Item 1 definition

Item 1. Date of Joinder Supplement: Item 2: Additional Class B Purchaser: Item 3: Signatures of Parties to Agreement: as Additional Class B Purchaser By: Name: Title: [By: Name: Title:] PRIME II RECEIVABLES CORPORATION, as Transferor By: Name: Title: PNC BANK, NATIONAL ASSOCIATION, as Agent By: Name: Title: By: Name: Title: ACCEPTED BY: PNC BANK, NATIONAL ASSOCIATION, as Administrative Agent By: Name: Title: By: Name: Title: FDS NATIONAL BANK, as Servicer By: Name: Title: SCHEDULE II TO JOINDER SUPPLEMENT LIST OF INVESTING OFFICES, ADDRESSES FOR NOTICES AND COMMITMENT [Additional Class B Purchaser] Noncommitted Class B Purchaser: Yes/No Initial Noncommitted Purchaser Percentage: _______% (if applicable) Committed Class B Purchaser: Yes/No Initial Committed Purchaser Percentage: _______% (if applicable) Commitment: $____________ Commitment Expiration Date: _____________ Address for Notices: Investing Office: SCHEDULE III TO JOINDER SUPPLEMENT FORM OF JOINDER EFFECTIVE NOTICE To: [Name and address of Transferor, Servicer, Trustee, Administrative Agent and Additional Class B Purchaser] The undersigned, as Agent under the Class B Certificate Purchase Agreement, dated as of July 6, 1999, among Prime II Receivables Corporation, as Transferor, FDS National Bank, as Servicer, the Class B Purchasers parties thereto and PNC Bank, National Association, as Agent for the Class B Purchasers and as Administrative Agent thereunder, acknowledges receipt of five executed counterparts of a completed Joinder Supplement. [Note: attach copies of Schedules I and II from such Agreement.] Terms defined in such Supplement are used herein as therein defined. Pursuant to such Supplement, you are advised that the Joinder Effective Date will be _____________, 199_. Very truly yours, PNC BANK, NATIONAL ASSOCIATION, as Agent By:_______________________ Name: Title: By:_______________________ Name: Title: EXHIBIT C FORM OF TRANSFER SUPPLEMENT THIS TRANSFER SUPPLEMENT ("Supplement"), dated as of the date set forth in Item 1 of Schedule I hereto, among the Transferor Class B Purchaser set forth in Item 2 of Schedule I hereto (the "Transferor Class B Purchaser"), the Purchasing Class B Purchaser set forth in Item 3 of Schedule I hereto (the "Purchasing Class B Purchaser"), and PNC Bank, National Association, as Agent for the Class B Purchasers under, and as defined in, the Certificate Purchase Agreement described below (in such capacity, the "Agent").
Item 1. Date of Joinder Supplement: ______________
Item 1 means Item 1 of Part B of Schedule 2 to the VAT Act;

Examples of Item 1 in a sentence

  • Provide the following information regarding the aggregate number and percentage of the class of securities of the issuer identified in Item 1.

  • The treatment works must obtain at least 85 percent removal of carbonaceous biochemical oxygen demand (five-day) and suspended solids (see Part III, Item 1).

  • Ownership Provide the following information regarding the aggregate number and percentage of the class of securities of the issuer identified in Item 1.

  • Enter the Federal program name or description for the covered Federal action (Item 1).

  • State the aggregate number and percentage of the class of securities identified pursuant to Item 1 beneficially owned (identifying those shares which there is a right to acquire within thirty (30) days from the date of this report) by each person named in Item 2.


More Definitions of Item 1

Item 1. Provide or implement a service whereby the Contractor captures work zone information in the possession of a TxShare Entity (referred to as the Supplier in this scenario) and
Item 1. Date of Transfer Supplement: Item 2: Transferor Class B-2 Purchaser: Item 3: Purchasing Class B-2 Purchaser: Item 4: Signatures of Parties to Agreement: as Transferor Class B-2 Purchaser BY: Name: Title:
Item 1. Date of Joinder Supplement: Item 2: Additional Class A-2 Purchaser: Item 3: Agent:
Item 1. Consolidated EBITDA (see Annex 1 for calculation of Consolidated EBITDA) $
Item 1. Consolidated Tangible Net Worth (determined in accordance with GAAP) $ Item 2: Aggregate proceeds received by the Trust (net of fees and expenses customarily incurred in transactions of such type) in connection with any offering of stock in the Trust $
Item 1. Date of Transfer Supplement: