Depository Trust Agreement definition

Depository Trust Agreement means the Second Amended and Restated Depository Trust Agreement dated June 1, 2004 among Dow Corning, the Tort Claimants’ Committee, Claimants’ Advisory Committee, and Wells Fargo Bank, National Association as Trustee.
Depository Trust Agreement means the Second Amended and Restated Depository Trust Agreement among Dow Corning Corporation, the Tort Claimants’ Committee, the Claimants’ Advisory Committee, and Xxxxx Fargo Bank, National Association dated June 1, 2004 as it may be amended from time to time.
Depository Trust Agreement means this Depository Trust Agreement (Sewer System Revenue Obligations, Series 2010), dated as of November 1, 2019, between the County and the Depository Trustee.

Examples of Depository Trust Agreement in a sentence

  • All capitalized terms used in this Assignment and Security Agreement and not otherwise defined herein shall have the meanings assigned to them in the Joint Plan of Reorganization, the Disclosure Statement, the Settlement Facility Agreement, the Depository Trust Agreement, the Funding Payment Agreement, the Insurance Allocation Agreement, the Litigation Facility Agreement, and the Bankruptcy Code, in that order, which definitions are incorporated herein by this reference for all purposes.

  • The Litigation Fund is to be managed under the terms of the Depository Trust Agreement.

  • The Depository Trust Agreement establishes initial accounts which may be divided at the instruction of the Finance Committee as necessary to hold, manage, invest and distribute funds in accordance with this Agreement.

  • However, conspicuously absent in this list of regulations are those related to labor.

  • To effectuate this obligation, Dow Corning hereby agrees to use commercially reasonable best efforts to instruct all Insurance Companies listed on Exhibit D hereto (and their receivers, liquidators, or schemes of arrangement if applicable), effective June 1, 2004, to pay all Insurance Proceeds (as defined herein) directly into the Post-Effective Date Insurance Proceeds Holding Account established under Section 5.01 of the Depository Trust Agreement.

  • Unless the context otherwise requires, all capitalized terms used in this Agreement and not otherwise defined herein shall have the meanings assigned to them in the Plan, the Disclosure Statement, the Settlement Facility Agreement, the Depository Trust Agreement, the Funding Payment Agreement, and the Bankruptcy Code, in that order, which definitions are incorporated herein by this reference for all purposes.

  • To effectuate the terms of this Agreement, a Depository Trust (“the Trust”) has been established pursuant to the Second Amended and Restated Depository Trust Agreement dated as of June 1, 2004 (the “Depository Trust Agreement”).

  • All assets (including but not limited to funds and interests in insurance policies and Insurance Proceeds) of the Settlement Facility shall be received, held, invested and disbursed by the Depository Trust on behalf of the Settlement Facility in accordance with the terms of the Depository Trust Agreement.

  • The following sets forth the provisions dealing with the financial management of the Litigation Facility all of which shall be consistent with, and subject to, the terms of the Plan, the Settlement Facility Agreement, and the Depository Trust Agreement.

  • Dow Corning shall provide evidence of the mailing of the notice and the receipts confirming delivery to the Claimants’ Advisory Committee, the Trustee of the Depository Trust Agreement, and the Finance Committee and shall deliver the original signed acknowledgements or consents to the Trustee.


More Definitions of Depository Trust Agreement

Depository Trust Agreement means the Depository Trust Agreement, dated as of November 17, 2010, between the Trustee, as trustee under this Indenture, and The Bank of New York Mellon, as depository trustee.

Related to Depository Trust Agreement

  • Master Trust Agreement means the Second Amended and Restated Trust Agreement, dated as of May 8, 2019, between Verizon ABS II LLC, as depositor, and the Master Trust Owner Trustee, as amended, restated, supplemented or modified from time to time.

  • Collateral Trust Agreement means the Collateral Trust Agreement, dated as of the date hereof, among, among others, the Borrower, the subsidiaries of the Borrower party thereto from time to time as grantors, the MIP Shareholders party thereto from time to time and GLAS Trust Company LLC, in its respective capacities, including as Collateral Trustee.

  • Original Trust Agreement has the meaning specified in the recitals to this Trust Agreement.

  • Initial Trust Agreement shall have the meaning assigned to such term in Section 2.12 of the Trust Agreement.

  • Vehicle Trust Agreement means that certain amended and restated trust agreement, dated as of September 27, 1996, as further amended as of May 25, 2000 and December 1, 2006 between BMW Manufacturing L.P., as grantor and initial beneficiary, and BNY Mellon Trust of Delaware, formerly known as The Bank of New York (Delaware), as trustee.

  • Liquidating Trust Agreement means an agreement evidencing the terms and provisions governing a Liquidating Trust that shall be entered into prior to the establishment of such Liquidating Trust and pursuant to which a Liquidating Trustee shall manage and administer Liquidating Trust Assets.

