ERP OPERATING LTD PARTNERSHIP
S-3, EX-25, 2000-08-25
REAL ESTATE INVESTMENT TRUSTS
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                                                                      EXHIBIT 25


                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549


                                    FORM T-1

                            STATEMENT OF ELIGIBILITY
                      UNDER THE TRUST INDENTURE ACT OF 1939
                  OF A CORPORATION DESIGNATED TO ACT AS TRUSTEE

                CHECK IF AN APPLICATION TO DETERMINE ELIGIBILITY
                  OF A TRUSTEE PURSUANT TO SECTION 305(b)(2) __



                  BANK ONE TRUST COMPANY, NATIONAL ASSOCIATION
               (Exact name of trustee as specified in its charter)

     A National Banking Association                   31-0838515
                                        (I.R.S. employer identification number)

  100 East Broad Street, Columbus Ohio                43271-0181
(Address of principal executive offices)              (Zip Code)

                  Bank One Trust Company, National Association
                        1 Bank One Plaza, Suite IL1-0126
                          Chicago, Illinois 60670-0126
             Attn: Sandra L. Caruba, Vice President, (312) 336-9436
            (Name, address and telephone number of agent for service)


                               ------------------
                        ERP OPERATING LIMITED PARTNERSHIP
               (Exact name of obligor as specified in its charter)



                Illinois                                      36-3894853
     (State or other jurisdiction of                       (I.R.S. employer
     incorporation or organization)                     identification number)

  Two North Riverside Plaza, Suite 400
            Chicago, Illinois                                   60606
(Address of principal executive offices)                      (Zip Code)


                                 Debt Securities
                         (Title of Indenture Securities)


Item 1.           GENERAL INFORMATION.  Furnish the following
                  information as to the trustee:

                  (a)      Name and address of each examining or
                  supervising authority to which it is subject.

                  Comptroller of Currency, Washington, D.C.; Federal Deposit
                  Insurance Corporation, Washington, D.C.; The Board of
                  Governors of the Federal Reserve System, Washington D.C.


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                  (b) Whether it is authorized to exercise corporate trust
                  powers.

                  The trustee is authorized to exercise corporate trust powers.

Item 2.           AFFILIATIONS WITH THE OBLIGOR.  If the obligor
                  is an affiliate of the trustee, describe each
                  such affiliation.

                  No such affiliation exists with the trustee.


Item 16.          LIST OF EXHIBITS.   List below all exhibits filed as a
                  part of this Statement of Eligibility.

                  1.  A copy of the articles of association of the
                      trustee now in effect.*

                  2.  A copy of the certificate of authority of the trustee to
                      commence business.*

                  3.  A copy of the authorization of the trustee to exercise
                      corporate trust powers.*

                  4. A copy of the existing by-laws of the trustee.*

                  5.  Not Applicable.

                  6.  The consent of the trustee required by Section 321(b) of
                      the Act.


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                  7.  A copy of the latest report of condition of the trustee
                      published pursuant to law or the requirements of its
                      supervising or examining authority.

                  8.  Not Applicable.

                  9.  Not Applicable.


         Pursuant to the requirements of the Trust Indenture Act of 1939, as
         amended, the trustee, Bank One Trust Company, National Association, a
         national banking association organized and existing under the laws of
         the United States of America, has duly caused this Statement of
         Eligibility to be signed on its behalf by the undersigned, thereunto
         duly authorized, all in the City of Chicago and State of Illinois, on
         the 18th day of August, 2000.


                      Bank One Trust Company, National Association,
                      Trustee

                      By  /s/ Sandra L. Caruba
                          --------------------
                           Sandra L. Caruba
                           Vice President


*Exhibits 1, 2, 3, and 4 are herein incorporated by reference to Exhibits
bearing identical numbers in Item 16 of the Form T-1 of Bank One Trust Company,
National Association, filed as Exhibit 25 to the Registration Statement on Form
S-4 of U S WEST Communications, Inc., filed with the Securities and Exchange
Commission on March 24, 2000 (Registration No. 333-32124).


