Asset Sale Offer Purchase Date definition

Asset Sale Offer Purchase Date has the meaning provided in Section 4.16(d).
Asset Sale Offer Purchase Date. 10.15 "assumed liabilities" 10.15 "Change of Control Date" 10.10 "Change of Control Offer" 10.11 "Change of Control Payment Date" 10.11 "covenant defeasance" 4.03 "Defaulted Interest" 3.07 "defeasance" 4.02 "Defeased Notes" 4.01 "Designation" 10.21 "Event of Default" 5.01 "Excess Proceeds" 10.15 "incur" 10.11 "insolvent person" 4.04 "JV Designation" 10.22 "JV Revocation" 10.22 "JV Revocation Amount" 10.22 "Note Register" 3.05 "Offer Excess Proceeds" 10.15 "Paying Agent" or "Agent" 3.02 "Physical Notes" 3.03 "Registrar" 3.02 "Replacement Assets" 10.15 "Restricted Period" 3.17 "Revocation" 10.21 "surviving entity" 8.01 "US Designation Amount" 10.21
Asset Sale Offer Purchase Date. 10.15 "Assumed Indebtedness" 10.15 "assumed liabilities" 10.15 "Change of Control Date" 10.10 "Change of Control Offer" 10.10 "Change of Control Payment Date" 10.10 "covenant defeasance" 4.03 "Defaulted Interest" 3.07 "defeasance" 4.02 "Defeased Notes" 4.01 "Designation" 10.20 "Designation Amount" 10.20 "Event of Default" 5.01 Defined in Term Section ---- -------

Examples of Asset Sale Offer Purchase Date in a sentence

  • If the Asset Sale Offer Purchase Date is after the taking of a record of the Holders on a record date and on or before the related Interest Payment Date, any accrued and unpaid interest will be paid to the Person in whose name a purchased Security is registered on such record date, and no other interest will be payable to Holders who tender Securities pursuant to the Asset Sale Offer.

  • Unless the Company defaults in the payment of the Asset Sale Offer Purchase Price with respect thereto, all Securities or portions thereof selected for payment pursuant to the Asset Sale Offer will cease to accrue interest from and after the Asset Sale Offer Purchase Date.

  • The Company shall publicly announce the results of the Asset Sale Offer not later than the third Business Day following the Asset Sale Offer Purchase Date.

  • The Company shall publicly announce the results of the Asset Sale Offer not later than the third business Day following the Asset Sale Offer Purchase Date.

  • The Asset Sale Offer shall remain open from the time of mailing for at least 20 Business Days and until 5:00 p.m., New York City time, on the date fixed for Purchase of Notes validly tendered and not withdrawn, which date shall be not later than the 30th Business Day following the mailing of such Asset Sale Offer (the "Asset Sale Offer Purchase Date").


