PROVIDENT BANK
S-3/A, 1998-09-15
ASSET-BACKED SECURITIES
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   AS FILED WITH THE SECURITIES AND EXCHANGE COMMISSION ON SEPTEMBER 15, 1998
                                              REGISTRATION NO. 333-62595
    

================================================================================


                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549
   

                               AMENDMENT NO. 1 TO
                       REGISTRATION STATEMENT ON FORM S-3
    

                                      UNDER
                           THE SECURITIES ACT OF 1933
                           --------------------------
                               THE PROVIDENT BANK
             (Exact name of registrant as specified in its charter)

              Ohio                                       31-0412725
(STATE OR OTHER JURISDICTION OF             (I.R.S. EMPLOYER IDENTIFICATION NO.)
 INCORPORATION OR ORGANIZATION)       
                           --------------------------

                             ONE EAST FOURTH STREET
                             CINCINNATI, OHIO 45202
                                 (513) 579-2000
       (ADDRESS, INCLUDING ZIP CODE, AND TELEPHONE NUMBER, INCLUDING AREA
               CODE, OF REGISTRANT'S PRINCIPAL EXECUTIVE OFFICES)
                           --------------------------

                               MARK E. MAGEE, ESQ.
                               THE PROVIDENT BANK
                             ONE EAST FOURTH STREET
                             CINCINNATI, OHIO 45202
                                 (513) 579-2000
       (NAME, ADDRESS, INCLUDING ZIP CODE, AND TELEPHONE NUMBER, INCLUDING
                        AREA CODE, OF AGENT FOR SERVICE)
                           --------------------------

                                WITH A COPY TO:
JAMES R. WHITAKER, ESQ.                           MICHAEL P. BRAUN, ESQ.
KEATING, MUETHING & KLEKAMP, P.L.L.               BROWN & WOOD LLP
1800 PROVIDENT TOWER                              ONE WORLD TRADE CENTER
ONE EAST FOURTH STREET                            NEW YORK, NEW YORK  10048-0557
CINCINNATI, OHIO 45202
                           --------------------------

        APPROXIMATE DATE OF COMMENCEMENT OF PROPOSED SALE TO THE PUBLIC:

             From time to time on or after the effective date of the
          registration statement, as determined by market conditions.
                           --------------------------

     IF THE ONLY  SECURITIES  BEING  REGISTERED  ON THIS FORM ARE BEING  OFFERED
PURSUANT TO DIVIDEND OR INTEREST  REINVESTMENT PLANS, PLEASE CHECK THE FOLLOWING
BOX. |_|
     IF ANY OF THE SECURITIES BEING REGISTERED ON THIS FORM ARE TO BE OFFERED ON
A DELAYED OR CONTINUOUS  BASIS  PURSUANT TO RULE 415 UNDER THE SECURITIES ACT OF
1933, PLEASE CHECK THE FOLLOWING BOX. |X|
     IF THIS FORM IS FILED TO  REGISTER  ADDITIONAL  SECURITIES  FOR AN OFFERING
PURSUANT TO RULE 462(B) UNDER THE SECURITIES ACT, PLEASE CHECK THE FOLLOWING BOX
AND LIST  THE  SECURITIES  ACT  REGISTRATION  STATEMENT  NUMBER  OF THE  EARLIER
EFFECTIVE      REGISTRATION     STATEMENT     FOR     THE     SAME     OFFERING.
|_|________________________
     IF THIS FORM IS A  POST-EFFECTIVE  AMENDMENT  FILED PURSUANT TO RULE 462(C)
UNDER THE  SECURITIES  ACT,  CHECK THE FOLLOWING BOX AND LIST THE SECURITIES ACT
REGISTRATION  STATEMENT NUMBER OF THE EARLIER EFFECTIVE  REGISTRATION  STATEMENT
FOR THE SAME OFFERING.|_|____________
     IF DELIVERY OF THE  PROSPECTUS IS EXPECTED TO BE MADE PURSUANT TO RULE 434,
PLEASE CHECK THE FOLLOWING BOX.|_|