<PAGE>

                                    EXHIBIT 6



                       THE CONSENT OF THE TRUSTEE REQUIRED
                          BY SECTION 321(b) OF THE ACT


                                                      August 18, 2000


Securities and Exchange Commission
Washington, D.C.  20549

Ladies and Gentlemen:

In connection with the qualification of an indenture between ERP Operating
Limited Partnership and Bank One Trust Company, National Association, as
Trustee, the undersigned, in accordance with Section 321(b) of the Trust
Indenture Act of 1939, as amended, hereby consents that the reports of
examinations of the undersigned, made by Federal or State authorities authorized
to make such examinations, may be furnished by such authorities to the
Securities and Exchange Commission upon its request therefor.


                                    Very truly yours,

                                    Bank One Trust Company, National Association



                                    By: /s/ Sandra L. Caruba
                                        -------------------------
                                            Sandra L. Caruba
                                            Vice President


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                                    EXHIBIT 7

<TABLE>
<S>                        <C>                                <C>                       <C>                 <C>
Legal Title of Bank:       Bank One Trust Company, N.A.       Call Date: 03/31/00       State #:  391581    FFIEC 032
Address:                   100 Broad Street                   Vendor ID:  D             Cert #:  21377      Page RC-1
City, State  Zip:          Columbus, OH 43271                 Transit #:  04400003
</TABLE>

Consolidated Report of Condition for Insured Commercial
and State-Chartered Savings Banks for March 31, 2000

All schedules are to be reported in thousands of dollars. Unless otherwise
indicated, report the amount outstanding of the last business day of the
quarter.

Schedule RC--Balance Sheet

<TABLE>
<CAPTION>
                                                                                           Dollar Amounts in thousands C300

<S>                                                                                        <C>           <C>          <C>
ASSETS
1.  Cash and balances due from depository institutions (from Schedule
    RC-A):                                                                                 RCON
                                                                                           ----
    a. Noninterest-bearing balances and currency and coin(1)                               0081          48,450       1.a
    b. Interest-bearing balances(2)............................................            0071          17,750       1.b
2.     Securities
    a. Held-to-maturity securities(from Schedule RC-B, column A)...............            1754               0       2.a
    b. Available-for-sale securities (from Schedule RC-B, column D)............            1773           5,714       2.b
3.  Federal funds sold and securities purchased under agreements to
    resell.....................................................................            1350         396,644       3.
4. Loans and lease financing receivables:
    a. Loans and leases, net of unearned income (from Schedule                             RCON
                                                                                           ----
    RC-C)......................................................................            2122          87,817      4.a
    b. LESS: Allowance for loan and lease losses...............................            3123             10       4.b
    c. LESS: Allocated transfer risk reserve...................................            3128              0       4.c
    d. Loans and leases, net of unearned income, allowance, and                            RCON
                                                                                           ----
    reserve (item 4.a minus 4.b and 4.c).......................................            2125         87,807       4.d
5.  Trading assets (from Schedule RD-D)........................................            3545              0       5.
6.  Premises and fixed assets (including capitalized leases)...................            2145         25,200       6.
7.  Other real estate owned (from Schedule RC-M)...............................            2150              0       7.
8.  Investments in unconsolidated subsidiaries and associated
    companies (from Schedule RC-M).............................................            2130              0       8.
9.  Customers' liability to this bank on acceptances outstanding                           2155              0       9.
10. Intangible assets (from Schedule RC-M).....................................            2143         26,345      10.
11. Other assets (from Schedule RC-F)..........................................            2160        176,297      11.
12. Total assets (sum of items 1 through 11)...................................            2170        784,207      12.
</TABLE>

(1) Includes cash items in process of collection and unposted debits. (2)
Includes time certificates of deposit not held for trading.


