Repurchase Notice Date definition

Repurchase Notice Date has the meaning set forth in Section 11.1.
Repurchase Notice Date shall have the meaning set forth in Section 6.2.
Repurchase Notice Date is defined in Section 6.2 of the Receivables ---------------------- ----------- Purchase Agreement.

Examples of Repurchase Notice Date in a sentence

  • In the event Executive engages in Competitive Activity not constituting a Restrictive Covenant Violation, then the purchase price per Unit will be the Fair Market Value (measured as of the Repurchase Notice Date).

  • If the Issuer elects to purchase Securities with cash, the Issuer Repurchase Notice, as provided in Section 14.5, shall be sent to Holders (and the Depositary shall distribute to beneficial owners as required by applicable law) not less than 20 Business Days prior to the Repurchase Date (the "Issuer Repurchase Notice Date").

  • If the Issuer elects to purchase the Securities by the issuance of shares of Class A Common Stock, the Issuer Repurchase Notice, as provided in Section 14.5, shall be sent to the Holders (and the Depositary shall distribute to beneficial owners as required by applicable law) not later than the Issuer Repurchase Notice Date.

  • As of the Repurchase Notice Date and as of the Repurchase ---------- Date, SCCIII is not insolvent and, after giving effect to the conveyance set forth in Section 3 of this Reconveyance, SCCIII will not be insolvent.

  • By giving the written notice on ----------------------------- the Repurchase Notice Date as required in Section 6.2 and by acceptance of the ----------- Reconveyance, an RPA Seller represents and warrants that no selection procedures believed by such RPA Seller to be materially adverse to the interests of Buyer or the holders of the Notes were utilized in selecting the Removed Accounts.

  • The repurchase of such Repurchase Units shall occur within one year of the Repurchase Notice Date, on one or more dates determined by the Operating Company, taking into account restrictions under Applicable Law or any indebtedness and available liquidity and target leverage objectives.

  • All Conversion Amounts converted by the Holder after the Offer to Repurchase Notice Date shall reduce the Holder Repurchase Amount of this Note required to be redeemed on the Offer to Repurchase Date, unless the Holder otherwise indicates in the applicable Conversion Notice.

  • In the event the Participant engages in Competitive Activity not constituting a Restrictive Covenant Violation, then the purchase price will be Fair Market Value of the Issuer Equity (measured as of the Repurchase Notice Date).

  • If a material Restrictive Covenant Violation occurs, then the purchase price per Incentive Unit (whether a Vested Incentive Unit or an Unvested Incentive Unit) will be the lesser of (A) Fair Market Value (measured as of the Repurchase Notice Date) and (B) Cost.

  • In order to validly withdraw a Repurchase Notice, the Holder must deliver a written notice of withdrawal to the Paying Agent at any time prior to 5:00 p.m., New York City time, on the Repurchase Notice Date.


More Definitions of Repurchase Notice Date

Repurchase Notice Date has the meaning set forth in Section 4.3(a).
Repurchase Notice Date has the meaning set forth in Section 2.04(a) of the Purchase and Sale Agreement.
Repurchase Notice Date has the meaning given to such term in Section 3.5(b).
Repurchase Notice Date means the date TEC provides notice to the Stockholder Parties pursuant to Section 4.
Repurchase Notice Date is defined in Section 3.5(b).
Repurchase Notice Date is defined in Section 6.2 of the Receivables ------------------------ ----------- Purchase Agreement.

Related to Repurchase Notice Date

  • Repurchase Notice has the meaning set forth in Section 8.6(a).

  • Purchase Notice has the meaning set forth in Section 1.2.

  • VWAP Purchase Notice means an irrevocable written notice from the Company to the Buyer directing the Buyer to buy Purchase Shares on the VWAP Purchase Date pursuant to Section 1(c) hereof as specified by the Company therein at the applicable VWAP Purchase Price with the applicable VWAP Purchase Share Percentage specified therein.

  • Mandatory Purchase Notice means, in connection with the Mandatory Purchase of VRDP Shares, a notice substantially in the form attached to the VRDP Shares Purchase Agreement as Exhibit B, delivered by the Fund or the Tender and Paying Agent on behalf of the Fund to the Holders and the Liquidity Provider in accordance with the VRDP Shares Purchase Agreement specifying a Mandatory Purchase Date.

  • Fundamental Change Repurchase Notice shall have the meaning specified in Section 15.02(b)(i).

