May 18th, 2021 · Common Contracts · 1000 similar ReNew Energy Global LTD – INVESTMENT MANAGEMENT TRUST AGREEMENT Pursuant to Section 1(k) of the Investment Management Trust Agreement between RMG Acquisition Corp. II (the “Company”) and Continental Stock Transfer & Trust Company (the “Trustee”), dated as of [•], 2020 (the “Trust Agreement”), the Company hereby requests that you deliver to the Company $ of the interest income earned on the Property as of the date hereof. Capitalized terms used but not defined herein shall have the meanings set forth in the Trust Agreement.
Pursuant to Section 1(k) of the Investment Management Trust Agreement between RMG Acquisition Corp. II (the “Company”) and Continental Stock Transfer & Trust Company (the “Trustee”), dated as of [•], 2020 (the “Trust Agreement”), the Company hereby requests that you deliver to the Company $ of the interest income earned on the Property as of the date hereof. Capitalized terms used but not defined herein shall have the meanings set forth in the Trust Agreement.
June 2nd, 2016 · Common Contracts · 1000 similar Ocean Power Technologies, Inc. – SECURITIES PURCHASE AGREEMENT This Securities Purchase Agreement (this “Agreement”) is dated as of June 2, 2016, between Ocean Power Technologies, Inc., a Delaware corporation (the “Company”), and each purchaser identified on the signature pages hereto (each, including its successors and assigns, a “Purchaser” and collectively the “Purchasers”).
This Securities Purchase Agreement (this “Agreement”) is dated as of June 2, 2016, between Ocean Power Technologies, Inc., a Delaware corporation (the “Company”), and each purchaser identified on the signature pages hereto (each, including its successors and assigns, a “Purchaser” and collectively the “Purchasers”).
March 9th, 2010 · Common Contracts · 1000 similar Us Geothermal Inc – REGISTRATION RIGHTS AGREEMENT This Agreement is made pursuant to the Securities Purchase Agreement, dated as of the date hereof, between the Company and each Purchaser (the “Purchase Agreement”).
This Agreement is made pursuant to the Securities Purchase Agreement, dated as of the date hereof, between the Company and each Purchaser (the “Purchase Agreement”).
September 12th, 2019 · Common Contracts · 1000 similar Cleco Corporate Holdings LLC – CERTAIN SECTIONS OF THIS INDENTURE RELATING TO SECTIONS 310 THROUGH 318, INCLUSIVE, OF THE TRUST INDENTURE ACT OF 1939: INDENTURE (herein called this “Indenture”), dated as of September 11, 2019, between Cleco Corporate Holdings LLC, a limited liability company duly organized and existing under the laws of the State of Louisiana (herein called the “Company”), having its principal office at 2030 Donahue Ferry Road, Pineville, Louisiana 71360, and Regions Bank, an Alabama banking institution having an office in Baton Rouge, Louisiana, as Trustee (herein called the “Trustee”).
INDENTURE (herein called this “Indenture”), dated as of September 11, 2019, between Cleco Corporate Holdings LLC, a limited liability company duly organized and existing under the laws of the State of Louisiana (herein called the “Company”), having its principal office at 2030 Donahue Ferry Road, Pineville, Louisiana 71360, and Regions Bank, an Alabama banking institution having an office in Baton Rouge, Louisiana, as Trustee (herein called the “Trustee”).
June 17th, 2016 · Common Contracts · 1000 similar Active Power Inc – RIGHTS AGREEMENT dated as of June 15, 2016 between ACTIVE POWER, INC., as the Company and AMERICAN STOCK TRANSFER & TRUST COMPANY, LLC as Rights Agent RIGHTS AGREEMENT, dated as of June 15, 2016, (this “Agreement”), by and between Active Power, Inc., a Delaware corporation (the “Company”), and American Stock Transfer & Trust Company, LLC, a New York limited liability trust company, as rights agent (the “Rights Agent”).
RIGHTS AGREEMENT, dated as of June 15, 2016, (this “Agreement”), by and between Active Power, Inc., a Delaware corporation (the “Company”), and American Stock Transfer & Trust Company, LLC, a New York limited liability trust company, as rights agent (the “Rights Agent”).
