Examples of Notice Delivery Date in a sentence
The Notes will become immediately due and payable in accordance with Condition 6.2 ( Redemption on or after the Notes Termination Date) without any further notice or other action on the part of the Note Trustee or the Noteholders on the date a Note Default Notice is delivered by the Note Trustee to the Issuer pursuant to the Note Trust Deed (the "Note Default Notice Delivery Date").
Within three (3) business days following the Conversion Notice Delivery Date, the Corporation shall issue and deliver a certificate or certificates representing the number of shares of Common Stock determined pursuant to this Section 5 (the “Share Delivery Date”).
In 1806, he submitted a report on his Okhta Panopticon to Admiral Chichagov, head of the Admiralty, to be forwarded to the Emperor Alexander I.
Within two (2) business days following the Conversion Notice Delivery Date, the Corporation shall issue and deliver a certificate or certificates representing the number of shares of Common Stock determined pursuant to this Section 5 (the “Share Delivery Date”).
Daily overtime must be paid as it is earned.• The base workweek hours must be clearly indicated on each payroll.
Subject to the relevant Holder performing its obligations in respect of the relevant Warrant or Unit, as the case may be, in accordance with these Conditions, the Settlement Date for such Warrants or Units, as the case may be, shall be the fifth Business Day following the Exercise Notice Delivery Date.
The " Enforcement Date" shall be the date which is the earliest of (1) the Note Default Notice Delivery Date, (2) the date that an Enforcement Notice is delivered to the Issuer pursuant to the Security Trust Deed or(3) the date upon which a Swap Acceleration Event occurs.
Within three (3) Trading Days following the Conversion Notice Delivery Date, the Company shall issue and deliver a certificate or certificates representing the number of shares of Common Stock determined pursuant to this Section 4 (the “Share Delivery Date”).
Purchase Notice Delivery Date: the date on which MBLC is required to deliver the Purchase Notice to the Fund Trust pursuant to the Vehicle Purchase Agreement, which is the ninth (9th) Business Day before each Payment Date (provided that a Lessee Return Event has occurred during the previous calendar month).
Upon a Conversion, the number of new and/or existing Shares to be issued by the Issuer to the relevant Note holder in accordance with Clause 7 (a) will be calculated as the Conversion Amount divided by the Conversion Price (as defined herein) on the applicable Conversion Notice Delivery Date.