  • Regular Purchase Notice means, with respect to any Regular Purchase pursuant to Section 2(a) hereof, an irrevocable written notice from the Company to the Investor directing the Investor to buy such applicable amount of Purchase Shares at the applicable Purchase Price as specified by the Company therein on the Purchase Date.

  • Optional Redemption Notice Date shall have the meaning set forth in Section 6(a).

  • Form of Fundamental Change Repurchase Notice means the “Form of Fundamental Change Repurchase Notice” attached as Attachment 2 to the Form of Note attached hereto as Exhibit A.

  • Redemption Notice Date means, with respect to a Redemption, the date on which the Company sends the Redemption Notice for such Redemption pursuant to Section 4.03(F).

  • Fundamental Change Purchase Notice has the meaning specified in Section 3.01(a)(i).

  • Repurchase Date has the meaning specified in Section 14.1.

  • Form of Fundamental Change Purchase Notice means the “Form of Fundamental Change Purchase Notice” attached as Attachment 2 to the Form of Note attached hereto as Exhibit A.

  • Repurchase Period means a period of 90 consecutive days commencing on the date when the Optionee’s Service terminates for any reason, including (without limitation) death or disability.

  • Put Notice Date means the Trading Day, as set forth below, immediately following the day on which the Investor receives a Put Notice, however a Put Notice shall be deemed delivered on (a) the Trading Day it is received by facsimile or otherwise by the Investor if such notice is received prior to 9:00 am Eastern Time, or (b) the immediately succeeding Trading Day if it is received by facsimile or otherwise after 9:00 am Eastern Time on a Trading Day. No Put Notice may be deemed delivered on a day that is not a Trading Day.

  • Notice Date has the meaning specified in Section 2.10.

  • Call Option Repayment Date means the settlement date for the Call Option determined by the Issuer pursuant to Clause 10.2 (Voluntary early redemption – Call Option), Clause 10.3(d) or a date agreed upon between the Bond Trustee and the Issuer in connection with such redemption of Bonds.

  • Initial Optional Purchase Date The first Distribution Date following the date on which the Aggregate Stated Principal Balance is less than 10.00% of the Cut-off Date Balance.

  • Put Option Repayment Date means the settlement date for the Put Option pursuant to Clause 10.3 (Mandatory repurchase due to a Put Option Event).

  • Repurchase Event means the occurrence of a breach of any of the Seller’s representations and warranties in Section 3.1(a) or any other event which requires the repurchase of a Receivable by the Seller, under the Sale and Servicing Agreement.

  • Exercise Notice Deadline In respect of any exercise of Options hereunder on any Conversion Date, the “Scheduled Trading Day” prior to the scheduled first “VWAP Trading Day” of the “Observation Period” (each as defined in the Indenture, but, in the case of any such Observation Period, as modified by the provision set forth opposite the caption “Convertible Security Settlement Method”) relating to the Convertible Securities converted on the Conversion Date occurring on the relevant Exercise Date; provided that in the case of any exercise of Options hereunder in connection with the conversion of any Relevant Convertible Securities on any Conversion Date occurring during the period starting on and including June 4, 2020 and ending on and including the second “Scheduled Trading Day” immediately preceding the “Maturity Date” (each as defined in the Indenture) (the “Final Conversion Period”), the Exercise Notice Deadline shall be noon, New York City time, on the “Scheduled Trading Day” (as defined in the Indenture) immediately preceding the “Maturity Date” (as defined in the Indenture).

  • Mandatory Purchase Date means the Purchase Date for a Mandatory Purchase in accordance with this Statement and the VRDP Purchase Agreement.

  • Early Repurchase Date shall have the meaning specified in Section 3(d) of this Agreement.

  • Accelerated Purchase Notice means, with respect to any Accelerated Purchase made pursuant to Section 2(b) hereof, an irrevocable written notice from the Company to the Investor directing the Investor to buy a specified Accelerated Purchase Share Amount on the applicable Accelerated Purchase Date pursuant to Section 2(b) hereof at the applicable Accelerated Purchase Price.

  • Forced Conversion Notice Date shall have the meaning set forth in Section 6(d).

  • Early Termination Notice Date Any date as of which the aggregate Stated Principal Balance of the Mortgage Loans (including REO Mortgage Loans) is less than 1.0% of the sum of the aggregate Cut-Off Date Balance of the Mortgage Pool initially included in the Trust Fund.

  • Optional Redemption Notice shall have the meaning set forth in Section 6(a).