September 10th, 2021 · Common Contracts · 1000 similar Cleco Power LLC – CERTAIN SECTIONS OF THIS INDENTURE RELATING TO SECTIONS 310 THROUGH 318, INCLUSIVE, OF THE TRUST INDENTURE ACT OF 1939: INDENTURE (herein called this “Indenture”), dated as of September 10, 2021, between Cleco Power LLC, a limited liability company duly organized and existing under the laws of the State of Louisiana (herein called the “Company”), having its principal office at 2030 Donahue Ferry Road, Pineville, Louisiana 71360, and Regions Bank, an Alabama banking institution having an office in Baton Rouge, Louisiana, as Trustee (herein called the “Trustee”).
INDENTURE (herein called this “Indenture”), dated as of September 10, 2021, between Cleco Power LLC, a limited liability company duly organized and existing under the laws of the State of Louisiana (herein called the “Company”), having its principal office at 2030 Donahue Ferry Road, Pineville, Louisiana 71360, and Regions Bank, an Alabama banking institution having an office in Baton Rouge, Louisiana, as Trustee (herein called the “Trustee”).
April 25th, 2022 · Common Contracts · 1000 similar Tri-State Generation & Transmission Association, Inc. – AMENDED AND RESTATED CREDIT AGREEMENT Dated as of April 25, 2022 among TRI- STATE GENERATION AND TRANSMISSION ASSOCIATION, INC., as the Borrower, The LENDERS Party Hereto, and NATIONAL RURAL UTILITIES COOPERATIVE FINANCE CORPORATION, as Administrative...
May 18th, 2021 · Common Contracts · 1000 similar ReNew Energy Global LTD – WARRANT AGREEMENT RMG ACQUISITION CORP. II and CONTINENTAL STOCK TRANSFER & TRUST COMPANY Dated December 9, 2020 THIS WARRANT AGREEMENT (this “Agreement”), dated December 9, 2020, is by and between RMG Acquisition Corp. II, a Cayman Islands exempted company (the “Company”), and Continental Stock Transfer & Trust Company, a New York corporation, as warrant agent (in such capacity, the “Warrant Agent”).
THIS WARRANT AGREEMENT (this “Agreement”), dated December 9, 2020, is by and between RMG Acquisition Corp. II, a Cayman Islands exempted company (the “Company”), and Continental Stock Transfer & Trust Company, a New York corporation, as warrant agent (in such capacity, the “Warrant Agent”).
September 10th, 2019 · Common Contracts · 990 similar Blox, Inc. – SECURITIES PURCHASE AGREEMENT This SECURITIES PURCHASE AGREEMENT (the “Agreement”), dated as of August 9, 2019, by and between BLOX, INC., a Nevada corporation, with headquarters located at 1177 Avenue of the Americas, 5th Floor, New York, NY 10036 (the “Company”), and FIRSTFIRE GLOBAL OPPORTUNITIES FUND, LLC, a Delaware limited liability company, with its address at 1040 First Avenue, Suite 190, New York, NY 10022 (the “Buyer”).
This SECURITIES PURCHASE AGREEMENT (the “Agreement”), dated as of August 9, 2019, by and between BLOX, INC., a Nevada corporation, with headquarters located at 1177 Avenue of the Americas, 5th Floor, New York, NY 10036 (the “Company”), and FIRSTFIRE GLOBAL OPPORTUNITIES FUND, LLC, a Delaware limited liability company, with its address at 1040 First Avenue, Suite 190, New York, NY 10022 (the “Buyer”).
May 23rd, 2022 · Common Contracts · 990 similar Puget Sound Energy Inc – AMENDED AND RESTATED CREDIT AGREEMENT dated as of May 16, 2022 among PUGET SOUND ENERGY, INC. The Lenders Party Hereto MIZUHO BANK, LTD., as Administrative Agent JPMORGAN CHASE BANK, N.A., as Syndication Agent and AMENDED AND RESTATED CREDIT AGREEMENT (this “Agreement”) dated as of May 16, 2022 among PUGET SOUND ENERGY, INC., the LENDERS from time to time party hereto, MIZUHO BANK, LTD., as Administrative Agent, JPMORGAN CHASE BANK, N.A.as Syndication Agent and BANK OF AMERICA, N.A., BARCLAYS BANK PLC, THE BANK OF NOVA SCOTIA, COBANK, ACB, ROYAL BANK OF CANADA, U.S. BANK NATIONAL ASSOCIATION, MUFG UNION BANK, N.A. and WELLS FARGO BANK, NATIONAL ASSOCIATION, as Co-Documentation Agents.