More Definitions of Asset Sale Offer Purchase Date

Asset Sale Offer Purchase Date. 4.10(i) “Asset Sale Proceeds Application Period” 4.10(b) “Authentication Order” 2.02 “Change of Control Offer” 4.14(a) “Change of Control Payment” 4.14(a) “Code” 4.21 “Collateral Advance Offer” 4.10(c) “Collateral Advance Portion” 4.10(c)
Asset Sale Offer Purchase Date has the meaning set forth in Section 10.15.
Asset Sale Offer Purchase Date. 4.13 "Asset Sale Offer Trigger Date"................ 4.13 "Change of Control Offer"...................... 4.11 "Change of Control Purchase Date".............. 4.11 "Collateral Account"........................... 4.18 "Covenant Defeasance Option"................... 8.01 "Event of Default"............................. 6.01 "Excess Proceeds".............................. 4.13 "Final Special Offer Purchase Date"............ 4.12 "Incur"........................................ 4.07 "Interested Person"............................ 4.19 "Legal Defeasance Option"...................... 8.01 "Notice of Default"............................ 6.01 "Participants"................................. 2.15 "Paying Agent"................................. 2.03 "Payment Restriction".......................... 4.09 "Permitted Indebtedness"....................... 4.07 "Permitted Payments"........................... 4.05 "Purchase Date"................................ 3.08 "Refinancing Indebtedness"..................... 4.07 "Registrar".................................... 2.03 "Required Filing Dates"........................ 4.02 "Special Offer"................................ 4.12 "Special Offer Price".......................... 4.12 "Special Offer Purchase Date".................. 4.12 25 -18-
Asset Sale Offer Purchase Date. 3.9 "Asset Sale Offer Trigger Date"........... 4.10 "Benefitted Party"........................ 10.1 "Change of Control Offer"................. 4.15 "Change of Control Payment"............... 4.15 "Change of Control Payment Date".......... 4.15 "Covenant Defeasance"..................... 8.3
Asset Sale Offer Purchase Date. 3.10(b) “Authentication Order” 2.02(c) “Automatic Exchange” 2.3(h) of Appendix AAutomatic Exchange Date” 2.3(h) of Appendix A “Automatic Exchange Notice” 2.3(h) of Appendix A “Automatic Exchange Note Date” 2.3(h) of Appendix A “Calculation Date” 1.01 “Change of Control Offer” 4.12(a) “Change of Control Payment” 4.12(a) “Change of Control Payment Date” 4.12(a) “Clearstream” 1.1(a) of Appendix A “Collateral Excess Proceeds” 4.09(c) “Collateral Proceeds Offer” 4.09(c) “Collateral Proceeds Offer Amount” 3.09(b) “Collateral Proceeds Offer Period” 3.09(b) “Collateral Proceeds Offer Purchase Date” 3.09(b) “Covenant Defeasance” 8.03 “cross acceleration provision” 6.01(a) “Definitive Notes” 2.1(d) of Appendix A “Definitive Notes Legend” 2.3(e) of Appendix A “DTC” 2.03(b) “Distribution Compliance Period” 1.1(a) of Appendix A “Euroclear” 1.1(a) of Appendix A “Event of Default” 6.01(a) “Excess Proceeds” 4.09(d) “Expiration Date” 1.05(j) “Global Note” 2.1(b) of Appendix A “Global Notes Legend” 2.3(e) of Appendix A “Guaranteed Obligations” 11.01(a) “IAI” 1.1(a) of Appendix A “IAI Global Note” 2.1(b) of Appendix A “IAI Notes” 2.1(a) of Appendix A “judgment default provision” 6.01(a) “Legal Defeasance” 8.02(a) “Note Register” 2.03(a) “obligor” 1.04 “OID Notes Legend” 2.3(e) of Appendix A “Paying Agent” 2.03(a) “payment default” 6.01(a) 40 Term Defined in SectionPermitted Parties” 4.03(c) “QIB” 1.1(a) of Appendix A “Registrar” 2.03(a) “Regulation S” 1.1(a) of Appendix A “Regulation S Global Note” 2.1(b) of Appendix A “Regulation S Notes” 2.1(a) of Appendix A “Reinstatement Date” 4.14(b) “Restricted Notes Legend” 2.3(e) of Appendix A “Restricted Payment” 4.06(a) “Rule 144” 1.1(a) of Appendix A “Rule 144A” 1.1(a) of Appendix A “Rule 144A Global Note” 2.1(b) of Appendix A “Rule 144A Notes” 2.1(a) of Appendix A “Rule 501” 1.1(a) of Appendix A “Rule 904” 1.1(a) of Appendix A “Second Commitment” 4.09(b) “Successor Company” 5.01(a) “Successor Guarantor” 5.01(c) “Suspended Covenants” 4.14(a) “Suspended Period” 4.14(b) “Transfer Restricted Note” 1.1(a) of Appendix A “Unrestricted Global Note” 1.1(a) of Appendix A
Asset Sale Offer Purchase Date. 4.10 "Asset Sale Offer Trigger Date".........................................4.10 "Calculation Date"......................................................1.01 "Change of Control Offer"...............................................4.16 "Change of Control Payment".............................................4.16