CUSIP Numbers definition

CUSIP Numbers means the Committee on Uniform Security Identification Procedure’s unique identification number for each public issue of a security.
CUSIP Numbers. 40▇▇▇▇ ▇▇▇
CUSIP Numbers has the meaning set forth in Section 2.14.

Examples of CUSIP Numbers in a sentence

  • The Certificate Administrator shall make reasonable good faith efforts to keep the website accurate and updated to the extent CUSIP Numbers have been received.

  • The CUSIP Number so published will represent the Rule 144A CUSIP Numbers.

  • The Private Exchange Securities shall be of the same series as the Exchange Securities and the Company and the Trust will seek to cause the CUSIP Service Bureau to issue the same CUSIP Numbers for the Private Exchange Securities as for the Exchange Securities issued pursuant to the Exchange Offer.

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  • Pursuant to a recommendation promulgated by the Committee on Uniform Security Identification Procedures, the Company has caused CUSIP Numbers to be printed on the Notes and has directed the Trustee to use CUSIP numbers in notices of redemption as a convenience to Holders of the Notes.

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More Definitions of CUSIP Numbers

CUSIP Numbers. The Company has arranged with the CUSIP Service Bureau of Standard & Poor's Corporation (the "CUSIP Service Bureau") for the reservation of a series of CUSIP numbers (including tranche numbers) of which series consists of approximately 900 CUSIP numbers and relates to Global Securities representing the Book-Entry Notes. The Company has obtained from the CUSIP Service Bureau a written list of such reserved CUSIP numbers and has delivered such list to the trustee and DTC. The Trustee will assign CUSIP numbers to Global securities as described below under Settlement Procedure "B". DTC will notify the CUSIP Service Bureau periodically of the CUSIP numbers that the Trustee has assigned to Global Securities. At any time when fewer than 100 of the reserved CUSIP numbers remain unassigned to Global Securities, the Trustee shall so advise the Company and, if it deems necessary, the Company will reserve an additional 900 CUSIP numbers for assignment to Global Securities representing Book-Entry Notes. Upon obtaining such additional CUSIP numbers, the Company shall deliver a list of such additional CUSIP numbers to the Trustee and DTC. Registration: Each Global Security will be registered in the name of Cede & Co., as nominee for DTC, on the Security register maintained under the Indenture. The beneficial owner of a Book-Entry Note (or one or more indirect participants in DTC designated by such owner) will designate one or more participants in DTC (with respect to such Note, the "Participants") to act as agent or agents for such owner in connection with the book-entry system maintained by DTC, and DTC will record in book- entry form, in accordance with instructions provided by such Participants, a credit balance with respect to such Note in the account of such Participants. The ownership interest of such beneficial owner in such Note will be recorded through the records of such Participants or through the separate records of such Participants and one or more indirect participants in DTC. Transfers: Transfers of a Book-Entry Note will be accomplished by book entries made by DTC and, in turn, by Participants (and, in certain cases, one or more indirect participants in DTC) acting on behalf of beneficial transferors and transferees of such Note.
CUSIP Numbers. 404121 AH8
CUSIP Numbers. 144A Notes: 40412C AA9 Reg S Notes: U24787 AA8 ISIN Numbers: 144A Notes: US40412CAA99 Reg S Notes: USU24787AA83 IN WITNESS HEREOF, the Issuer has caused this instrument to be duly executed. Dated: November 23, 2010 HCA HOLDINGS, INC. By: Name: Title: This is one of the Notes referred to in the within-mentioned Indenture: LAW DEBENTURE TRUST COMPANY OF NEW YORK, as Trustee By: Authorized Signatory 73/4% Senior Notes due 2021 Capitalized terms used herein shall have the meanings assigned to them in the Indenture referred to below unless otherwise indicated.
CUSIP Numbers. 144 A CUSIP: 402629 AF6 Reg S CUSIP: U40302 AC2 144 A ISIN: US402629AF69 Reg S ISIN: USU40302AC26 Min. Allocation: $2,000 Increments: $1,000 Joint Book Running Managers: Credit Suisse Securities (USA) LLC, ▇▇▇▇▇ Fargo Securities, LLC and RBS Securities Inc.

Related to CUSIP Numbers

  • ISIN means International Securities Identification Number, being the identification number of the Bonds.

  • CUSIP numbers in notices of redemption as a convenience to Holders; provided that any such notice may state that no representation is made as to the correctness of such numbers either as printed on the Securities or as contained in any notice of a redemption and that reliance may be placed only on the other identification numbers printed on the Securities, and any such redemption shall not be affected by any defect in or omission of such numbers. The Company will promptly notify the Trustee of any change in the "CUSIP" numbers.

  • CCN means a contract change notice.

  • CUSIP number means the alphanumeric designation assigned to a Security by Standard & Poor’s, CUSIP Service Bureau.