AMENDED AND RESTATED CREDIT AGREEMENT (this “Agreement”) dated as of May 16, 2022 among PUGET SOUND ENERGY, INC., the LENDERS from time to time party hereto, MIZUHO BANK, LTD., as Administrative Agent, JPMORGAN CHASE BANK, N.A.as Syndication Agent and BANK OF AMERICA, N.A., BARCLAYS BANK PLC, THE BANK OF NOVA SCOTIA, COBANK, ACB, ROYAL BANK OF CANADA, U.S. BANK NATIONAL ASSOCIATION, MUFG UNION BANK, N.A. and WELLS FARGO BANK, NATIONAL ASSOCIATION, as Co-Documentation Agents.
March 14th, 2022 · Common Contracts · 925 similar Citibank,N.A./ADR – DEPOSIT AGREEMENT by and among COMPANHIA ENERGÉTICA DE MINAS GERAIS - CEMIG, as Issuer AND CITIBANK, N.A., as Depositary, AND THE HOLDERS AND BENEFICIAL OWNERS OF AMERICAN DEPOSITARY SHARES ISSUED HEREUNDER Dated as of June 12, 2007 DEPOSIT AGREEMENT, dated as of June 12, 2007, by and among (i) COMPANHIA ENERGETICA DE MINAS GERAIS – CEMIG, a company organized and existing under the laws of the Federative Republic of Brazil (“Brazil”), and its successors (the “Company”), (ii) CITIBANK, N.A., a national banking association organized and existing under the laws of the United States of America acting in its capacity as depositary, and any successor depositary hereunder (the “Depositary”), and (iii) all Holders and Beneficial Owners of American Depositary Shares issued hereunder (all such capitalized terms as hereinafter defined).
DEPOSIT AGREEMENT, dated as of June 12, 2007, by and among (i) COMPANHIA ENERGETICA DE MINAS GERAIS – CEMIG, a company organized and existing under the laws of the Federative Republic of Brazil (“Brazil”), and its successors (the “Company”), (ii) CITIBANK, N.A., a national banking association organized and existing under the laws of the United States of America acting in its capacity as depositary, and any successor depositary hereunder (the “Depositary”), and (iii) all Holders and Beneficial Owners of American Depositary Shares issued hereunder (all such capitalized terms as hereinafter defined).
December 10th, 2020 · Common Contracts · 914 similar Atlantica Sustainable Infrastructure PLC – a public limited company registered in England and Wales) 4,408,000 ordinary shares with nominal value of $0.10 per share UNDERWRITING AGREEMENT The undersigned understands that you propose to enter into an underwriting agreement (the “Underwriting Agreement”) to be dated on or around 9 December 2020 made between you as underwriter (“BofA”) and Atlantica Sustainable Infrastructure plc, a public limited company organised under the laws of England and Wales (the “Company”), relating to: (A) the offering of 4,408,000 new ordinary shares, nominal value $0.10 each (the “Ordinary Shares”), in the Company (the “Public Offering Shares”) to investors (the “Investors”) (the “Public Offering”), which is expected to close on or around 11 December 2020 (the “First Closing Time”); and (B) the placing and issue of 3,496,400 Ordinary Shares (the “AQN Placing Shares” and, together with the Public Offering Shares, the “New Shares”) to a nominee of the Company’s depositary, Computershare Trustee (Jersey) Limited, which will issue depositary receipts to Algonquin Power & Utilities Corp. or a subsidiary thereof (“AQN” and, together with the Investo
The undersigned understands that you propose to enter into an underwriting agreement (the “Underwriting Agreement”) to be dated on or around 9 December 2020 made between you as underwriter (“BofA”) and Atlantica Sustainable Infrastructure plc, a public limited company organised under the laws of England and Wales (the “Company”), relating to: (A) the offering of 4,408,000 new ordinary shares, nominal value $0.10 each (the “Ordinary Shares”), in the Company (the “Public Offering Shares”) to investors (the “Investors”) (the “Public Offering”), which is expected to close on or around 11 December 2020 (the “First Closing Time”); and (B) the placing and issue of 3,496,400 Ordinary Shares (the “AQN Placing Shares” and, together with the Public Offering Shares, the “New Shares”) to a nominee of the Company’s depositary, Computershare Trustee (Jersey) Limited, which will issue depositary receipts to Algonquin Power & Utilities Corp. or a subsidiary thereof (“AQN” and, together with the Investo
December 20th, 2021 · Common Contracts · 873 similar CBRE Acquisition Sponsor, LLC – PRIVATE PLACEMENT WARRANTS PURCHASE AGREEMENT THIS PRIVATE PLACEMENT WARRANTS PURCHASE AGREEMENT, dated as of December 10, 2020 (as it may from time to time be amended, this “Agreement”), is entered into by and between CBRE Acquisition Holdings, Inc. a Delaware corporation (the “Company”), and CBRE Acquisition Sponsor, LLC, a Delaware limited liability company (the “Purchaser”).
THIS PRIVATE PLACEMENT WARRANTS PURCHASE AGREEMENT, dated as of December 10, 2020 (as it may from time to time be amended, this “Agreement”), is entered into by and between CBRE Acquisition Holdings, Inc. a Delaware corporation (the “Company”), and CBRE Acquisition Sponsor, LLC, a Delaware limited liability company (the “Purchaser”).
June 23rd, 2021 · Common Contracts · 791 similar Eco Wave Power Global AB (Publ) – ECO WAVE POWER GLOBAL AB (PUBL) UNDERWRITING AGREEMENT The undersigned, Eco Wave Power Global AB (publ), a Swedish public limited liability company (the “Company”), hereby confirms its agreement (this “Agreement”) with A.G.P./Alliance Global Partners (hereinafter referred to as “you” (including its correlatives) or the “Representative”) and with the other underwriters named on Schedule 1 hereto for which the Representative is acting as representative (the Representative and such other underwriters being collectively called the “Underwriters” or, individually, an “Underwriter”) as follows:
The undersigned, Eco Wave Power Global AB (publ), a Swedish public limited liability company (the “Company”), hereby confirms its agreement (this “Agreement”) with A.G.P./Alliance Global Partners (hereinafter referred to as “you” (including its correlatives) or the “Representative”) and with the other underwriters named on Schedule 1 hereto for which the Representative is acting as representative (the Representative and such other underwriters being collectively called the “Underwriters” or, individually, an “Underwriter”) as follows:
March 29th, 1999 · Common Contracts · 786 similar Unisource Energy Corp – RIGHTS AGREEMENT
December 14th, 2021 · Common Contracts · 686 similar Altus Power, Inc. – INDEMNIFICATION AGREEMENT THIS INDEMNIFICATION AGREEMENT (the “Agreement”) is made and entered into as of December 9, 2021 between Altus Power, Inc., a Delaware corporation (the “Company”), and (“Indemnitee”).
THIS INDEMNIFICATION AGREEMENT (the “Agreement”) is made and entered into as of December 9, 2021 between Altus Power, Inc., a Delaware corporation (the “Company”), and (“Indemnitee”).
August 5th, 2009 · Common Contracts · 681 similar Pampa Energy Inc. – and OWNERS AND BENEFICIAL OWNERS OF AMERICAN DEPOSITARY SHARES Amended and Restated Deposit Agreement Dated as of __________________, 2009 AMENDED AND RESTATED DEPOSIT AGREEMENT AMENDED AND RESTATED DEPOSIT AGREEMENT dated as of _______________, 2009 among PAMPA ENERGÍA S.A. (formerly known as Pampa Holding S.A.), incorporated under the laws of the Republic of Argentina (herein called the Company), THE BANK OF NEW YORK MELLON (formerly known as The Bank of New York), a New York banking corporation (herein called the Depositary), and all Owners and Beneficial Owners from time to time of American Depositary Shares issued hereunder.
AMENDED AND RESTATED DEPOSIT AGREEMENT dated as of _______________, 2009 among PAMPA ENERGÍA S.A. (formerly known as Pampa Holding S.A.), incorporated under the laws of the Republic of Argentina (herein called the Company), THE BANK OF NEW YORK MELLON (formerly known as The Bank of New York), a New York banking corporation (herein called the Depositary), and all Owners and Beneficial Owners from time to time of American Depositary Shares issued hereunder.
September 27th, 2013 · Common Contracts · 599 similar Uil Holdings Corp – UIL HOLDINGS CORPORATION 5,000,000 Shares of Common Stock Underwriting Agreement UIL Holdings Corporation, a Connecticut corporation (the “Company”), proposes to issue and sell to the several Underwriters listed in Schedule 1 hereto (the “Underwriters”), for whom you are acting as representatives (the “Representatives”), an aggregate of 5,000,000 shares of common stock (the “Common Stock”), no par value, of the Company (the “Underwritten Shares”) and, at the option of the Underwriters, up to an additional 750,000 shares of common stock of the Company (the “Option Shares”). The Underwritten Shares and the Option Shares are herein referred to as the “Shares”. The shares of common stock of the Company to be outstanding after giving effect to the sale of the Shares are referred to herein as the “Stock”.
UIL Holdings Corporation, a Connecticut corporation (the “Company”), proposes to issue and sell to the several Underwriters listed in Schedule 1 hereto (the “Underwriters”), for whom you are acting as representatives (the “Representatives”), an aggregate of 5,000,000 shares of common stock (the “Common Stock”), no par value, of the Company (the “Underwritten Shares”) and, at the option of the Underwriters, up to an additional 750,000 shares of common stock of the Company (the “Option Shares”). The Underwritten Shares and the Option Shares are herein referred to as the “Shares”. The shares of common stock of the Company to be outstanding after giving effect to the sale of the Shares are referred to herein as the “Stock”.
March 25th, 2004 · Common Contracts · 523 similar Calpine Corp – EXHIBIT 4.16 CALPINE CORPORATION 9.875% SECOND PRIORITY SENIOR SECURED NOTES DUE 2011
November 4th, 2019 · Common Contracts · 467 similar Pattern Energy Group Inc. – AGREEMENT AND PLAN OF MERGER among PATTERN ENERGY GROUP INC., PACIFIC US INC. and PACIFIC BIDCO US INC. Dated as of November 3, 2019 This AGREEMENT AND PLAN OF MERGER (hereinafter called this “Agreement”), dated as of November 3, 2019, is among PATTERN ENERGY GROUP INC., a Delaware corporation (the “Company”), PACIFIC US INC., a Delaware corporation (“Parent”), and PACIFIC BIDCO US INC., a Delaware corporation and a wholly owned direct subsidiary of Parent (“Merger Sub”).
This AGREEMENT AND PLAN OF MERGER (hereinafter called this “Agreement”), dated as of November 3, 2019, is among PATTERN ENERGY GROUP INC., a Delaware corporation (the “Company”), PACIFIC US INC., a Delaware corporation (“Parent”), and PACIFIC BIDCO US INC., a Delaware corporation and a wholly owned direct subsidiary of Parent (“Merger Sub”).
June 23rd, 2021 · Common Contracts · 431 similar Eco Wave Power Global AB (Publ) – ECO WAVE POWER GLOBAL AB (PUBL) AND THE BANK OF NEW YORK MELLON As Depositary AND OWNERS AND HOLDERS OF AMERICAN DEPOSITARY SHARES Deposit Agreement DEPOSIT AGREEMENT dated as of __________, 2021 among ECO WAVE POWER GLOBAL AB (PUBL), a company incorporated under the laws of Sweden (herein called the Company), THE BANK OF NEW YORK MELLON, a New York banking corporation (herein called the Depositary), and all Owners and Holders (each as hereinafter defined) from time to time of American Depositary Shares issued hereunder.
DEPOSIT AGREEMENT dated as of __________, 2021 among ECO WAVE POWER GLOBAL AB (PUBL), a company incorporated under the laws of Sweden (herein called the Company), THE BANK OF NEW YORK MELLON, a New York banking corporation (herein called the Depositary), and all Owners and Holders (each as hereinafter defined) from time to time of American Depositary Shares issued hereunder.
April 6th, 2022 · Common Contracts · 426 similar DESRI Inc. – DESRI Inc. Common Stock Underwriting Agreement DESRI Inc., a Delaware corporation (the “Company”), proposes, subject to the terms and conditions stated in this agreement (this “Agreement”), to issue and sell to the Underwriters named in Schedule I hereto (the “Underwriters”) an aggregate of [ ● ] shares of common stock, par value $0.01 per share, of the Company (the “Stock”) and, at the election of the Underwriters, up to [ ● ] additional shares of Stock, and the stockholders of the Company named in Schedule III hereto (the “Selling Stockholders”) propose severally, subject to the terms and conditions stated in this Agreement, to sell to the Underwriters an aggregate of [ ● ] shares of Stock and, at the election of the Underwriters, up to [ ● ] additional shares of Stock. The aggregate of [ ● ] shares of Stock to be sold by the Company and the Selling Stockholders are herein called the “Firm Shares,” and the aggregate of the [ ● ] additional shares to be sold by the Company and the Selling Stockholders are herein called the “Option