                         CALCULATION OF REGISTRATION FEE

<TABLE>
   

====================================================================================================================
                                               AMOUNT            PROPOSED           PROPOSED         AMOUNT OF
         TITLE OF EACH CLASS OF                 TO BE             MAXIMUM           MAXIMUM         REGISTRATION
       SECURITIES TO BE REGISTERED           REGISTERED       OFFERING PRICE       AGGREGATE            FEE
                                                                PER UNIT(1)    OFFERING PRICE(1)
- --------------------------------------------------------------------------------------------------------------------
<S>                                        <C>                     <C>           <C>                 <C> 
Asset Backed Certificates (2)............  $1,614,873,000          100%          $1,614,873,000      $505,592.54(3)
- --------------------------------------------------------------------------------------------------------------------
Asset Backed Notes (2) ..................     $ 1,000,000          100%             $ 1,000,000         $ 295.00(3)
====================================================================================================================

(1)  Estimated for the purpose of calculating the registration fee.

(2)  $714,873,000 in securities are being carried forward and $210,887.54 of the
     filing fee is associated with the securities  being carried forward and was
     previously paid with the earlier registration statement.
(3)  Previously paid.

     PURSUANT TO RULE 429 OF THE SECURITIES AND EXCHANGE  COMMISSION'S RULES AND
REGULATIONS  UNDER THE  SECURITIES  ACT OF 1933, AS AMENDED,  THE PROSPECTUS AND
PROSPECTUS  SUPPLEMENT CONTAINED IN THIS REGISTRATION  STATEMENT ALSO RELATES TO
REGISTRANT'S  REGISTRATION  STATEMENT NO.  333-45369 AS PREVIOUSLY  FILED BY THE
REGISTRANT ON FORM S-3.
- --------------------------------------------------------------------------------
    

     THE REGISTRANT  HEREBY AMENDS THIS  REGISTRATION  STATEMENT ON SUCH DATE OR
DATES AS MAY BE NECESSARY TO DELAY ITS EFFECTIVE DATE UNTIL THE REGISTRANT SHALL
FILE A FURTHER  AMENDMENT  WHICH  SPECIFICALLY  STATES  THAT  THIS  REGISTRATION
STATEMENT SHALL  THEREAFTER  BECOME EFFECTIVE IN ACCORDANCE WITH SECTION 8(A) OF
THE SECURITIES  ACT OF 1933, OR UNTIL THE  REGISTRATION  STATEMENT  SHALL BECOME
EFFECTIVE ON SUCH DATE AS THE COMMISSION,  ACTING PURSUANT TO SAID SECTION 8(A),
MAY DETERMINE.

</TABLE>


<PAGE>


                                     PART II

                     INFORMATION NOT REQUIRED IN PROSPECTUS

ITEM 14.  OTHER EXPENSES OF ISSUANCE AND DISTRIBUTION*

     The following  table sets forth the estimated  expenses in connection  with
the issuance and  distribution  of the Securities  being  registered  under this
Registration Statement, other than underwriting discounts and commissions:

SEC Registration Fee............................................ $    295,000.00
Printing and Engraving Expenses ................................ $    200,000.00
Legal Fees and Expenses......................................... $    500,000.00
Trustee Fees and Expenses....................................... $     75,000.00
Accounting Fees and Expenses.................................... $    250,000.00
Blue Sky Fees and Expenses...................................... $     15,000.00
Rating Agency Fees.............................................. $    250,000.00
Miscellaneous................................................... $    100,000.00
                                                                 ---------------

Total........................................................... $  1,685,000.00
                                                                 ===============

- ------------
*    All  amounts  except the SEC  Registration  Fee are  estimates  of expenses
     incurred in connection with the issuance and distribution of four Series of
     Securities in an aggregate  principal  amount assumed for these purposes to
     be equal to $1,000,000,000 of Securities registered hereby.

ITEM 15.  INDEMNIFICATION OF DIRECTORS AND OFFICERS.

     The  Registrant's  Code of  Regulations  provides  for  indemnification  of
directors and officers of the Registrant to the fullest extent permitted by law.
In particular,  the Code of  Regulations  provides for  indemnification  for any
person  who  was or is a  party  or is  threatened  to be  made a  party  to any
threatened,  pending or completed  action,  suit or  proceeding,  whether civil,
criminal,  administrative or investigative,  by reason of the fact that he is or
was a  director,  officer,  employee  or agent of the  Registrant,  or is or was
serving at the  request  of the  Registrant  as a  director,  trustee,  officer,
employee or agent of another corporation,  domestic or foreign non-profit or for
profit,  partnership,  joint  venture,  trust  or  other  enterprise;  provided,
however,  that the Registrant  shall indemnify any such agent (as opposed to any
director,  officer or employee)  of the Company to an extent that the  directors
may, in their discretion, so determine.


ITEM 16.  EXHIBITS.

  1.1     Form of Underwriting Agreement.*

  4.1     Form of Pooling and Servicing  Agreement  relating to Home Equity Loan
          Asset Backed Certificates.*

  4.2     Form of Trust Agreement.*

  4.3     Form of Indenture.*

  4.4     Form of Master Servicing Agreement.*

  5.1     Opinion of Keating,  Muething & Klekamp,  P.L.L. as to the legality of
          the Securities.

  8.1     Opinion of Brown & Wood LLP as to certain tax matters.

 23.1     Consent of Brown & Wood LLP (included in Exhibit 8.1 hereof).

 23.2     Consent of Keating,  Muething & Klekamp,  P.L.L.  (included in Exhibit
          5.1).

 24.1     Power of Attorney.

   

- --------------------------
*Incorporated  by reference from the Registrant's  Registration  Statement (File
No. 333-45369).

    

ITEM 17.  UNDERTAKINGS.

     (a) The undersigned Registrant hereby undertakes:

          (1) To file,  during  any  period  in which  offers or sales are being
     made, a post-effective amendment to this Registration Statement;

               (i) To include any prospectus required by Section 10(a)(3) of the
          Securities Act of 1933, as amended (the "Act");

               (ii) To reflect  in the  prospectus  any facts or events  arising
          after the effective date of this  Registration  Statement (or the most
          recent post-effective amendment hereof) which,  individually or in the
          aggregate, represent a fundamental change in the information set forth
          in this Registration  Statement.  Notwithstanding  the foregoing,  any
          increase  or decrease  in volume of  securities  offered (if the total
          dollar  value of  securities  offered  would not exceed that which was
          registered)  and  any  deviation  from  the  low  or  high  and of the
          estimated  maximum  offering  range  may be  reflected  in the form of
          prospectus  filed with the  Commission  pursuant to Rule 424(b) if, in
          the aggregate,  the changes in volume and price represent no more than
          20 percent change in the maximum aggregate offering price set forth in
          the   "Calculation  of  Registration   Fee"  table  in  the  effective
          Registration Statement;

               (iii) To include any  material  information  with  respect to the
          plan of  distribution  not previously  disclosed in this  Registration
          Statement  or  any  material  change  to  such   information  in  this
          Registration Statement;

PROVIDED,  HOWEVER, that paragraphs (a)(1)(i) and (a)(1)(ii) do not apply if the
information  required  to be  included in a  post-effective  amendment  by those
paragraphs  is  contained  in periodic  reports  filed with or  furnished to the
Commission by the  Registrant  pursuant to Section 13 or 15(d) of the Securities
Exchange Act of 1934 that are  incorporated  by  reference in this  Registration
Statement.

          (2) That, for the purpose of determining  any liability under the Act,
     each such post-effective amendment shall be deemed to be a new registration
     statement relating to the securities  offered therein,  and the offering of
     such  securities  at that time shall be deemed to be the initial  BONA FIDE
     offering thereof.

          (3) To remove from registration by means of a post-effective amendment
     any  of  the  securities  being  registered  which  remain  unsold  at  the
     termination of the offering.

     (b) The  undersigned  Registrant  hereby  undertakes  that, for purposes of
determining  any  liability  under the Act, each filing of a Trust Fund's annual
report pursuant to Section 13(a) or Section 15(d) of the Securities Exchange Act
of 1934 that is incorporated by reference in this  Registration  Statement shall
be deemed to be a new registration  statement relating to the securities offered
therein,  and the offering of such securities at that time shall be deemed to be
the initial BONA FIDE offering thereof.

     (c) Insofar as indemnification for liabilities arising under the Act may be
permitted to  directors,  officers  and  controlling  persons of the  Registrant
pursuant to the foregoing  provisions,  or otherwise,  the  Registrant  has been
advised  that in the opinion of the  Securities  and  Exchange  Commission  such
indemnification  is  against  public  policy  as  expressed  in the  Act and is,
therefore,  unenforceable. In the event that a claim for indemnification against
such liabilities  (other than the payment by the Registrant of expenses incurred
or paid by a director,  officer or  controlling  person of the Registrant in the
successful  defense of any  action,  suit or  proceeding)  is  asserted  by such
director,  officer or controlling person in connection with the securities being
registered, the Registrant will, unless in the opinion of its counsel the matter
has been  settled by  controlling  precedent,  submit to a court of  appropriate
jurisdiction the question whether such  indemnification  by it is against public
policy as expressed in the Act and will be governed by the final adjudication of
such issue.

