Common use of Section 7 Clause in Contracts

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 Section 7.12. Counterparts.......................................................................................26 Section 7.13. Entirety...........................................................................................26 Section 7.14. Headings...........................................................................................27 Section 7.15. Liquidity Provider's Obligation to Make Advances...................................................27 Annex I - Interest Advance Notice of Borrowing Annex II - Non-Extension Advance Notice of Borrowing Annex III - Downgrade Advance Notice of Borrowing Annex IV - Final Advance Notice of Borrowing Annex V - Notice of Termination Annex VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT This REVOLVING CREDIT AGREEMENT, dated as of November 16, 2000, is made by and between STATE STREET BANK AND TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATION, a national banking association, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (as defined below), as agent and trustee for the Class A-2 Trustee (in such capacity, together with its successors in such capacity, the "BORROWER"), and WESTDEUTSCHE LANDESBANK GIROZENTRALE, a German banking institution organized under the laws of the State of North Rhine-Westphalia ("WestLB"), acting through its New York Branch (the "LIQUIDITY PROVIDER").

Appears in 1 contract

Sources: Revolving Credit Agreement (Delta Air Lines Inc /De/)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 Immunity ..................................28 Section 7.12. Counterparts.......................................................................................26 Execution in Counterparts ..............................29 Section 7.13. Entirety...........................................................................................26 Entirety ...............................................29 Section 7.14. Headings...........................................................................................27 Headings ...............................................29 Section 7.15. Liquidity Provider's Obligation to Make Advances...................................................27 Annex LIQUIDITY PROVIDER'S OBLIGATION TO MAKE ADVANCES .......................................29 ANNEX I - Interest Advance Notice of Borrowing Annex ANNEX II - Non-Extension Advance Notice of Borrowing Annex ANNEX III - Downgrade Advance Notice of Borrowing Annex ANNEX IV - Final Advance Notice of Borrowing Annex ANNEX V - Notice of Termination Annex ANNEX VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT This REVOLVING CREDIT AGREEMENT, AGREEMENT dated as of November 16April 13, 20001999, is made by and between STATE STREET BANK AND WILMINGTON TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATIONCOMPANY, a national Delaware banking associationcorporation, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (each as defined below), as agent and trustee for the Class A-2 Trustee Trust (in such capacity, together with its successors in such capacity, as defined below) (the "BORROWERBorrower"), and WESTDEUTSCHE LANDESBANK GIROZENTRALEABN AMRO BANK N.V., a German banking institution bank organized under the laws of the State of North Rhine-Westphalia ("WestLB")Netherlands, acting through its New York Chicago Branch ("ABN AMRO" or the "LIQUIDITY PROVIDERLiquidity Provider").

Appears in 1 contract

Sources: Revolving Credit Agreement (Atlas Air Inc)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 ........................................... Section 7.12. Counterparts.......................................................................................26 ................................................... Section 7.13. Entirety...........................................................................................26 ....................................................... Section 7.14. Headings...........................................................................................27 ....................................................... Section 7.15. Liquidity Provider's Obligation to Make Advances...................................................27 ............... Annex I - Interest Advance Notice of Borrowing Annex II - Non-Extension Advance Notice of Borrowing Annex III - Downgrade Advance Notice of Borrowing Annex IV - Final Advance Notice of Borrowing Annex V - Notice of Termination Annex VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT This REVOLVING CREDIT AGREEMENT, dated as of November 16April 30, 20002002, is made by and between STATE STREET BANK AND TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATION, a national banking association, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (as defined below), as agent and trustee for the Class A-2 C Trustee (in such capacity, together with its successors in such capacity, the "BORROWERBorrower"), and WESTDEUTSCHE LANDESBANK GIROZENTRALE, a German banking institution organized under the laws of the State of North Rhine-Westphalia ("WestLB"), acting through its New York Branch (the "LIQUIDITY PROVIDERLiquidity Provider").

Appears in 1 contract

Sources: Revolving Credit Agreement (Delta Air Lines Inc /De/)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 Immunity .........................................28 Section 7.12. Counterparts.......................................................................................26 Execution in Counterparts ....................................29 Section 7.13. Entirety...........................................................................................26 Entirety .....................................................29 Section 7.14. Headings...........................................................................................27 Headings .....................................................29 Section 7.15. Liquidity Provider's Obligation to Make Advances...................................................27 Annex LIQUIDITY PROVIDER'S OBLIGATION TO MAKE ADVANCES ..............................................29 ANNEX I - Interest Advance Notice of Borrowing Annex ANNEX II - Non-Extension Advance Notice of Borrowing Annex ANNEX III - Downgrade Advance Notice of Borrowing Annex ANNEX IV - Final Advance Notice of Borrowing Annex ANNEX V - Notice of Termination Annex ANNEX VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT This REVOLVING CREDIT AGREEMENT, AGREEMENT dated as of November 16April 13, 20001999, is made by and between STATE STREET BANK AND WILMINGTON TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATIONCOMPANY, a national Delaware banking associationcorporation, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (each as defined below), as agent and trustee for the Class A-2 Trustee A-1 Trust (in such capacity, together with its successors in such capacity, as defined below) (the "BORROWERBorrower"), and WESTDEUTSCHE LANDESBANK GIROZENTRALEABN AMRO BANK N.V., a German banking institution bank organized under the laws of the State of North Rhine-Westphalia ("WestLB")Netherlands, acting through its New York Chicago Branch ("ABN AMRO" or the "LIQUIDITY PROVIDERLiquidity Provider").

Appears in 1 contract

Sources: Revolving Credit Agreement (Atlas Air Inc)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................Immunity ......................... 26 Section 7.12. Counterparts.......................................................................................26 Execution in Counterparts ......................... 27 Section 7.13. Entirety...........................................................................................26 Entirety .......................................... 28 Section 7.14. Headings...........................................................................................27 Headings .......................................... 28 Section 7.15. Liquidity Provider's Obligation to Make Advances...................................................27 Annex Transfer .......................................... 28 Section 7.16. LIQUIDITY PROVIDER'S OBLIGATION TO MAKE ADVANCES ..................................... 28 ANNEX I - Interest Advance Notice of Borrowing Annex ANNEX II - Non-Extension Advance Notice of Borrowing Annex ANNEX III - Downgrade Advance Notice of Borrowing Annex ANNEX IV - Final Advance Notice of Borrowing Annex ANNEX V - Notice of Termination Annex ANNEX VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT (1999-2A-2) This REVOLVING CREDIT AGREEMENT, AGREEMENT (1999-2A-2) dated as of November 16June 17, 20001999, is made by and between STATE STREET BANK AND WILMINGTON TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATIONCOMPANY, a national banking associationDelaware corporation, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (each as defined below), as agent and trustee for the Class A-2 Trustee Trust (in such capacity, together with its successors in such capacity, as defined below) (the "BORROWER"), and WESTDEUTSCHE BAYERISCHE LANDESBANK GIROZENTRALE, a German public law banking institution organized under the laws of the Free State of North Rhine-Westphalia ("WestLB")Bavaria, acting through its New York Branch Germany (the "LIQUIDITY PROVIDER").

Appears in 1 contract

Sources: Revolving Credit Agreement (Continental Airlines Inc /De/)

Section 7. 11. 11 Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity................................................................. 26 Section 7.12. 7.12 Execution in Counterparts.......................................................................................26 Section 7.13. Entirety...........................................................................................26 Section 7.14. Headings.................................................................................................................................. 27 Section 7.15. 7.13 Entirety........................................................ 27 Section 7.14 Headings; Section References.................................... 27 Section 7.15 Liquidity Provider's Obligation to Make Advances...................................................27 Annex ........................................................ 28 ANNEX I - -- Interest Advance Notice of Borrowing Annex ANNEX II - -- Downgrade Advance Notice of Borrowing ANNEX III -- Non-Extension Advance Notice of Borrowing Annex III - Downgrade Advance Notice of Borrowing Annex ANNEX IV - Final Advance Notice of Borrowing Annex V - Notice of Termination Annex VI - -- Notice of Replacement Subordination Agent Borrower IRREVOCABLE REVOLVING CREDIT AGREEMENT This CLASS C CERTIFICATES IRREVOCABLE REVOLVING CREDIT AGREEMENT, CLASS C CERTIFICATES dated as of November 16September 25, 2000, is made by and 1997 between STATE STREET BANK AND TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATION, a national banking association, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (each as defined below), as agent and trustee for the Class A-2 Trustee C Trust (in such capacity, together with its successors in such capacity, as defined below) (the "BORROWER"), and WESTDEUTSCHE LANDESBANK GIROZENTRALE, a German banking institution organized under the laws of the State of North Rhine-Westphalia ("WestLB"), acting through its New York Branch ROYAL BANK OF CANADA (the "LIQUIDITY PROVIDER").

Appears in 1 contract

Sources: Irrevocable Revolving Credit Agreement (Northwest Airlines Corp)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity.................................................... 26 Section 7.12. Execution in Counterparts.......................................................................................26 ............................. 27 Section 7.13. Entirety...........................................................................................26 .............................................. 28 Section 7.14. Headings...........................................................................................27 .............................................. 28 Section 7.15. Liquidity Provider's Obligation to Make Advances...................................................27 Annex Transfer.............................................. 28 Section 7.16. LIQUIDITY PROVIDER'S OBLIGATION TO MAKE ADVANCES......................................... 28 ANNEX I - Interest Advance Notice of Borrowing Annex ANNEX II - Non-Extension Advance Notice of Borrowing Annex ANNEX III - Downgrade Advance Notice of Borrowing Annex ANNEX IV - Final Advance Notice of Borrowing Annex ANNEX V - Notice of Termination Annex ANNEX VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT (1999-2C-1) This REVOLVING CREDIT AGREEMENT, AGREEMENT (1999-2C-1) dated as of November 16June 17, 20001999, is made by and between STATE STREET BANK AND WILMINGTON TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATIONCOMPANY, a national banking associationDelaware corporation, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (each as defined below), as agent and trustee for the Class A-2 Trustee C-1 Trust (in such capacity, together with its successors in such capacity, as defined below) (the "BORROWER"), and WESTDEUTSCHE BAYERISCHE LANDESBANK GIROZENTRALE, a German public law banking institution organized under the laws of the Free State of North Rhine-Westphalia ("WestLB")Bavaria, acting through its New York Branch Germany (the "LIQUIDITY PROVIDER").

Appears in 1 contract

Sources: Revolving Credit Agreement (Continental Airlines Inc /De/)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 .......................................................25 Section 7.12. Execution in Counterparts.............................................................................................................................26 Section 7.13. Entirety..................................................................................................................................................26 Section 7.14. Headings...........................................................................................27 .......................................................26 Section 7.15. Liquidity Provider's Obligation to To Make Advances...................................................27 Annex ...............26 TABLE OF CONTENTS (Continued) ANNEX I - Interest Advance Notice of Borrowing Annex ANNEX II - Non-Extension Advance Notice of Borrowing Annex ANNEX III - Downgrade Advance Notice of Borrowing Annex ANNEX IV - Final Advance Notice of Borrowing Annex ANNEX V - Notice of Termination Annex ANNEX VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT This REVOLVING CREDIT AGREEMENT, AGREEMENT dated as of November 16September 25, 20001997, is made by and between STATE STREET BANK AND WILMINGTON TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATIONCOMPANY, a national banking associationDelaware corporation, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (each as defined below), as agent and trustee for the Class A-2 Trustee B Trust (in such capacity, together with its successors in such capacity, as defined below) (the "BORROWER"), and WESTDEUTSCHE LANDESBANK GIROZENTRALEABN AMRO BANK N.V., a German banking institution bank organized under the laws of the State of North Rhine-Westphalia ("WestLB")The Netherlands, acting through its New York Chicago Branch ("ABN AMRO" or the "LIQUIDITY PROVIDER").

Appears in 1 contract

Sources: Revolving Credit Agreement (Continental Airlines Inc /De/)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 .........................28 Section 7.12. Execution in Counterparts.......................................................................................26 .........................29 Section 7.13. Entirety...........................................................................................26 Entirety 29 Section 7.14. Headings...........................................................................................27 Headings 29 Section 7.15. Liquidity Provider's Obligation to Make Advances...................................................27 Annex LIQUIDITY PROVIDER'S OBLIGATION TO MAKE ADVANCES..29 ANNEX I - Interest Advance Notice of Borrowing Annex ANNEX II - Non-Extension Advance Notice of Borrowing Annex ANNEX III - Downgrade Advance Notice of Borrowing Annex ANNEX IV - Final Advance Notice of Borrowing Annex ANNEX V - Notice of Termination Annex ANNEX VI - Notice of Replacement Subordination Agent EXHIBIT I Form of Guarantee Agreement REVOLVING CREDIT AGREEMENT (2000-3C) This REVOLVING CREDIT AGREEMENT, AGREEMENT (2000-3C) dated as of November 162, 2000, is made by and between STATE STREET BANK AND TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATION, a national banking association, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (each as defined below), as agent and trustee for the Class A-2 Trustee C Trust (in such capacity, together with its successors in such capacity, as defined below) (the "BORROWERBorrower"), and WESTDEUTSCHE LANDESBANK GIROZENTRALEMORGAN STANLEY CAPITAL SERVICES INC., a German banking institution corporation organized under the laws of the ▇▇▇ ▇a▇▇ ▇▇ ▇he State of North Rhine-Westphalia ("WestLB"), acting through its New York Branch Delaware (the "LIQUIDITY PROVIDERLiquidity Provider").

Appears in 1 contract

Sources: Revolving Credit Agreement (Us Airways Inc)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity.............................................................. 26 Section 7.12. Counterparts.............................................................................................................................................................................. 26 Section 7.13. Entirety...................................................................................................................................................................................... 26 Section 7.14. Headings...................................................................................................................................................................................... 27 Section 7.15. Liquidity Provider's Obligation to Make Advances...................................................................................................... 27 Annex I - Interest Advance Notice of Borrowing Annex II - Non-Extension Advance Notice of Borrowing Annex III - Downgrade Advance Notice of Borrowing Annex IV - Final Advance Notice of Borrowing Annex V - Notice of Termination Annex VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT This REVOLVING CREDIT AGREEMENT, dated as of November 16, 2000, is made by and between STATE STREET BANK AND TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATION, a national banking association, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (as defined below), as agent and trustee for the Class A-2 C Trustee (in such capacity, together with its successors in such capacity, the "BORROWER"), and WESTDEUTSCHE LANDESBANK GIROZENTRALE, a German banking institution organized under the laws of the State of North Rhine-Westphalia ("WestLB"), acting through its New York Branch (the "LIQUIDITY PROVIDER").

Appears in 1 contract

Sources: Revolving Credit Agreement (Delta Air Lines Inc /De/)

Section 7. 11. 11 Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................Immunity ............................................... 26 Section 7.12. Counterparts.......................................................................................26 Section 7.13. Entirety...........................................................................................26 Section 7.14. Headings...........................................................................................7.12 Execution in Counterparts ................................... 27 Section 7.15. 7.13 Entirety .................................................... 27 Section 7.14 Headings; Section References ................................ 27 Section 7.15 Liquidity Provider's Obligation to Make Advances...................................................Advances ............ 27 Annex ANNEX I - Interest Advance Notice of Borrowing Annex ANNEX II - Downgrade Advance Notice of Borrowing ANNEX III - Non-Extension Advance Notice of Borrowing Annex III - Downgrade Advance Notice of Borrowing Annex ANNEX IV - Final Advance Notice of Borrowing Annex V - Notice of Termination Annex VI - Notice of Replacement Subordination Agent Borrower IRREVOCABLE REVOLVING CREDIT AGREEMENT This CLASS A CERTIFICATES IRREVOCABLE REVOLVING CREDIT AGREEMENT, CLASS A CERTIFICATES dated as of November 16September 25, 2000, is made 1997 by and between STATE STREET BANK AND TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATION, a national banking association, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (each as defined below), as agent and trustee for the Class A-2 Trustee A Trust (in such capacity, together with its successors in such capacity, as defined below) (the "BORROWERBorrower"), and WESTDEUTSCHE LANDESBANK GIROZENTRALE, a German banking institution organized under the laws of the State of North Rhine-Westphalia ("WestLB"), acting through its New York Branch ROYAL BANK OF CANADA (the "LIQUIDITY PROVIDERLiquidity Provider").

Appears in 1 contract

Sources: Irrevocable Revolving Credit Agreement (Northwest Airlines Corp)

Section 7. 11. 11 Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 Section 7.12. Counterparts.......................................................................................26 Section 7.13. Entirety...........................................................................................26 Section 7.14. Headings......................................................................................................................27 Section 7.15. 7.12 Counterparts...................................................................................27 Section 7.13 Entirety.......................................................................................28 Section 7.14 Headings.......................................................................................28 Section 7.15 Liquidity Provider's Obligation to Make Advances...................................................27 ...............................................28 Annex I - Interest Advance Notice of Borrowing Annex II - Non-Extension Advance Notice of Borrowing Annex III - Downgrade Advance Notice of Borrowing Annex IV - Final Advance Notice of Borrowing Annex V - Notice of Termination Annex VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT This REVOLVING CREDIT AGREEMENT, dated as of November 16October 6, 20001999, is made by and between STATE STREET BANK AND TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATION, a national banking association, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (as defined below), as agent and trustee for the Class A-2 C Trustee (in such capacity, together with its successors in such capacity, the "BORROWERBorrower"), and WESTDEUTSCHE BAYERISCHE LANDESBANK GIROZENTRALE, a German public law banking institution organized under the laws of the Free State of North Rhine-Westphalia ("WestLB")Bavaria, acting through its New York Branch Germany (the "LIQUIDITY PROVIDERLiquidity Provider").

Appears in 1 contract

Sources: Revolving Credit Agreement (American Airlines Inc)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................Immunity ................................... 26 Section 7.12. Counterparts.......................................................................................26 Execution in Counterparts ............................ 27 Section 7.13. Entirety...........................................................................................26 Entirety ............................................. 28 Section 7.14. Headings...........................................................................................27 Headings ............................................. 28 Section 7.15. Liquidity Provider's Obligation to Make Advances...................................................27 Annex Transfer ............................................. 28 Section 7.16. LIQUIDITY PROVIDER'S OBLIGATION TO MAKE ADVANCES ..... 28 ANNEX I - Interest Advance Notice of Borrowing Annex ANNEX II - Non-Extension Advance Notice of Borrowing Annex ANNEX III - Downgrade Advance Notice of Borrowing Annex ANNEX IV - Final Advance Notice of Borrowing Annex ANNEX V - Notice of Termination Annex ANNEX VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT (1999-2B) This REVOLVING CREDIT AGREEMENT, AGREEMENT (1999-2B) dated as of November 16June 17, 20001999, is made by and between STATE STREET BANK AND WILMINGTON TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATIONCOMPANY, a national banking associationDelaware corporation, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (each as defined below), as agent and trustee for the Class A-2 Trustee B Trust (in such capacity, together with its successors in such capacity, as defined below) (the "BORROWER"), and WESTDEUTSCHE BAYERISCHE LANDESBANK GIROZENTRALE, a German public law banking institution organized under the laws of the Free State of North Rhine-Westphalia ("WestLB")Bavaria, acting through its New York Branch Germany (the "LIQUIDITY PROVIDER").

Appears in 1 contract

Sources: Revolving Credit Agreement (Continental Airlines Inc /De/)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 ......................... 28 Section 7.12. Execution in Counterparts.......................................................................................26 ......................... 29 Section 7.13. Entirety...........................................................................................26 .......................................... 29 Section 7.14. Headings...........................................................................................27 .......................................... 29 Section 7.15. Liquidity Provider's Obligation to Make Advances...................................................27 Annex LIQUIDITY PROVIDER'S OBLIGATION TO MAKE ADVANCES.. 29 ANNEX I - Interest Advance Notice of Borrowing Annex ANNEX II - Non-Extension Advance Notice of Borrowing Annex ANNEX III - Downgrade Advance Notice of Borrowing Annex ANNEX IV - Final Advance Notice of Borrowing Annex ANNEX V - Notice of Termination Annex ANNEX VI - Notice of Replacement Subordination Agent EXHIBIT I Form of Guarantee Agreement REVOLVING CREDIT AGREEMENT (2000-3C) This REVOLVING CREDIT AGREEMENT, AGREEMENT (2000-3C) dated as of November 162, 2000, is made by and between STATE STREET BANK AND TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATION, a national banking association, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (each as defined below), as agent and trustee for the Class A-2 Trustee C Trust (in such capacity, together with its successors in such capacity, as defined below) (the "BORROWERBorrower"), and WESTDEUTSCHE LANDESBANK GIROZENTRALE▇▇▇▇▇▇ ▇▇▇▇▇▇▇ CAPITAL SERVICES INC., a German banking institution corporation organized under the laws of the State of North Rhine-Westphalia ("WestLB"), acting through its New York Branch Delaware (the "LIQUIDITY PROVIDERLiquidity Provider").

Appears in 1 contract

Sources: Revolving Credit Agreement (Us Airways Inc)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 ..25 Section 7.12. Execution in Counterparts....................................................................................................................................26 Section 7.13. Entirety.........................................................................................................................................................26 Section 7.14. Headings.........................................................................................................................................................27 Section 7.15. Liquidity Provider's Obligation to Make Advances...................................................LIQUIDITY PROVIDER'S OBLIGATION TO MAKE ADVANCES......................27 Annex ANNEX I - Interest Advance Notice of Borrowing Annex ANNEX II - Non-Extension Advance Notice of Borrowing Annex ANNEX III - Downgrade Advance Notice of Borrowing Annex ANNEX IV - Final Advance Notice of Borrowing Annex ANNEX V - Notice of Termination Annex ANNEX VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT (1999-1A) This REVOLVING CREDIT AGREEMENT, AGREEMENT (1999-1B) dated as of November 16August 31, 20001999, is made by and between STATE STREET BANK AND TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATION, a national banking association, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (each as defined below), as agent and trustee for the Class A-2 Trustee B Trust (in such capacity, together with its successors in such capacity, as defined below) (the "BORROWERBorrower"), and WESTDEUTSCHE LANDESBANK GIROZENTRALEAIG MATCHED FUNDING CORP., a German banking institution corporation organized under the laws of the State of North Rhine-Westphalia ("WestLB"), acting through its New York Branch Delaware (the "LIQUIDITY PROVIDERLiquidity Provider").

Appears in 1 contract

Sources: Revolving Credit Agreement (Us Airways Inc)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 ........... 25 Section 7.12. Counterparts.......................................................................................................................................................... 26 Section 7.13. Entirety.................................................................................................................................................................. 26 Section 7.14. Headings...........................................................................................27 ....................................................................... 26 Section 7.15. Primary Liquidity Provider's Obligation to Make Advances...................................................27 ....................... 26 Annex I - Interest Advance Notice of Borrowing Annex II - Non-Extension Downgrade Advance Notice of Borrowing Annex III - Downgrade Final Advance Notice of Borrowing Annex IV - Final Advance Notice of Borrowing Annex V - Notice of Termination Annex VI V - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT This REVOLVING CREDIT AGREEMENT, dated as of November 16January 30, 20002003, is made by and between STATE STREET U.S. BANK AND TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATION, a national banking association, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (as defined below), as agent and trustee for the Class A-2 G Trustee (in such capacity, together with its successors in such capacity, the "BORROWER"), and WESTDEUTSCHE LANDESBANK GIROZENTRALEBADEN-WURTTEMBERG, a German banking bank established in Germany as a public law institution organized under the laws of the State of North Rhine-Westphalia with legal capacity ("WestLB"), acting through its New York Branch Rechtsfahige Anstalt des Offentlichen Rechts) (the "PRIMARY LIQUIDITY PROVIDER").

Appears in 1 contract

Sources: Revolving Credit Agreement (Delta Air Lines Inc /De/)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 .................................................... Section 7.12. Counterparts.......................................................................................26 .................................................. Section 7.13. Entirety...........................................................................................26 ...................................................... Section 7.14. Headings...........................................................................................27 ...................................................... Section 7.15. Liquidity Provider's Obligation to Make Advances...................................................27 .............. Annex I - Interest Advance Notice of Borrowing Annex II - Non-Extension Advance Notice of Borrowing Annex III - Downgrade Advance Notice of Borrowing Annex IV - Final Advance Notice of Borrowing Annex V - Notice of Termination Annex VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT This REVOLVING CREDIT AGREEMENT, dated as of November 16April 30, 20002002, is made by and between STATE STREET BANK AND TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATION, a national banking association, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (as defined below), as agent and trustee for the Class A-2 G-1 Trustee (in such capacity, together with its successors in such capacity, the "BORROWERBorrower"), and WESTDEUTSCHE LANDESBANK GIROZENTRALE, a German banking institution organized under the laws of the State of North Rhine-Westphalia ("WestLB"), acting through its New York Branch (the "LIQUIDITY PROVIDERLiquidity Provider").

Appears in 1 contract

Sources: Revolving Credit Agreement (Delta Air Lines Inc /De/)

Section 7. 1112. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 Section 7.12. Counterparts.......................................................................................26 Immunity .......................................27 Section 7.13. Entirety...........................................................................................26 Execution in Counterparts.................................28 Section 7.14. Headings...........................................................................................27 Entirety..................................................28 Section 7.15. Liquidity Provider's Obligation to Make Advances...................................................27 Annex Headings..................................................28 Section 7.16. Transfer..................................................28 Section 7.17. PRIMARY LIQUIDITY PROVIDER'S OBLIGATION TO MAKE ADVANCES..28 ANNEX I - Interest Advance Notice of Borrowing Annex ANNEX II - Non-Extension Advance Notice of Borrowing Annex ANNEX III - Downgrade Advance Notice of Borrowing Annex ANNEX IV - Final Advance Notice of Borrowing Annex ANNEX V - Notice of Termination Annex ANNEX VI - Notice of Replacement Subordination Agent Schedule 1 Capped LIBOR REVOLVING CREDIT AGREEMENT (2002-1G-1) This REVOLVING CREDIT AGREEMENT, AGREEMENT (2002-1G-1) dated as of November 16March 25, 20002002, is made by and between STATE STREET BANK AND WILMINGTON TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATIONCOMPANY, a national banking associationDelaware corporation, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (each as defined below), as agent and trustee for the Class A-2 Trustee G-1 Trust (in such capacity, together with its successors in such capacity, as defined below) (the "BORROWER"), and WESTDEUTSCHE LANDESBANK HESSEN-THURINGEN GIROZENTRALE, a German public-law banking institution organized under the laws of the State of North Rhine-Westphalia ("WestLB"), acting through its New York Branch Germany (the "PRIMARY LIQUIDITY PROVIDER").

Appears in 1 contract

Sources: Revolving Credit Agreement (Continental Airlines Inc /De/)

Section 7. 11. 11 Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 Section 7.12. Counterparts.......................................................................................26 Section 7.13. Entirety...........................................................................................26 Section 7.14. Headings......................................................................................................................27 Section 7.15. 7.12 Counterparts...................................................................................27 Section 7.13 Entirety.......................................................................................28 Section 7.14 Headings.......................................................................................28 Section 7.15 Liquidity Provider's Obligation to Make Advances...................................................27 ...............................................28 Annex I - Interest Advance Notice of Borrowing Annex II - Non-Extension Advance Notice of Borrowing Annex III - Downgrade Advance Notice of Borrowing Annex IV - Final Advance Notice of Borrowing Annex V - Notice of Termination Annex VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT This REVOLVING CREDIT AGREEMENT, dated as of November 16October 6, 20001999, is made by and between STATE STREET BANK AND TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATION, a national banking association, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (as defined below), as agent and trustee for the Class A-2 A-1 Trustee (in such capacity, together with its successors in such capacity, the "BORROWERBorrower"), and WESTDEUTSCHE BAYERISCHE LANDESBANK GIROZENTRALE, a German public law banking institution organized under the laws of the Free State of North Rhine-Westphalia ("WestLB")Bavaria, acting through its New York Branch Germany (the "LIQUIDITY PROVIDERLiquidity Provider").

Appears in 1 contract

Sources: Revolving Credit Agreement (American Airlines Inc)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 ...................................... 25 Section 7.12. Execution in Counterparts...................................................................................................................... 26 Section 7.13. Entirety........................................................................................................................................... 26 Section 7.14. Headings...........................................................................................27 ................................................ 26 Section 7.15. Liquidity Provider's Obligation to Make Advances...................................................27 Annex LIQUIDITY PROVIDER'S OBLIGATION TO MAKE ADVANCES........................................ 26 TABLE OF CONTENTS (Continued) ANNEX I - Interest Advance Notice of Borrowing Annex ANNEX II - Non-Extension Advance Notice of Borrowing Annex ANNEX III - Downgrade Advance Notice of Borrowing Annex ANNEX IV - Final Advance Notice of Borrowing Annex ANNEX V - Notice of Termination Annex ANNEX VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT This REVOLVING CREDIT AGREEMENT, AGREEMENT dated as of November 16September 25, 20001997, is made by and between STATE STREET BANK AND WILMINGTON TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATIONCOMPANY, a national banking associationDelaware corporation, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (each as defined below), as agent and trustee for the Class A-2 Trustee C Trust (in such capacity, together with its successors in such capacity, as defined below) (the "BORROWER"), and WESTDEUTSCHE LANDESBANK GIROZENTRALEABN AMRO BANK N.V., a German banking institution bank organized under the laws of the State of North Rhine-Westphalia ("WestLB")The Netherlands, acting through its New York Chicago Branch ("ABN AMRO" or the "LIQUIDITY PROVIDER").

Appears in 1 contract

Sources: Revolving Credit Agreement (Continental Airlines Inc /De/)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 ......................................................25 Section 7.12. Execution in Counterparts............................................................................................................................26 Section 7.13. Entirety.................................................................................................................................................26 Section 7.14. Headings...........................................................................................27 ......................................................26 Section 7.15. Liquidity Provider's Obligation to To Make Advances...................................................27 Annex ..............26 TABLE OF CONTENTS (Continued) ANNEX I - Interest Advance Notice of Borrowing Annex ANNEX II - Non-Extension Advance Notice of Borrowing Annex ANNEX III - Downgrade Advance Notice of Borrowing Annex ANNEX IV - Final Advance Notice of Borrowing Annex ANNEX V - Notice of Termination Annex ANNEX VI - Notice of Replacement Subordination Agent SCHEDULE I TO INTEREST ADVANCE NOTICE OF BORROWING SCHEDULE I TO NON-EXTENSION ADVANCE NOTICE OF BORROWING SCHEDULE I TO DOWNGRADE ADVANCE NOTICE OF BORROWING SCHEDULE I TO FINAL ADVANCE NOTICE OF BORROWING REVOLVING CREDIT AGREEMENT This REVOLVING CREDIT AGREEMENT, AGREEMENT dated as of November 16September 25, 20001997, is made by and between STATE STREET BANK AND WILMINGTON TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATIONCOMPANY, a national banking associationDelaware corporation, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (each as defined below), as agent and trustee for the Class A-2 Trustee A Trust (in such capacity, together with its successors in such capacity, as defined below) (the "BORROWER"), and WESTDEUTSCHE LANDESBANK GIROZENTRALEABN AMRO BANK N.V., a German banking institution bank organized under the laws of the State of North Rhine-Westphalia ("WestLB")The Netherlands, acting through its New York Chicago Branch ("ABN AMRO" or the "LIQUIDITY PROVIDER").

Appears in 1 contract

Sources: Revolving Credit Agreement (Continental Airlines Inc /De/)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 ..25 Section 7.12. Execution in Counterparts....................................................................................................................................26 Section 7.13. Entirety.........................................................................................................................................................26 Section 7.14. Headings...........................................................................................27 ..............................................................26 Section 7.15. Liquidity Provider's Obligation to Make Advances...................................................LIQUIDITY PROVIDER'S OBLIGATION TO MAKE ADVANCES......................27 Annex ANNEX I - Interest Advance Notice of Borrowing Annex ANNEX II - Non-Extension Advance Notice of Borrowing Annex ANNEX III - Downgrade Advance Notice of Borrowing Annex ANNEX IV - Final Advance Notice of Borrowing Annex ANNEX V - Notice of Termination Annex ANNEX VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT (1999-1A) This REVOLVING CREDIT AGREEMENT, AGREEMENT (1999-1A) dated as of November 16August 31, 20001999, is made by and between STATE STREET BANK AND TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATION, a national banking association, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (each as defined below), as agent and trustee for the Class A-2 Trustee A Trust (in such capacity, together with its successors in such capacity, as defined below) (the "BORROWERBorrower"), and WESTDEUTSCHE LANDESBANK GIROZENTRALEAIG MATCHED FUNDING CORP., a German banking institution corporation organized under the laws of the State of North Rhine-Westphalia ("WestLB"), acting through its New York Branch Delaware (the "LIQUIDITY PROVIDERLiquidity Provider").

Appears in 1 contract

Sources: Revolving Credit Agreement (Us Airways Inc)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 ..................................................... 25 Section 7.12. Execution in Counterparts.......................................................................................26 .....................................25 Section 7.13. Entirety.................................................................................................................................................26 Section 7.14. Headings...........................................................................................27 ......................................................26 Section 7.15. Transfer......................................................26 Section 7.16. Liquidity Provider's Obligation to Make Advances...................................................27 Annex ..............26 TABLE OF CONTENTS (CONTINUED) ANNEX I - Interest Advance Notice of Borrowing Annex ANNEX II - Non-Extension Advance Notice of Borrowing Annex ANNEX III - Downgrade Advance Notice of Borrowing Annex ANNEX IV - Final Advance Notice of Borrowing Annex ANNEX V - Notice of Termination Annex ANNEX VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT This REVOLVING CREDIT AGREEMENT, AGREEMENT dated as of November 163, 20001998, is made by and between STATE STREET BANK AND WILMINGTON TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATIONCOMPANY, a national banking associationDelaware corporation, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (each as defined below), as agent and trustee for the Class A-2 Trustee B Trust (in such capacity, together with its successors in such capacity, as defined below) (the "BORROWER"), and WESTDEUTSCHE LANDESBANK GIROZENTRALEMORGAN STANLEY CAPITAL SERVICES, INC., a German banking institution corporation organized under the laws of the ▇▇▇ ▇aw▇ ▇▇ ▇▇e State of North Rhine-Westphalia ("WestLB"), acting through its New York Branch Delaware (the "LIQUIDITY PROVIDER").

Appears in 1 contract

Sources: Revolving Credit Agreement (Continental Airlines Inc /De/)

Section 7. 11. 11 Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 ...........................28 Section 7.12. 7.12 Counterparts...................................................................................28 Section 7.13 Entirety.......................................................................................26 28 Section 7.13. Entirety...........................................................................................26 7.14 Headings.......................................................................................29 Section 7.14. Headings...........................................................................................27 Section 7.15. 7.15 Liquidity Provider's Obligation to Make Advances...................................................27 ...............................................29 Annex I - Interest Advance Notice of Borrowing Annex II - Non-Extension Advance Notice of Borrowing Annex III - Downgrade Advance Notice of Borrowing Annex IV - Final Advance Notice of Borrowing Annex V - Notice of Termination Annex VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT This REVOLVING CREDIT AGREEMENT, dated as of November 16October 6, 20001999, is made by and between STATE STREET BANK AND TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATION, a national banking association, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (as defined below), as agent and trustee for the Class A-2 Trustee (in such capacity, together with its successors in such capacity, the "BORROWERBorrower"), and WESTDEUTSCHE BAYERISCHE LANDESBANK GIROZENTRALE, a German public law banking institution organized under the laws of the Free State of North Rhine-Westphalia ("WestLB")Bavaria, acting through its New York Branch Germany (the "LIQUIDITY PROVIDERLiquidity Provider").

Appears in 1 contract

Sources: Revolving Credit Agreement (American Airlines Inc)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity...............................26 Immunity 35 Section 7.12. Execution in Counterparts.......................................................................................26 ................................. 37 Section 7.13. Entirety...........................................................................................26 .................................................. 37 Section 7.14. Headings...........................................................................................27 Section 7.15. Liquidity Provider's Obligation to Make Advances...................................................27 Annex .................................................. 37 ANNEX I - Interest Advance Notice of Borrowing Annex ANNEX II - Non-Extension Advance Notice of Borrowing Annex III - Downgrade Advance Notice of Borrowing Annex ANNEX III Notice of Automatic Reduction or Increase of Commitment ANNEX IV - Notice of Conversion to Final Advance Notice of Borrowing Annex ANNEX V - Notice of Termination Annex VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT This REVOLVING CREDIT AGREEMENT, AGREEMENT dated as of November 16June 25, 20001997, is made by and between STATE STREET BANK AND WILMINGTON TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATIONCOMPANY, a national Delaware banking associationcorporation, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (each as defined below), as agent and trustee for the Class A-2 Trustee A Trust (in such capacity, together with its successors in such capacity, as defined below) (the "BORROWERBorrower"), and WESTDEUTSCHE LANDESBANK GIROZENTRALE, a German banking institution organized under the laws of the State of North Rhine-Westphalia ("WestLB")KREDIETBANK N.V., acting through its New York Branch branch (the "LIQUIDITY PROVIDERLiquidity Provider").

Appears in 1 contract

Sources: Revolving Credit Agreement (Continental Airlines Inc /De/)

Section 7. 11. Submission to Jurisdiction; Waiver of Jury Trial; Waiver of Immunity.............................................................. 26 Section 7.12. Counterparts.............................................................................................................................................................................. 26 Section 7.13. Entirety...................................................................................................................................................................................... 26 Section 7.14. Headings...................................................................................................................................................................................... 27 Section 7.15. Liquidity Provider's Obligation to Make Advances...................................................................................................... 27 Annex I - Interest Advance Notice of Borrowing Annex II - Non-Extension Advance Notice of Borrowing Annex III - Downgrade Advance Notice of Borrowing Annex IV - Final Advance Notice of Borrowing Annex V - Notice of Termination Annex VI - Notice of Replacement Subordination Agent REVOLVING CREDIT AGREEMENT This REVOLVING CREDIT AGREEMENT, dated as of November 16, 2000, is made by and between STATE STREET BANK AND TRUST COMPANY OF CONNECTICUT, NATIONAL ASSOCIATION, a national banking association, not in its individual capacity but solely as Subordination Agent (such term and other capitalized terms used herein without definition being defined as provided in Article I) under the Intercreditor Agreement (as defined below), as agent and trustee for the Class A-2 A-1 Trustee (in such capacity, together with its successors in such capacity, the "BORROWER"), and WESTDEUTSCHE LANDESBANK GIROZENTRALE, a German banking institution organized under the laws of the State of North Rhine-Westphalia ("WestLB"), acting through its New York Branch (the "LIQUIDITY PROVIDER").

Appears in 1 contract

Sources: Revolving Credit Agreement (Delta Air Lines Inc /De/)