38 definition

38. Cash Purchase Price"........................................................6 "Claim".....................................................................32 "Closing Balance Sheet"......................................................7 "Closing Date"...............................................................9 "Closing Working Capital"....................................................7 "Closing"....................................................................9 "Commingled Receivables".....................................................8 "Commitment Letter".........................................................10 "Estimated Closing Balance Sheet"............................................6 "Estimated Working Capital"..................................................6 "Excluded Assets"............................................................2 "Excluded Liabilities".......................................................4 "Financial Statements"......................................................13 "Xxxxxxx"...................................................................10 "HSR Act"...................................................................10 "Improvements"..............................................................18 "Inactive Employees"........................................................37 "Indebtedness"...............................................................4 "Indemnified Party".........................................................32 "Indemnifying Party"........................................................32 "Joinder Agreement".........................................................11
38 rated engine powerʼ (Prated) means the maximum net power of the engine or motor in kW measured in accordance with the requirements of Annex XX;';
38. Prospectus Supplement".........................................38 "Purchase Price"................................................38 "Qualified Replacement Mortgage Loan"...........................38 "Rate/Term Refinancing".........................................39 "Rating Agencies"...............................................39 "RBMG"..........................................................39 "RBMG Guidelines"...............................................39 "Realized Loss".................................................39 "Record Date"...................................................40 "Redemption Date"...............................................40 "Redemption Price"..............................................40 "Reference Banks"...............................................40 "Refinanced Mortgage Loan"......................................40 "Release Date"..................................................40 "Relief Act Interest Shortfall".................................41 "Remittable Funds"..............................................41 "REO Imputed Interest"..........................................41 "REO Principal Amortization"....................................41 "REO Property"..................................................41 "

