976, as amended.

  • Xxxxxx Xxx The Federal National Mortgage Association or any successor thereto.

  • Xxxxxxxx Xxxx means the type of charge that a xxxxxxx has on somebody else’s goods when he does work on the goods. The xxxxxxx may keep the goods until he is paid for the work and if he is not paid he may sell them. A mechanic will have a xxxxxxx’x xxxx on your car if he does work on it at his garage. Any expression not described or defined in this agreement shall have the meaning given to it in the Credit Contracts and Consumer Finance Act 2003 unless the context requires otherwise. Unless the context prevents it, the singular shall include the plural and vice versa and one gender includes others to the effect that, for example, “he” includes “they”, “she” and “it”.

  • General hospital means a subclass of hospital that provides surgical services and emergency services.