  • Certificate Depository Agreement means the agreement among the Trust, the Depositor and The Depository Trust Company, as the initial Clearing Agency, dated as of the Closing Date, relating to the Trust Securities Certificates, substantially in the form attached as Exhibit B, as the same may be amended and supplemented from time to time.

  • Trust Agreement means this Amended and Restated Trust Agreement, as the same may be modified, amended or supplemented in accordance with the applicable provisions hereof, including all exhibits hereto, including, for all purposes of this Trust Agreement and any such modification, amendment or supplement, the provisions of the Trust Indenture Act that are deemed to be a part of and govern this Trust Agreement and any such modification, amendment or supplement, respectively.

  • Pass Through Trust Agreement means each of the two separate Trust Supplements relating to the Pass Through Trusts, together in each case with the Basic Pass Through Trust Agreement, as the same may be amended, supplemented or otherwise modified from time to time in accordance with its terms.

  • Liquidation Trust Agreement means the Liquidation Trust Agreement to be dated as of the Effective Date establishing the terms and conditions of the Liquidation Trust, substantially in the form attached hereto as Exhibit B.

  • Note Depository Agreement means the agreement, dated as of the Closing Date, between the Issuer and DTC, as the initial Clearing Agency relating to the Notes, as the same may be amended or supplemented from time to time.

  • Titling Trust Agreement means the Amended and Restated Trust and Servicing Agreement, dated as of August 26, 1998, among NILT Trust, as the Grantor and the UTI Beneficiary, the Servicer, the Delaware Trustee, the Titling Trustee and the Trust Agent.

  • Class B Trust Agreement “Class B Trustee”, “Closing Date”, “Continental”, “Continental Bankruptcy Event”, “Controlling Party”, “Corporate Trust Office”, “Delivery Period Expiry Date”, “Downgraded Facility”, “Downgrade Event”, “Equipment Notes”, “Fee Letter”, “Final Legal Distribution Date”, “Financing Agreement”, “Investment Earnings”, “Liquidity Facility”, “Liquidity Obligations”, “Loan Trustee”, “Non-Extended Facility”, “Note Purchase Agreement”, “Operative Agreements”, “Participation Agreement”, “Performing Equipment Note”, “Person”, “Pool Balance”, “Rating Agencies”, “Regular Distribution Date”, “Replacement Liquidity Facility”, “Responsible Officer”, “Scheduled Payment”, “Special Payment”, “Stated Interest Rate”, “Subordination Agent”, “Taxes”, “Threshold Rating”, “Transfer”, “Trust Agreement”, “Trustee”, “Underwriters”, and “Underwriting Agreement”.

  • Depository Agreement With respect to Classes of Book-Entry Certificates, the agreement between the Trustee and the initial Depository.

  • Class A Trust Agreement Has the meaning specified in the Intercreditor Agreement.

  • Voting Trust Agreement means the Voting Trust Agreement entered into ---------------------- as of April 15, 1996 by and among Xxxxxx X. Xxxx; Xxxxx X. Xxxx, Xx.; Xxxxx X. Xxxx, Xx.; and F. Xxxxxx Xxxxxxx as the Voting Trustees and the stockholders of LSAI Holding Corp. who are parties thereto.

  • Security Trust Agreement means that certain security trust agreement dated on or about the Merger Closing Date made between the Security Trustee and the Lenders and relating to the appointment of the Security Trustee as trustee of the Security.

  • Trust Agreements shall have the meanings ascribed to them in the introductory paragraph of the Authorized Participant Agreement.

  • SUBI Trust Agreement means the Vehicle Trust Agreement as supplemented by that certain supplement, dated as of September 23, 2010, among the parties to the Vehicle Trust Agreement, as amended or supplemented from time to time.

  • Basic Pass Through Trust Agreement means the Pass Through Trust Agreement, dated October 3, 2012, between Owner and Pass Through Trustee, but does not include any Trust Supplement.

  • Litigation Trust Agreement means the trust agreement dated as of the Plan Implementation Date, between SFC and the Litigation Trustee, establishing the Litigation Trust.

  • Supplemental Trust Agreement means any trust agreement then in full force and effect which has been duly executed and delivered by the Authority and the Trustee amendatory hereof or supplemental hereto; but only if and to the extent that such Supplemental Trust Agreement is executed and delivered pursuant to the provisions hereof.

  • Depository Agent is defined in Section 2.6(a) of the Agreement.

  • Trust Common Securities means the securities representing common undivided beneficial interests in the assets of the Trust.

  • Certificate Depositary Agreement means the agreement among the Issuer Trust, the Depositor and the Depositary, as the initial Clearing Agency, dated as of the Closing Date, substantially in the form attached hereto as Exhibit B, as the same may be amended and supplemented from time to time.