     (d) The undersigned Registrant hereby undertakes to file an application for
the  purpose  of  determining  the  eligibility  of the  trustee  to  act  under
subsection  (a) of Section 310 of the Trust  Indenture Act of 1939 in accordance
with the  rules and  regulations  prescribed  by the  Commission  under  Section
305(b)(2) of the Trust Indenture Act of 1939.


<PAGE>

   

                                   SIGNATURES

     Pursuant to the requirements of the Securities Act of 1933, as amended, the
Registrant certifies that it has reasonable grounds to believe that it meets all
of the  requirements  for filing on Form S-3 and has duly caused this  Amendment
No.  1 to  the  Registration  Statement  to be  signed  on  its  behalf  by  the
undersigned,  thereunto duly authorized, in Cincinnati,  Ohio on the 14th day of
September, 1998.

                                 THE PROVIDENT BANK

                                 By: /s/ Kevin M. Shea
                                     -----------------
                                 Name:  Kevin M. Shea
                                        Vice President


     Pursuant to the  requirements  of the  Securities  Act of 1933, as amended,
this  Amendment  No. 1 to the  Registration  Statement  has been  signed  by the
following persons in the capacities and on the dates indicated.

<TABLE>

             SIGNATURES                            TITLE                                                DATE
             ----------                            -----                                                ----

<S>                                         <C>                                                  <C> 

/s/ Robert L. Hoverson*                     President                                            September __, 1998
- -------------------------                   (Principal Executive Officer)
Robert L. Hoverson                          and Director

/s/ John R. Farrenkopf*                     Senior Vice President and Chief                      September __, 1998
- -------------------------                   Financial Officer (Principal
John R. Farrenkopf                          Accounting Officer)

/s/ Jack M. Cook*                           Director                                             September __, 1998
- ------------------------
Jack M. Cook

- ------------------------                    Director
Allen L. Davis

/s/ Thomas D. Grote Jr.*                    Director                                             September __, 1998
- ------------------------
Thomas D. Grote, Jr.

/s/ Joseph A. Steger*                       Director                                             September __, 1998
- -----------------------
Joseph A. Steger

/s/ Philip R. Myers*                        Director                                             September __, 1998
- -----------------------
Philip R. Myers

/s/ Joseph A. Pedoto*                       Director                                             September __, 1998
- -----------------------
Joseph A. Pedoto

/s/ Sidney A. Peerless*                     Director                                             September __, 1998
- -----------------------
Sidney A. Peerless






*  By:  /s/ Mark E. Magee                                                                        September 14, 1998
       -------------------
         Attorney-in-Fact, pursuant to
              Power of Attorney
    

</TABLE>



<PAGE>



                                  EXHIBIT INDEX

<TABLE>

                                                                                                     SEQUENTIAL
EXHIBIT                                                                                                 PAGE
  NO.                            DESCRIPTION OF EXHIBIT                                                NUMBER
- -------                          ----------------------                                              ----------

<S>                        <C>                                                                       <C> 

  1.1             --       Form of Underwriting Agreement.*

  4.1             --       Form of Pooling and Servicing Agreement relating
                           to Home Equity Loan Asset Backed Certificates.*

  4.2             --       Form of Trust Agreement.*

  4.3             --       Form of Indenture.*

  4.4             --       Form of Master Servicing Agreement.*

  5.1             --       Opinion of Keating, Muething & Klekamp, P.L.L.
                           as to the legality of the Securities.

  8.1             --       Opinion of Brown & Wood LLP as to certain tax
                           matters.

 23.1             --       Consent of Brown & Wood LLP (included in Exhibit
                           8.1).

 23.2             --       Consent of Keating, Muething & Klekamp, P.L.L.
                           (included in Exhibit 5.1).

 24.1             --       Power of Attorney (included on page II-3).

- ------------
   

*Incorporated by reference from the Registrant's Registration Statement (File No. 333-45369).
    

</TABLE>



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