Settlement Date

Example Definitions of "Settlement Date"
Settlement Date. Has the meaning set forth in the Loan and Collar Agreement.
Settlement Date. For each PRSU, except as otherwise provided in Exhibit A hereto, the date on which such PRSU becomes vested in accordance with the performance condition and vesting date set forth below. To the extent the performance goal for any performance period is not met, the applicable installment of PRSUs shall be forfeited (in whole or in part, as applicable) as of the end of such performance period. For the avoidance of doubt, there shall be no "catch up" in any future performance period to the extent... any portion of an installment for a prior performance period is not earned. View More
Settlement Date. For each RSU, except as otherwise provided in Exhibit A hereto, the date on which such RSU becomes vested in accordance with the vesting schedule set forth below.
Settlement Date. The latest settlement date relating to the Private Exchange Offer
Settlement Date. The initial issuance date of the Securities or, if later, the settlement date relating to the Proposed Exchange Offer
Settlement Date. The date on which the Securities were first issued pursuant to the Indenture.
Settlement Date. November ____________
Settlement Date. The Settlement for sales of the Shares pursuant to Section 3(a) that will occur on the third business day following the date on which such sales are made
Settlement Date. For each Vested Unit, the earliest of (i) the six-month anniversary of the date the Service Condition is satisfied with respect to such Vested Unit (or, at the sole discretion of the Board, at such later date during the same calendar year); (ii) the date the Grantee's Service ceases for any reason and such cessation constitutes a "separation from service" within the meaning of Section 409A of the Code; or (iii) the date of a Change in Control that constitutes a "change in control event" within... the meaning of Section 409A of the Code View More
Settlement Date. Means the third 3rd business day following each Trading Day during the Selling Period on which Shares are sold pursuant to this Agreement, when the Company shall deliver to the Agent the amount of Shares sold on such Trading Day and the Agent shall deliver to the Company the Issuance Price received on such sales.
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