More Definitions of 38

38. Authorized Officer" .........................................................................38 "Available Credit Portion" ...................................................................39 "Base Rate" ..................................................................................39 "Borrower" ...................................................................................39 "Borrowing Base" .............................................................................39 "Borrowing Base Certificate" .................................................................39 "Business Day"................................................................................39 "Capital Expenditures" .......................................................................39 "Capital Leases" .............................................................................39 "CCF".........................................................................................39 "Celebration".................................................................................39 "Change of Control" ..........................................................................39 "Closing Date"................................................................................40 "Code" .......................................................................................40 "Collateral" .................................................................................40 "Collateral Security Documents" ..............................................................40 "Commitment" .................................................................................40 "Commitment Percentage" ......................................................................40 "Default" ....................................................................................40 v 9
38 means the People’s Republic of China and, for the purpose of this Agreement, shall exclude the Special Administrative Region of Hong Kong, the Special Administrative Region of Macau, and Taiwan; and
38. Employer Contribution" 8 1.2.39 "Entry Date" 9 1.2.40 "Excess Aggregate Contributions" 9 1.2.41 "Excess Benefit Percentage" 9 1.2.42 "Excess Contributions" 9 1.2.43 "Excess Elective Deferrals" 9 1.2.44 "Excess Annual Addition" 9 1.2.45 "Fiduciary" 9 1.2.46 "Final Average Compensation" 9 1.2.47 "Fresh-Start Date" 10 1.2.48 "Frozen Accrued Target Benefit" 10 1.2.49 "Highly Compensated Employee" 10 1.2.50 "Hour of Service" 11 1.2.51 "Insurer" 12 1.2.52 "Joint and Survivor Annuity" 12 1.2.53 "Leased Employee" 13 1.2.54 "Life Insurance Policy" 13 1.2.55 "Limitation Year" 13 1.2.56 "Mass Submitter" 13 1.2.57 "Matching Account" 13 1.2.58 "Matching Contribution" 13 1.2.59 "Matching Contribution Allocation Date" 13 1.2.60 "Non-Elective Contribution" 13 1.2.61 "Normal Retirement Age" 13 1.2.62 "Normal Retirement Date" 13 1.2.63 "Owner-Employee" 14 1.2.64 "Participant" 14 1.2.65 "Plan" 14 1.2.66 "Plan Administrator" 14 1.2.67 "Plan Sponsor" 14 1.2.68 "Plan Year" or "Year" 14 1.2.69 "Preretirement Survivor Annuity" 14 1.2.70 "Qualified Joint and Survivor Annuity" 14 1.2.71 "Qualified Matching Contribution" 14 1.2.72 "Qualified Matching Contribution Account" 14 1.2.73 "Qualified Non-Elective Contribution" 14 1.2.74 "Qualified Non-Elective Contribution Account" 14 1.2.75 "Qualified Preretirement Survivor Annuity" 14 1.2.76 "Qualifying Employer Securities or Real Property" 14 1.2.77 "Safe Harbor Profit Sharing Plan" 15 1.2.78 "Segregated Account" 15 1.2.79 "Segregated Fund" 15 1.2.80 "Self-Employed Individual" 15 1.2.81 "Social Security Integration Level" 15 1.2.82 "Social Security Retirement Age" 15 1.2.83 "Target Benefit" 15 1.2.84 "Taxable Wage Base" 16 1.2.85 "Trust Fund" 16 1.2.86 "Trustee" 16 1.2.87 "Valuation Date" 16 1.2.88 "Voluntary Account" 16 1.2.89 "Year of Participation" 16 1.2.90 "Year of Projected Participation" 16
38. Tax Return"............................................................................................38 "Threat of Release".....................................................................................38 "Threatened"............................................................................................39 ANNEX I STOCK OWNERSHIP..............................................................................41 STOCK PURCHASE AGREEMENT THIS STOCK PURCHASE AGREEMENT ("Agreement") dated effective this 3rd day of December, 2002, is among GROUP 1 HOLDINGS - F, L.L.C., a Delaware limited liability company ("Buyer"), and HOWARD FORD, INC., a Delaware corporation ("Company"), and the persxxx xxxxx xames are set forth on ANNEX I hereto (collectively and individually "Sellers") which Sellers are, directly and indirectly, the holders in the aggregate of one hundred percent (100%) of the issued and outstanding shares of capital stock of the Company (the "Shares"). Terms capitalized but not otherwise defined herein have the meanings ascribed to them in Article 12.
38. Full Replacement Cost" ................ 6 "Guarantor" ............................ 18 "Hazardous Substances" ................. 39 "Improvements" ......................... 1 "Indemnified Parties" .................. 40 "Indemnitor" ........................... 6 "Insurance Premiums" ................... 9 "Insured Casualty" ..................... 11 "Intangibles" .......................... 3 "Investor" ............................. 46 "Land" ................................. 1 "Leases" ............................... 2 "Lease" ................................ 2 "legal fees" ........................... 47 "Lender" ............................... 1, 46 "Loan Documents" ....................... 6 "Loan" ................................. 27 "Losses" ............................... 40 "Note" ................................. 1, 47 "Obligations" .......................... 5 XXXXXX GUARANTY TRUST COMPANY
38. 04033671 May 2008 ........ 77.97240499 August 2014 ..... 37.61451124 June 2008 ....... 77.71905359 September 2014 .. 37.19277359 July 2008 ....... 77.43538870 October 2014 .... 36.77508658 August 2008 ..... 77.
38. Principal Balance" ...................................................... 24 "Pro Rata" ............................................................... 24 "Property" ............................................................... 25 "PUHC Act" ............................................................... 25 "Purchase Commitment" .................................................... 25 "Qualified Investor" ..................................................... 25 "Receivables Collateral Value" ........................................... 7 "Receivables Collateral" ................................................. 6 "Receivables Sublimit" ................................................... 28 "Receivables Subline" .................................................... 28 "Recoveries Advances" .................................................... 28 "Recoveries Borrowing Base" .............................................. 3 "Redemption Amount" ...................................................... 25 "Regulation Q" ........................................................... 25 "Regulation U" ........................................................... 25 "Regulation X" ........................................................... 25 "Reimbursement Rights" ................................................... 56 "Relevant 1994 UCC Amendments" ........................................... 62 "Repurchased Defaulted Mortgage" ......................................... 26 "Request for Borrowing" .................................................. 26 "Reuters Screen LIBO Page" ............................................... 38 "