Escrow Paying Agent definition

Escrow Paying Agent. Means the Person acting as paying agent under the Escrow Agreement.
Escrow Paying Agent. Means the “Paying Agent” as defined in the Escrow Agreement. AMERICAS 94409275 v12 (2K) 4 Trust Supplement No. 2017-1C (Spirit 2017-1 EETC)
Escrow Paying Agent. Means the Person acting as paying agent under the Escrow Agreement. Escrow Receipt: Means the receipt substantially in the form annexed to the Escrow Agreement representing a fractional undivided interest in the funds held in escrow thereunder. Exchange Certificate: Means any of the certificates, substantially in the form of Exhibit A, issued in exchange for an Initial Certificate pursuant to the Registration Agreement and authenticated under this Agreement. Exchange Offer Registration Statement: Means the Exchange Offer Registration Statement defined in the Registration Agreement. Final Maturity Date: Means January 30, 2016. Final Withdrawal: Has the meaning specified in the Escrow Agreement. Final Withdrawal Date: Has the meaning specified in the Escrow Agreement. Final Withdrawal Notice: Has the meaning specified in Section 5.02 of this Trust Supplement. Global Certificates: Has the meaning assigned to such term in Section 9.01(a).

Examples of Escrow Paying Agent in a sentence

  • In the event of the payment of a Special Redemption Premium by the Company to the Trustee under the Note Purchase Agreement, such notice shall be mailed, together with the notice by the Escrow Paying Agent under Section 2.06 of the Escrow Agreement, not less than 20 days prior to the Special Distribution Date for such amount, which Special Distribution Date shall be the Final Withdrawal Date.

  • In the event the Company is required to pay a Special Redemption Premium to the Trustee under the Note Purchase Agreement, such notice shall be mailed, together with the notice by the Escrow Paying Agent under Section 2.06 of the Escrow Agreement, not less than 20 days prior to the Special Distribution Date for such amount, which Special Distribution Date shall be the Final Withdrawal Date.

  • In the case of any other Special Payments, such notice shall be mailed as soon as practicable after the Trustee has confirmed that it has received funds for such Special Payment (which notice, in the case of a Special Redemption Premium, shall include a copy of the notice delivered by the Escrow Paying Agent under Section 2.06 of the Escrow Agreement).

  • In the event that any Special Redemption Premium is to be paid by the Company to the Trustee under the Note Purchase Agreement, such notice shall be mailed, together with the notice by the Escrow Paying Agent under Section 2.06 of the Escrow Agreement, not less than 20 days prior to the Special Distribution Date for such amount, which Special Distribution Date shall be the Final Withdrawal Date.

  • On the date that the Depositary is obligated to pay the amount of the Partial Withdrawal to the Escrow Paying Agent pursuant to the Deposit Agreement, the Trustee will make a demand upon the Company under the NPA for an amount equal to the Deposit Make-Whole Premium in respect of such Partial Withdrawal.

  • In the event of the payment of a Deposit Make-Whole Premium by the Company to the Trustee under the NPA, such notice shall be mailed, together with the notice by the Escrow Paying Agent under Section 2.07 of the Escrow Agreement, not less than 15 days prior to the Special Distribution Date for such amount, which Special Distribution Date shall be the date that the Depositary is obligated to pay the amount of the Partial Withdrawal under the Deposit Agreement.

  • In 34 -29- the event of the payment of a Special Redemption Premium by the Company to the Trustee under the Note Purchase Agreement, such notice shall be mailed, together with the notice by the Escrow Paying Agent under Section 2.06 of the Escrow Agreement, not less than 20 days prior to the Special Distribution Date for such amount, which Special Distribution Date shall be the Final Withdrawal Date.

  • In the event of the payment of a Deposit Break Amount by the Company to the Trustee under the NPA, such notice shall be mailed, together with the notice by the Escrow Paying Agent under Section 2.07 of the Escrow Agreement, not less than 15 days prior to the Special Distribution Date for such amount.

  • In the event of the payment of a Deposit Make-Whole Premium by the Company to the Trustee under the NPA, such notice shall be mailed, together with the notice by the Escrow Paying Agent under Section 2.07 of the Escrow Agreement, not less than 15 days prior to the Special Distribution Date for such amount.

  • In the event the Company is required to pay a Special Redemption Premium to the Trustee under the Note Purchase Agreement, such notice shall be mailed, together with the notice by the Escrow Paying Agent under Section 2.06 of the Escrow Agreement, not less than 20 days prior to the Special Distribution Date for such amount, which Special Distribution Date shall be the date of a Prepayment Withdrawal (as defined in the Escrow Agreement) or the Final Withdrawal Date.

Related to Escrow Paying Agent

  • The Paying Agent shall maintain the stock register, which shall contain a list of the Holders, the number of shares held by each Holder and the address of each Holder. The Paying Agent shall record in the stock register any change of address of a Holder upon notice by such Holder. In case of any written request or demand for the inspection of the stock register or any other books of the Trust in the possession of the Paying Agent, the Paying Agent will notify the Trust and secure instructions as to permitting or refusing such inspection. The Paying Agent reserves the right, however, to exhibit the stock register or other records to any person in case it is advised by its counsel that its failure to do so would (i) be unlawful or (ii) expose it to liability, unless the Trust shall have offered indemnification satisfactory to the Paying Agent.

  • Paying Agent means any Person authorized by the Company to pay the principal of or any premium or interest on any Securities on behalf of the Company.

  • Certificate Paying Agent means any paying agent or co-paying agent appointed pursuant to Section 3.10 and shall initially be Wilmington Trust Company.

  • Note Paying Agent means the Trustee or any other Person that meets the eligibility standards for the Trustee specified in Section 6.11 and is authorized by the Issuer to make the payments to and distributions from the Collection Account and the Note Distribution Account, including payment of principal of or interest on the Notes on behalf of the Issuer.

  • Principal Paying Agent means the Principal Paying Agent as specified in § 2 (1) of the General Conditions.