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accordance with this paragraph shall constitute an Administrative Claim in the Chapter 1 1 Case and shall be payable as <br /> incurred from funds held by the Disbursing Agent for distributions under this Plan. <br /> B. Distributions to Holders of Debt Securities Claims <br /> 1. Distributions to Indenture Trustees <br /> Notwithstanding any other provision hereof,the Disbursing Agent shall make all distributions otherwise payable to each <br /> holder of a Debt Securities Claim to the appropriate Indenture Trustee,who shall make distributions in accordance with the <br /> provisions of this Plan and the respective goveming indenture. <br /> 2. Surrender of Securities or Instruments <br /> On or before the Distribution Date,or as soon as practicable thereafter,each holder of an instrument evidencing a Debt <br /> Securities Claim(a "Certificate")shall surrender the Certificate to the Disbursing Agent or,with respect to indebtedness that <br /> is govemed by an indenture,to the respective Indenture Trustee,and the Certificate shall be cancelled. No holder of a Debt <br /> Securities Claim shall receive any distribution under the Plan until the respective Indenture Trustee has received either the <br /> holder's Certificate or a reasonably satisfactory affidavit of loss and indemnity. Any holder who fails to surrender or cause to <br /> be surrendered its Certificate or to deliver a reasonably satisfactory affidavit of loss and indemnity to the Disbursing Agent or <br /> the Indenture Trustee before the second anniversary of the Effective Date shall forfeit all rights and Claims in respect of its <br /> Debt Securities Claim and shall not participate in any distribution hereunder. All Cash or other proper in respect of such <br /> forfeited distribution,including interest accrued thereon,shall revert to the Reorganized Debtors for distribution by the <br /> Disbursing Agent in accordance with the Plan,notwithstanding any federal or state escheat laws to the contrary. <br /> 3. Distribution Record Date <br /> At the close of business on the Distribution Record Date, the transfer ledgers for the Debt Securities shall be closed, and <br /> there shall be no further changes in the record holders of the Debt Securities. Neither the Reorganized Debtors,the <br /> Disbursing Agent,nor any Indenture Trustee shall be obligated to recognize any transfer of Debt Securities occumng after the <br /> Distribution Record Date,but shall be entitled instead to recognize and deal for all purposes hereunder with only the record <br /> holders identified on the transfer ledgers as of the close of business on the Distribution Record Date. <br /> C. Means of Cash Payment <br /> Cash payments under this Plan shall be made, in the Disbursing Agent's sole discretion,by checks drawn on or wire <br /> transfer from a domestic bank selected by the Disbursing Agent. If so requested, in a writing received by the Disbursing <br /> Agent not later than five Business Days after the Confirmation Date,Cash payments under the Plan of S1,000.000 or more <br /> shall be made by wire transfer. Distributions to foreign creditors may be made,at the Disbursing Agent's option, in such <br /> funds and by such means as are necessary or customary in a particular foreign jurisdiction. <br /> D. Delivery of Distributions; Undeliverable or Unclaimed Distributions <br /> 1. Delivery of Distributions in General <br /> The Disbursing Agent or the appropriate Indenture Trustee shall make distributions to each holder of an Allowed Claim <br /> (a)at the address on any proof of Claim filed by the holder(or at the holder's last known address,if no proof of Claim is <br /> filed),(b)at the address in any written notice of address change delivered to the Reorganized Debtors or the Disbursing <br /> Agent.(c)at the address reflected in the Schedules, if no proof of Claim has been filed and the Reorganized Debtors or the <br /> Disbursing Agent have not received a written notice of a change of address,or(d)in the case of the holder of a Claim that is <br /> govemed by an indenture and is administered by an Indenture Trustee,at the address(i) in the Indenture Trustee's official <br /> records,or(ii)set forth in a properly completed letter of transmittal accompanying a Certificate properly remitted in <br /> accordance with Section B of this Article V. <br /> PLAN-19 <br />