Common use of Description of the Senior Notes Clause in Contracts

Description of the Senior Notes. Schedule II specifies the aggregate principal amount of the Senior Notes, the initial public offering price of the Senior Notes, and the purchase price to be paid by the Underwriters and sets forth the date, time and manner of delivery of the Senior Notes and payment therefor. Schedule II also specifies (to the extent not set forth in Sections 4 and 5 herein, or in the Registration Statement, Time of Sale Information or Prospectus, each such term as defined below) the terms and provisions for the purchase of such Senior Notes. The Senior Notes will be issued under the Company’s Senior Indenture, dated as of June 1, 2015, between the Company and Deutsche Bank Trust Company Americas, as Trustee (the Trustee), as previously supplemented and as further supplemented by the Thirtieth Supplemental Indenture, dated as of May 1, 2025, between the Company and the Trustee (collectively, the Indenture).

Appears in 1 contract

Sources: Underwriting Agreement (Dominion Energy, Inc)

Description of the Senior Notes. Schedule II specifies the aggregate principal amount amounts of the Senior Notes, the initial public offering price prices of the Senior Notes, and the purchase price prices to be paid by the Underwriters and sets forth the date, time and manner of delivery of the Senior Notes and payment therefor. Schedule II also specifies (to the extent not set forth in Sections 4 and 5 herein, or in the Registration Statement, Time of Sale Information or Prospectus, each such term as defined below) the terms and provisions for the purchase of such Senior Notes. The Senior Notes will be issued under the Company’s Senior Indenture, Indenture dated as of June 1, 20152000, between the Company and Deutsche The Bank Trust Company Americasof New York (successor to JPMorgan Chase Bank, N.A. (formerly known as The Chase Manhattan Bank)), as Trustee (the Trustee), as previously supplemented and as further supplemented by the Thirtieth Thirty-Seventh Supplemental Indenture, Indenture dated as of May June 1, 2025, between the Company and the Trustee 2008 (collectively, the Indenture).

Appears in 1 contract

Sources: Underwriting Agreement (Dominion Resources Inc /Va/)

Description of the Senior Notes. Schedule II specifies the aggregate principal amount of the Senior Notes, the initial public offering price of the Senior Notes, and the purchase price to be paid by the Underwriters and sets forth the date, time and manner of delivery of the Senior Notes and payment therefor. Schedule II also specifies (to the extent not set forth in Sections 4 and 5 herein, or in the Registration Statement, Time of Sale Information or Prospectus, each such term as defined below) the terms and provisions for the purchase of such Senior Notes. The Senior Notes will be issued under the Company’s Senior Indenture, Indenture dated as of June 1, 2015, between the Company and Deutsche Bank Trust Company Americas, as Trustee (the Trustee), as previously supplemented and as further supplemented by the Thirtieth Twenty-Seventh Supplemental Indenture, dated as of May November 1, 20252022, between the Company and the Trustee (collectively, the Indenture).

Appears in 1 contract

Sources: Underwriting Agreement (Dominion Energy, Inc)

Description of the Senior Notes. Schedule II specifies the aggregate principal amount of the Senior Notes, the initial public offering price of the Senior Notes, and the purchase price to be paid by the Underwriters and sets forth the date, time and manner of delivery of the Senior Notes and payment therefor. Schedule II also specifies (to the extent not set forth in Sections 4 and 5 herein, or in the Registration Statement, Time of Sale Information or Prospectus, each such term as defined below) the terms and provisions for the purchase of such Senior Notes. The Senior Notes will be issued under the Company’s Senior Indenture, Indenture dated as of June 1, 2015, 1998 between the Company and Deutsche The Bank Trust Company Americasof New York (successor to JPMorgan Chase Bank, N.A. (formerly known as The Chase Manhattan Bank)), as Trustee (the Trustee), as previously supplemented and as further supplemented by the Thirtieth a Fourteenth Supplemental Indenture, Indenture dated as of May 1, 2025, between the Company and the Trustee 2007 (collectively, the Indenture).