<PAGE>

<TABLE>
<S><C>
Legal Title of Bank:    Bank One Trust Company, N.A.       Call Date:  03/31/00      State #:  391581    FFIEC 032
Address:                100 East Broad Street              Vendor ID:  D             Cert #"  21377      Page RC-2
City, State  Zip:       Columbus, OH 43271                 Transit #:  04400003
</TABLE>

<TABLE>
<CAPTION>

Schedule RC-Continued
                                                                                                 Dollar Amounts in
                                                                                                   THOUSANDS
<S>                                                                                              <C>
LIABILITIES
13. Deposits:
    a. In domestic offices (sum of totals of columns A and C                                     RCON
                                                                                                 ----
       from Schedule RC-E, part 1)...........................................                    2200     567,764   13.a
       (1) Noninterest-bearing(1)............................................                    6631     506,455   13.a1
(2)    Interest-bearing......................................................                    6636      61,309   13.a2

    b. In foreign offices, Edge and Agreement subsidiaries, and
       IBFs (from Schedule RC-E, part II)....................................
       (1) Noninterest bearing...............................................
       (2) Interest-bearing..................................................
14. Federal funds purchased and securities sold under agreements
    to repurchase:                                                                               RCFD 2800      0   14
15. a. Demand notes issued to the U.S. Treasury                                                  RCON 2840      0   15.a
    b. Trading Liabilities(from Schedule RC-D)...............................                    RCFD 35480         15.b

16. Other borrowed money:                                                                        RCON
                                                                                                 ----
    a. With original maturity of one year or less............................                    2332           0   16.a
    b. With original  maturity of more than one year.........................                    A547           0   16.b
    c.  With original maturity of more than three years......................                    A548           0   16.c

17. Not applicable
18. Bank's liability on acceptance executed and outstanding                                      2920           0   18.
19. Subordinated notes and debentures........................................                    3200           0   19.
20. Other liabilities (from Schedule RC-G)...................................                    2930      83,885   20.
21. Total liabilities (sum of items 13 through 20)...........................                    2948     651,649   21.
22. Not applicable
EQUITY CAPITAL
23. Perpetual preferred stock and related surplus............................                    3838           0  23.
24. Common stock.............................................................                    3230         800  24.
25. Surplus (exclude all surplus related to preferred stock).................                    3839      45,157  25.
26. a. Undivided profits and capital reserves................................                    3632      86,585  26.a
    b. Net unrealized holding gains (losses) on available-for-sale
       securities............................................................                    8434          16  26.b
    c. Accumulated net gains (losses) on cash flow hedges....................                    4336           0  26.c
27. Cumulative foreign currency translation adjustments......................
28. Total equity capital (sum of items 23 through 27)........................                    3210     132,558  28.
29. Total liabilities, limited-life preferred stock, and equity
    capital (sum of items 21, 22, and 28)....................................                    3300     784,207  29.
</TABLE>

Memorandum
To be reported only with the March Report of Condition.

<TABLE>
<S><C>
1. Indicate in the box at the right the number of the statement below that
   best describes the most comprehensive level of auditing (N/A) work
   performed for the bank by independent external auditors as of any date
   during 1996..............................................................................RCFD 6724....... Number M.1

1 =  Independent audit of the bank conducted in accordance         4. =  Directors' examination of the bank performed by other
     with generally accepted auditing standards by a certified           external  auditors (may be required by state chartering
     public accounting firm which submits a report on the bank           authority)


<PAGE>

2 = Independent audit of the bank's parent holding company         5 =  Review of the bank's financial statements by external
     conducted in accordance with generally accepted auditing           auditors
     standards by a certified public accounting firm which         6 =  Compilation of the bank's financial statements by
     submits a report on the consolidated holding company               external auditors
            (but not on the bank separately)                       7 =  Other audit procedures (excluding tax preparation work)

3 =  Directors' examination of the bank conducted in               8 =  No external audit work
     accordance with generally accepted auditing standards
     by a certified public accounting firm (may be required by
     state chartering authority)

(1) Includes total demand deposits and noninterest-bearing time and savings
deposits.
</TABLE>


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