DESRI Inc., a Delaware corporation (the “Company”), proposes, subject to the terms and conditions stated in this agreement (this “Agreement”), to issue and sell to the Underwriters named in Schedule I hereto (the “Underwriters”) an aggregate of [ ● ] shares of common stock, par value $0.01 per share, of the Company (the “Stock”) and, at the election of the Underwriters, up to [ ● ] additional shares of Stock, and the stockholders of the Company named in Schedule III hereto (the “Selling Stockholders”) propose severally, subject to the terms and conditions stated in this Agreement, to sell to the Underwriters an aggregate of [ ● ] shares of Stock and, at the election of the Underwriters, up to [ ● ] additional shares of Stock. The aggregate of [ ● ] shares of Stock to be sold by the Company and the Selling Stockholders are herein called the “Firm Shares,” and the aggregate of the [ ● ] additional shares to be sold by the Company and the Selling Stockholders are herein called the “Option
November 8th, 2006 · Common Contracts · 422 similar Southern Co Capital Trust Vii – Exhibit 4.10-B SOUTHERN COMPANY CAPITAL TRUST VIII SECOND AMENDED AND RESTATED TRUST AGREEMENT
March 22nd, 2022 · Common Contracts · 419 similar REV Renewables, Inc. – ●] Shares REV RENEWABLES, INC. COMMON STOCK, PAR VALUE $0.01 PER SHARE FORM OF UNDERWRITING AGREEMENT
March 1st, 2005 · Common Contracts · 417 similar PPL Electric Utilities Corp – AND
July 6th, 2004 · Common Contracts · 405 similar Commerce Energy Group Inc – AND
October 5th, 2020 · Common Contracts · 400 similar Alternus Energy Inc. – SECURITIES PURCHASE AGREEMENT This SECURITIES PURCHASE AGREEMENT (the “Agreement”), dated as of April 6, 2020, by and between ALTERNUS ENERGY INC., a Nevada corporation, with its address at One World Trade Center, Suite 8500, New York, NY 10007 (the “Company”), and [*]., a New York corporation, with its address at [*] (the “Buyer”).
This SECURITIES PURCHASE AGREEMENT (the “Agreement”), dated as of April 6, 2020, by and between ALTERNUS ENERGY INC., a Nevada corporation, with its address at One World Trade Center, Suite 8500, New York, NY 10007 (the “Company”), and [*]., a New York corporation, with its address at [*] (the “Buyer”).
January 19th, 2010 · Common Contracts · 400 similar Energy Future Intermediate Holding CO LLC – ENERGY FUTURE HOLDINGS CORP. AND EACH OF THE GUARANTORS PARTY HERETO Trust Indenture Act Section Indenture Section 310(a)(1) 7.10 (a)(2) 7.10 (a)(3) N.A. (a)(4) N.A. (a)(5) 7.10 (b) 7.10 (c) N.A. 311(a) 7.11 (b) 7.11 (c) N.A. 312(a) 2.05 (b) 13.03 (c) 13.03 313(a) 7.06; 13.02 (b)(1) 10.06 (b)(2) 7.06; 7.07; 10.06 (c) 7.06; 13.02 (d) 7.06 314(a) 4.03; 4.04; 13.02; 13.05 (b) 10.05 (c)(1) 7.02; 13.04 (c)(2) 7.02; 13.04 (c)(3) N.A. (d) 10.06 (e) 13.05 (f) N.A. 315(a) 7.01 (b) 7.05; 13.02 (c) 7.01 (d) 7.01 (e) 6.14 316(a) (last sentence) 2.09 (a)(1)(A) 6.05 (a)(1)(B) 6.04 (a)(2) N.A. (b) 6.07 (c) 9.04; 1.05; 2.12 317(a)(1) 6.08 (a)(2) 6.12 (b) 2.04 318(a) 13.01 (b) N.A. (c) 13.01
Trust Indenture Act Section Indenture Section 310(a)(1) 7.10 (a)(2) 7.10 (a)(3) N.A. (a)(4) N.A. (a)(5) 7.10 (b) 7.10 (c) N.A. 311(a) 7.11 (b) 7.11 (c) N.A. 312(a) 2.05 (b) 13.03 (c) 13.03 313(a) 7.06; 13.02 (b)(1) 10.06 (b)(2) 7.06; 7.07; 10.06 (c) 7.06; 13.02 (d) 7.06 314(a) 4.03; 4.04; 13.02; 13.05 (b) 10.05 (c)(1) 7.02; 13.04 (c)(2) 7.02; 13.04 (c)(3) N.A. (d) 10.06 (e) 13.05 (f) N.A. 315(a) 7.01 (b) 7.05; 13.02 (c) 7.01 (d) 7.01 (e) 6.14 316(a) (last sentence) 2.09 (a)(1)(A) 6.05 (a)(1)(B) 6.04 (a)(2) N.A. (b) 6.07 (c) 9.04; 1.05; 2.12 317(a)(1) 6.08 (a)(2) 6.12 (b) 2.04 318(a) 13.01 (b) N.A. (c) 13.01
August 9th, 2021 · Common Contracts · 400 similar Midamerican Energy Co – Senior Debt Securities Reconciliation and tie between Trust Indenture Act of 1939 (the “Trust Indenture Act”) and Indenture INDENTURE, dated as of June 30, 2021 (this “Indenture”), between EASTERN GAS TRANSMISSION AND STORAGE, INC., a Delaware Corporation (hereinafter called the “Company”), having its principal executive office located at 6603 West Broad Street, Richmond, Virginia 23230 and THE BANK OF NEW YORK MELLON TRUST COMPANY, N.A., a Delaware banking corporation (hereinafter called the “Trustee”), having its Corporate Trust Office located at 2 North LaSalle Street, Suite 700, Chicago, Illinois 60602.
INDENTURE, dated as of June 30, 2021 (this “Indenture”), between EASTERN GAS TRANSMISSION AND STORAGE, INC., a Delaware Corporation (hereinafter called the “Company”), having its principal executive office located at 6603 West Broad Street, Richmond, Virginia 23230 and THE BANK OF NEW YORK MELLON TRUST COMPANY, N.A., a Delaware banking corporation (hereinafter called the “Trustee”), having its Corporate Trust Office located at 2 North LaSalle Street, Suite 700, Chicago, Illinois 60602.
July 28th, 2015 · Common Contracts · 399 similar Pattern Energy Group Inc. – PATTERN ENERGY GROUP INC. as Issuer PATTERN US FINANCE COMPANY LLC as Subsidiary Guarantor AND DEUTSCHE BANK TRUST COMPANY AMERICAS, as Trustee INDENTURE Dated as of July 28, 2015 4.00% Convertible Senior Notes due 2020 INDENTURE, dated as of July 28, 2015, among PATTERN ENERGY GROUP INC., a Delaware corporation, as issuer (the “Company,” as more fully set forth in Section 1.01), PATTERN US FINANCE COMPANY LLC, a Delaware limited liability company, as guarantor (the “Subsidiary Guarantor,” as more fully set forth in Section 1.01) and Deutsche Bank Trust Company Americas, as trustee (the “Trustee,” as more fully set forth in Section 1.01).
INDENTURE, dated as of July 28, 2015, among PATTERN ENERGY GROUP INC., a Delaware corporation, as issuer (the “Company,” as more fully set forth in Section 1.01), PATTERN US FINANCE COMPANY LLC, a Delaware limited liability company, as guarantor (the “Subsidiary Guarantor,” as more fully set forth in Section 1.01) and Deutsche Bank Trust Company Americas, as trustee (the “Trustee,” as more fully set forth in Section 1.01).
June 14th, 2011 · Common Contracts · 374 similar ZBB Energy Corp – SECURITIES PURCHASE AGREEMENT This Securities Purchase Agreement (this “Agreement”) is dated as of June 13, 2011, between ZBB Energy Corporation, a Wisconsin corporation (the “Company”), and each purchaser identified on the signature pages hereto (each, including its successors and assigns, a “Purchaser” and collectively the “Purchasers”).
This Securities Purchase Agreement (this “Agreement”) is dated as of June 13, 2011, between ZBB Energy Corporation, a Wisconsin corporation (the “Company”), and each purchaser identified on the signature pages hereto (each, including its successors and assigns, a “Purchaser” and collectively the “Purchasers”).
July 6th, 2010 · Common Contracts · 374 similar Beacon Power Corp – REGISTRATION RIGHTS AGREEMENT REGISTRATION RIGHTS AGREEMENT (this “Agreement”), dated as of July 2, 2010, by and between BEACON POWER CORPORATION, a Delaware corporation, (the “Company”), and ASPIRE CAPITAL FUND, LLC, an Illinois limited liability company (the “Buyer”). Capitalized terms used herein and not otherwise defined herein shall have the respective meanings set forth in the Common Stock Purchase Agreement by and between the parties hereto, dated as of the date hereof (as amended, restated, supplemented or otherwise modified from time to time, the “Purchase Agreement”).
REGISTRATION RIGHTS AGREEMENT (this “Agreement”), dated as of July 2, 2010, by and between BEACON POWER CORPORATION, a Delaware corporation, (the “Company”), and ASPIRE CAPITAL FUND, LLC, an Illinois limited liability company (the “Buyer”). Capitalized terms used herein and not otherwise defined herein shall have the respective meanings set forth in the Common Stock Purchase Agreement by and between the parties hereto, dated as of the date hereof (as amended, restated, supplemented or otherwise modified from time to time, the “Purchase Agreement”).