Appears in 1 contract

Sources: Underwriting Agreement (Virginia Electric & Power Co)

Description of the Senior Notes. Schedule II specifies the aggregate principal amount of the Senior Notes, the initial public offering price of the Senior Notes, and the purchase price to be paid by the Underwriters and sets forth the date, time and manner of delivery of the Senior Notes and payment therefor. Schedule II also specifies (to the extent not set forth in Sections 4 and 5 herein, or in the Registration Statement, Time of Sale Information or Prospectus, each such term as defined below) the terms and provisions for the purchase of such Senior Notes. The Senior Notes will be issued under the Company’s Senior Indenture, Indenture dated as of June 1, 2015, between the Company and Deutsche Bank Trust Company Americas, as Trustee (the Trustee), as previously supplemented and as further supplemented by the Thirtieth Second Supplemental Indenture, dated as of May September 1, 20252015, between the Company and the Trustee (collectively, the Indenture).

Appears in 1 contract

Sources: Underwriting Agreement (Dominion Resources Inc /Va/)

Description of the Senior Notes. Schedule II specifies the aggregate principal amount of the Senior Notes, the initial public offering price of the Senior Notes, and the purchase price to be paid by the Underwriters and sets forth the date, time and manner of delivery of the Senior Notes and payment therefor. Schedule II also specifies (to the extent not set forth in Sections 4 and 5 herein, or in the Registration Statement, Time of Sale Information or Prospectus, each such term as defined below) the terms and provisions for the purchase of such Senior Notes. The Senior Notes will be issued under the Company’s Senior Indenture, Indenture dated as of June 1, 2015, 1998 between the Company and Deutsche The Bank Trust Company Americasof New York (successor to JPMorgan Chase Bank, N.A. (formerly known as The Chase Manhattan Bank)), as Trustee (the Trustee), as previously supplemented and as further supplemented by the Thirtieth a Fifteenth Supplemental Indenture, Indenture dated as of May September 1, 2025, between the Company and the Trustee 2007 (collectively, the Indenture).

Appears in 1 contract

Sources: Underwriting Agreement (Virginia Electric & Power Co)

Description of the Senior Notes. Schedule II specifies the aggregate principal amount of the Senior Notes, the initial public offering price of the Senior Notes, and the purchase price to be paid by the Underwriters and sets forth the date, time and manner of delivery of the Senior Notes and payment therefor. Schedule II also specifies (to the extent not set forth in Sections 4 and 5 herein, or in the Registration Statement, Time of Sale Information or Prospectus, each such term as defined below) the terms and provisions for the purchase of such Senior Notes. The Senior Notes will be issued under the Company’s Senior Indenture, Indenture dated as of June 1, 20152000, between the Company and Deutsche The Bank Trust Company Americasof New York (successor to JPMorgan Chase Bank, N.A. (formerly known as The Chase Manhattan Bank)), as Trustee (the Trustee), as previously supplemented and as further supplemented by the Thirtieth Thirty-Fourth Supplemental Indenture, Indenture dated as of May November 1, 2025, between the Company and the Trustee 2007 (collectively, the Indenture).

Appears in 1 contract

Sources: Underwriting Agreement (Dominion Resources Inc /Va/)

Description of the Senior Notes. Schedule II specifies the aggregate principal amount of the Senior Notes, the initial public offering price of the Senior Notes, and the purchase price to be paid by the Underwriters and sets forth the date, time and manner of delivery of the Senior Notes and payment therefor. Schedule II also specifies (to the extent not set forth in Sections 4 and 5 herein, or in the Registration Statement, Time of Sale Information or Prospectus, each such term as defined below) the terms and provisions for the purchase of such Senior Notes. The Senior Notes will be issued under the Company’s Senior Indenture, Indenture dated as of June 1, 20152000, between the Company and Deutsche The Bank Trust Company Americasof New York (successor to JPMorgan Chase Bank, N.A., (formerly known as The Chase Manhattan Bank)) as Trustee (the Trustee), as previously supplemented and as further supplemented by the Thirtieth Thirty-Third Supplemental Indenture, Indenture dated as of May November 1, 2025, between the Company and the Trustee 2006 (collectively, the Indenture).

Appears in 1 contract

Sources: Underwriting Agreement (Dominion Resources Inc /Va/)

Description of the Senior Notes. Schedule II specifies the aggregate principal amount of the Senior Notes, the initial public offering price of the Senior Notes, and the purchase price to be paid by the Underwriters and sets forth the date, time and manner of delivery of the Senior Notes and payment therefor. Schedule II also specifies (to the extent not set forth in Sections 4 and 5 herein, or in the Registration Statement, Time of Sale Information or Prospectus, each such term as defined below) the terms and provisions for the purchase of such Senior Notes. The Senior Notes will be issued under the Company’s Senior Indenture, Indenture dated as of June 1, 20152000, between the Company and Deutsche The Bank Trust Company Americasof New York (successor to JPMorgan Chase Bank, N.A., (formerly known as The Chase Manhattan Bank)) as Trustee (the Trustee), as previously supplemented and as further supplemented by the Thirtieth Thirty-Second Supplemental Indenture, Indenture dated as of May November 1, 2025, between the Company and the Trustee 2006 (collectively, the Indenture).

Appears in 1 contract

Sources: Underwriting Agreement (Dominion Resources Inc /Va/)

Description of the Senior Notes. Schedule II specifies the aggregate principal amount of the Senior Notes, the initial public offering price of the Senior Notes, and the purchase price to be paid by the Underwriters and sets forth the date, time and manner of delivery of the Senior Notes and payment therefor. Schedule II also specifies (to the extent not set forth in Sections 4 and 5 herein, or in the Registration Statement, Time of Sale Information or Prospectus, each such term as defined below) the terms and provisions for the purchase of such Senior Notes. The Senior Notes will be issued under the Company’s Senior Indenture, Indenture dated as of June 1, 2015, between the Company and Deutsche Bank Trust Company Americas, as Trustee (the Trustee), as previously supplemented and as further supplemented by the Thirtieth Fifteenth Supplemental Indenture, dated as of May June 1, 20252018, between the Company and the Trustee (collectively, the Indenture).

Appears in 1 contract

Sources: Underwriting Agreement (Dominion Energy Inc /Va/)

Description of the Senior Notes. Schedule II specifies the aggregate principal amount of the Senior Notes, the initial public offering price of the Senior Notes, and the purchase price to be paid by the Underwriters and sets forth the date, time and manner of delivery of the Senior Notes and payment therefor. Schedule II also specifies (to the extent not set forth in Sections 4 and 5 herein, or in the Registration Statement, Time of Sale Information or Prospectus, each such term as defined below) the terms and provisions for the purchase of such Senior Notes. The Senior Notes will be issued under the Company’s Senior Indenture, Indenture dated as of June 1, 2015, between the Company and Deutsche Bank Trust Company Americas, as Trustee (the Trustee), as previously supplemented and as further supplemented by the Thirtieth Twentieth Supplemental Indenture, dated as of May April 1, 20252020, between the Company and the Trustee (collectively, the Indenture).

Appears in 1 contract

Sources: Underwriting Agreement (Dominion Energy, Inc)

Description of the Senior Notes. Schedule II I specifies the aggregate ------------------------------- principal amount of the Senior Notes, the initial public offering price of the Senior Notes, and the purchase price to be paid by the Underwriters Underwriters, and any concession from the initial public offering price to be allowed to dealers or brokers, and sets forth the date, time and manner of delivery of the Senior Notes and payment therefor. Schedule II I also specifies (to the extent not set forth in Sections 4 and 5 herein, or in the Registration Statement, Time of Sale Information or Prospectus, each such term as defined Statement and Prospectus referred to below) the terms and provisions for the purchase of such Senior Notes. The Senior Notes will be issued under the Company’s 's Senior Indenture, Indenture dated as of June 1, 2015, 2000 between the Company and Deutsche Bank Trust Company AmericasThe Chase Manhattan Bank, as Trustee (the Trustee), as previously supplemented and as further supplemented by the Thirtieth a First Supplemental Indenture, Indenture dated as of May June 1, 2025, between the Company and the Trustee 2000 (collectively, the Indenture).

Appears in 1 contract

Sources: Underwriting Agreement (Dominion Resources Inc /Va/)

Description of the Senior Notes. Schedule II specifies the aggregate principal amount of the Senior Notes, the initial public offering price of the Senior Notes, and the purchase price to be paid by the Underwriters and sets forth the date, time and manner of delivery of the Senior Notes and payment therefor. Schedule II also specifies (to the extent not set forth in Sections 4 and 5 herein, or in the Registration Statement, Time of Sale Information or Prospectus, each such term as defined below) the terms and provisions for the purchase of such Senior Notes. The Senior Notes will be issued under the Company’s Senior Indenture, Indenture dated as of June 1, 2015, between the Company and Deutsche Bank Trust Company Americas, as Trustee (the Trustee), as previously supplemented and as further supplemented by the Thirtieth First Supplemental Indenture, dated as of May June 1, 20252015, between the Company and the Trustee (collectively, the Indenture).

Appears in 1 contract

Sources: Underwriting Agreement (Dominion Resources Inc /Va/)