Commitment Percentages Sample Clauses

The Commitment Percentages clause defines the specific proportion or share of obligations, contributions, or liabilities that each party is responsible for under an agreement. In practice, this clause typically outlines the exact percentage each party must fulfill, such as financial contributions to a joint venture or the allocation of resources in a collaborative project. By clearly specifying these percentages, the clause ensures transparency and fairness, preventing disputes over each party’s responsibilities and facilitating smooth cooperation.
Commitment Percentages. The obligation of each Bank to make a Loan to the Borrowers at any time shall be limited to its percentage (the "Commitment Percentage") as set forth opposite its name on Exhibit B hereto multiplied by the aggregate principal amount of the Loan requested. The principal amounts of the respective Loans made by the Banks on the occasion of each borrowing shall be pro rata in accordance with their respective Commitment Percentages. No Bank shall be required or permitted to make any Loan if, immediately after giving effect to such Loan, and the application of the proceeds of a Loan to the extent applied to the repayment of the Loans, the sum of such Bank's Loans and Swing Line Loans (in the case of the Swing Line Bank) outstanding would exceed such Bank's Loan Commitment.
Commitment Percentages. SCHEDULE 1.2 to the Credit Agreement is hereby deleted in its entirety and SCHEDULE 1.2 to this Amendment No. 1 is substituted in place thereof.
Commitment Percentages. 93 16.3.Notes. . . . . . . . . . . . . . . . . . . . . . . . . . . . . 93 17. SETOFF. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 93 18.
Commitment Percentages. 18 (f) Reborrowing..........................................................................18 (g) Several Obligations..................................................................18 2.2 The Notes.....................................................................................19
Commitment Percentages. Schedule 1.1(a) to the Credit Agreement is amended and replaced by the Schedule 1.1(a) attached hereto.
Commitment Percentages. To the extent any Tranche is increased pursuant to this Section 16, the definition or amount of Tranche A Commitment Amount, Tranche B Term Loan, Tranche B Commitment Amount, Tranche C Commitment Amount, Tranche C Term Loan, and Fund Tranche Term Loan shall be increased accordingly.
Commitment Percentages. No Bank shall be required to make any Loan if, immediately after giving effect to such Loan, and the application of the proceeds of a Loan to the extent applied to the repayment of the Loans, the sum of such Bank’s Loans outstanding would exceed such Bank’s Revolving Loan Commitment.
Commitment Percentages. Schedule 1 of the Credit Agreement is ---------------------- hereby deleted in its entirety and replaced with Schedule 1 attached hereto.
Commitment Percentages. Schedule 1.1 of the Credit Amendment is hereby amended and restated in its entirety to read as provided on Schedule 1.1 attached hereto.
Commitment Percentages. Tranche A Tranche B Term Loan Term Loan Total Commitment Lenders Commitment Commitment Commitments Percentage Bank of America, N.A. $22,259,504.89 $85,699,093.83 $107,958,598.72 22.2595048907 % Bank One, NA $21,434,762.62 $82,523,836.10 $103,958,598.72 21.4347626227 % Societe Generale New York Branch $18,089,171.98 $69,643,312.10 $87,732,484.08 18.0891719753 % Fleet National Bank $12,738,853.50 $49,044,585.99 $61,783,439.49 12.7388535031 % First Union National Bank $12,738,853.50 $49,044,585.99 $61,783,439.49 12.7388535031 % The Fuji Bank, Limited $ 6,369,426.75 $24,522,293.00 $30,891,719.75 6.3694267526 % KBC Bank N.V. $ 6,369,426.75 $24,522,293.00 $30,891,719.75 6.3694267526 % TOTAL $100,000,000.00 $385,000,000.00 $485,000,000.00 100% Schedule 6.20 Secured Indebtedness Outstanding As of 06/30/00 First Mortgage Bonds: Series J, 9.4% due 2021 (issued under the ▇▇▇▇ ▇▇▇▇▇▇▇▇▇) $17,000,000 Series P, 10.43% due 2017 (issued under the ▇▇▇▇ ▇▇▇▇▇▇▇▇▇) 21,250,000 Series Q, 9.75% due 2020 (issued under the ▇▇▇▇ ▇▇▇▇▇▇▇▇▇) 20,000,000 Series R, 11.32% due 2004 (issued under the ▇▇▇▇ ▇▇▇▇▇▇▇▇▇) 10,720,000 Series T, 9.32% due 2021 (issued under the ▇▇▇▇ ▇▇▇▇▇▇▇▇▇) 18,000,000 Series U, 8.77% due 2022 (issued under the ▇▇▇▇ ▇▇▇▇▇▇▇▇▇) 20,000,000 Series V, 7.5% due 2007 (issued under the 1959 Indenture) 10,000,000 Senior secured storage term notes, 7.45% due in installments through 2007 6,963,648 Rental property fixed rate term note, 7.9% due in installments through 2013 1,702,312 ------------ Total Secured Indebtedness $125,635,960 ============ Schedule 6.21 Subsidiaries Atmos Energy Marketing, LLC Atmos Energy Services, Inc. Enertrust, Inc. Energas Energy Services Trust Enermart Energy Services Trust Egasco, LLC Trans Louisiana Energy Services, Inc. United Cities Energy Services, Inc. Greeley Energy Services, Inc. WKG Energy Services, Inc. Trans Louisiana Industrial Gas Company, Inc. Atmos Leasing, Inc. Atmos Propane, Inc. United Cities Propane Gas, LLC United Cities Propane Gas, Inc. Atmos Storage, Inc. UCG Storage, Inc. WKG Storage, Inc. Trans Louisiana Gas Storage, Inc. Atmos Exploration & Production, Inc. Atmos Non-Regulated Shared Services, Inc. * Each of these subsidiaries is 100% owned by its parent. ** No Subsidiary of the Borrower currently qualifies as a Material Subsidiary as that term is defined in the Credit Agreement. Schedule 11.1 Notices Atmos Energy Corporation