November 27th, 2009 · Common Contracts · 341 similar Nacel Energy Corp – SECURITIES PURCHASE AGREEMENT This SECURITIES PURCHASE AGREEMENT (the “Agreement”), dated as of November 23, 2009, is by and among NACEL Energy Corporation, a Wyoming corporation with offices located at 9375 E. Shea Blvd., Suite 100, Scottsdale, Arizona 85260 (the “Company”), and the investors listed on the Schedule of Buyers attached hereto (individually, a “Buyer” and collectively, the “Buyers”).
This SECURITIES PURCHASE AGREEMENT (the “Agreement”), dated as of November 23, 2009, is by and among NACEL Energy Corporation, a Wyoming corporation with offices located at 9375 E. Shea Blvd., Suite 100, Scottsdale, Arizona 85260 (the “Company”), and the investors listed on the Schedule of Buyers attached hereto (individually, a “Buyer” and collectively, the “Buyers”).
March 21st, 2012 · Common Contracts · 337 similar BrightSource Energy Inc – BrightSource Energy, Inc. Common Stock, par value $0.0001 Underwriting Agreement BrightSource Energy, Inc., a Delaware corporation (the “Company”), proposes, subject to the terms and conditions stated herein, to issue and sell to the Underwriters named in Schedule I hereto (the “Underwriters”) an aggregate of [ ] shares (the “Firm Shares”) and, at the election of the Underwriters, up to [ ] additional shares (the “Optional Shares”) of common stock, par value $0.0001 per share (“Stock”), of the Company (the Firm Shares and the Optional Shares that the Underwriters elect to purchase pursuant to Section 2 hereof being collectively called the “Shares”).
BrightSource Energy, Inc., a Delaware corporation (the “Company”), proposes, subject to the terms and conditions stated herein, to issue and sell to the Underwriters named in Schedule I hereto (the “Underwriters”) an aggregate of [ ] shares (the “Firm Shares”) and, at the election of the Underwriters, up to [ ] additional shares (the “Optional Shares”) of common stock, par value $0.0001 per share (“Stock”), of the Company (the Firm Shares and the Optional Shares that the Underwriters elect to purchase pursuant to Section 2 hereof being collectively called the “Shares”).
May 22nd, 2018 · Common Contracts · 334 similar AEP Texas Inc. – AEP Texas inc. $500,000,000 3.950% Senior Notes, Series E due 2028 REGISTRATION RIGHTS AGREEMENT AEP Texas Inc., a corporation organized under the laws of the State of Delaware (the “Company”), proposes to issue and sell to BNP Paribas Securities Corp. (“BNP Paribas”), Citigroup Global Markets Inc. (“Citigroup”) and MUFG Securities Americas Inc. (“MUFG”) and the other several purchasers named in Schedule A to the Purchase Agreement (as defined below) (collectively, the “Initial Purchasers”), for whom BNP Paribas, Citigroup and MUFG are acting as representatives, upon the terms set forth in a purchase agreement dated May 14, 2018 (the “Purchase Agreement”), U.S. $500,000,000 principal amount of its 3.950% Senior Notes, Series E due 2028 (the “Initial Securities”). The Initial Securities will be issued pursuant to an Indenture, dated as of September 1, 2017 (the “Original Indenture”) between the Company and The Bank of New York Mellon Trust Company, N.A., as Trustee (the “Trustee”), as supplemented and as further supplemented by the Second Supplemental Indenture, dated as of May 17,
AEP Texas Inc., a corporation organized under the laws of the State of Delaware (the “Company”), proposes to issue and sell to BNP Paribas Securities Corp. (“BNP Paribas”), Citigroup Global Markets Inc. (“Citigroup”) and MUFG Securities Americas Inc. (“MUFG”) and the other several purchasers named in Schedule A to the Purchase Agreement (as defined below) (collectively, the “Initial Purchasers”), for whom BNP Paribas, Citigroup and MUFG are acting as representatives, upon the terms set forth in a purchase agreement dated May 14, 2018 (the “Purchase Agreement”), U.S. $500,000,000 principal amount of its 3.950% Senior Notes, Series E due 2028 (the “Initial Securities”). The Initial Securities will be issued pursuant to an Indenture, dated as of September 1, 2017 (the “Original Indenture”) between the Company and The Bank of New York Mellon Trust Company, N.A., as Trustee (the “Trustee”), as supplemented and as further supplemented by the Second Supplemental Indenture, dated as of May 17,