EX-25.1 6 d548768dex251.htm EX-25.1 EX-25.1

Exhibit 25.1

 

 

 

UNITED STATES

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)

 

 

DEUTSCHE BANK TRUST COMPANY AMERICAS

(formerly BANKERS TRUST COMPANY)

(Exact name of trustee as specified in its charter)

 

 

 

NEW YORK   13-4941247

(Jurisdiction of Incorporation or

organization if not a U.S. national bank)

 

(I.R.S. Employer

Identification no.)

60 WALL STREET

NEW YORK, NEW YORK

  10005

(Address of principal

executive offices)

  (Zip Code)

Deutsche Bank Trust Company Americas

Attention: Lynne Malina

Legal Department

60 Wall Street, 37th Floor

New York, New York 10005

(212) 250 – 0677

(Name, address and telephone number of agent for service)

 

 

T-MOBILE USA, INC. *

(Exact name of obligor as specified in its charter)

 

 

 

DELAWARE   91-1983600

(State or other jurisdiction

of incorporation or organization)

  (IRS Employer Identification No.)

12920 SE 38th Street

Bellevue, Washington 98006

Tel. No.: (425) 378-4000

(Address and telephone number of Registrant’s principal executive offices)

 

 

6.464% Senior Notes due 2019 of T-Mobile USA, Inc.

Senior Reset Notes due 2019 of T-Mobile USA, Inc.

6.542% Senior Notes due 2020 of T-Mobile USA, Inc.

Senior Reset Notes due 2020 of T-Mobile USA, Inc.

6.633% Senior Notes due 2021 of T-Mobile USA, Inc.

Senior Reset Notes due 2021 of T-Mobile USA, Inc.

6.731% Senior Notes due 2022 of T-Mobile USA, Inc.

Senior Reset Notes due 2022 of T-Mobile USA, Inc.

6.836% Senior Notes due 2023 of T-Mobile USA, Inc.

Senior Reset Notes due 2023 of T-Mobile USA, Inc.

Guarantees

(Title of the Indenture securities)

 

 

 


* TABLE OF ADDITIONAL REGISTRANT GUARANTORS

 

Exact name of registrant as specified in its charter (1)

   State or other jurisdiction
of incorporation or
organization
     I.R.S. Employer
Identification
Number
 

T-Mobile US, Inc.

     Delaware         20-0836269   

Cook Inlet/VS GSM IV PCS Holdings, LLC

     Delaware         92-0173671   

GSV LLC

     Delaware         91-2116910   

Powertel Memphis Licenses, Inc.

     Delaware         58-2228915   

Powertel/Memphis, Inc.

     Delaware         58-2228912   

SunCom Wireless Holdings, Inc.

     Delaware         23-2974475   

SunCom Wireless Investment Company LLC

     Delaware         30-0283150   

SunCom Wireless License Company, LLC

     Delaware         75-3172489   

SunCom Wireless Management Company, Inc.

     Delaware         23-2940271   

SunCom Wireless Operating Company, L.L.C.

     Delaware         23-2974309   

SunCom Wireless Property Company, L.L.C.

     Delaware         43-2065344   

SunCom Wireless, Inc.

     Delaware         23-2930873   

T-Mobile Central LLC

     Delaware         91-1973799   

T-Mobile License LLC

     Delaware         91-1917328   

T-Mobile Northeast LLC

     Delaware         52-2069434   

T-Mobile PCS Holdings LLC

     Delaware         91-2159335   

T-Mobile Puerto Rico Holdings LLC

     Delaware         20-2209577   

T-Mobile Puerto Rico LLC

     Delaware         66-0649631   

T-Mobile Resources Corporation

     Delaware         91-1909782   

T-Mobile South LLC

     Delaware         20-3945483   

T-Mobile Subsidiary IV Corporation

     Delaware         91-2116909   

T-Mobile West LLC

     Delaware         36-4027581   

Triton PCS Finance Company, Inc.

     Delaware         51-0393831   

Triton PCS Holdings Company L.L.C.

     Delaware         23-2941874   

VoiceStream PCS I Iowa Corporation

     Delaware         91-1869520   

VoiceStream Pittsburgh General Partner, Inc.

     Delaware         36-3875668   

VoiceStream Pittsburgh, L.P.

     Delaware         16-1442506   

MetroPCS AWS, LLC

     Delaware         20-4798776   

MetroPCS California, LLC

     Delaware         68-0618381   

MetroPCS Florida, LLC

     Delaware         68-0618383   

MetroPCS Georgia, LLC

     Delaware         68-0618386   

MetroPCS Massachusetts, LLC

     Delaware         20-8303630   

MetroPCS Michigan, Inc.

     Delaware         20-2509038   

MetroPCS Nevada, LLC

     Delaware         20-8303430   

MetroPCS New York, LLC

     Delaware         20-8303519   

MetroPCS Pennsylvania, LLC

     Delaware         20-8303570   

MetroPCS Texas, LLC

     Delaware         20-2508993   

MetroPCS 700 MHz, LLC

     Delaware         26-1540382   

MetroPCS Networks, LLC

     Delaware         33-1105693   

MetroPCS Networks California, LLC

     Delaware         20-4956821   

MetroPCS Networks Florida, LLC

     Delaware         20-4957100   

 

(1) The address of each guarantor is 12920 SE 38th Street, Bellevue, Washington 98006, and the telephone number is (425) 378-4000.


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.

 

Name

  

Address

Federal Reserve Bank (2nd District)

Federal Deposit Insurance Corporation

New York State Banking Department

  

New York, NY

Washington, D.C.

Albany, NY

 

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

Yes.

 

Item 2. Affiliations with Obligor.

If the obligor is an affiliate of the Trustee, describe each such affiliation.

None.

 

Item 3.-15. Not Applicable

 

Item 16. List of Exhibits.

 

Exhibit 1 -

  Restated Organization Certificate of Bankers Trust Company dated August 6, 1998, Certificate of Amendment of the Organization Certificate of Bankers Trust Company dated September 25, 1998, Certificate of Amendment of the Organization Certificate of Bankers Trust Company dated December 16, 1998, and Certificate of Amendment of the Organization Certificate of Bankers Trust Company dated February 27, 2002 - Incorporated herein by reference to Exhibit 1 filed with Form T-1 Statement, Registration No. 333-157637-01.

Exhibit 2 -

  Certificate of Authority to commence business - Incorporated herein by reference to Exhibit 2 filed with Form T-1 Statement, Registration No. 333-157637-01.

Exhibit 3 -

  Authorization of the Trustee to exercise corporate trust powers - Incorporated herein by reference to Exhibit 3 filed with Form T-1 Statement, Registration No. 333-157637-01.

Exhibit 4 -

  Existing By-Laws of Deutsche Bank Trust Company Americas, as amended on April 15, 2002 business - Incorporated herein by reference to Exhibit 4 filed with Form T-1 Statement, Registration No. 333-157637-01.

Exhibit 5 -

  Not applicable.

Exhibit 6 -

  Consent of Bankers Trust Company required by Section 321(b) of the Act. - business - Incorporated herein by reference to Exhibit 6 filed with Form T-1 Statement, Registration No. 333-157637-01.

Exhibit 7 -

  The latest report of condition of Deutsche Bank Trust Company Americas dated as of March 31, 2013. Copy attached.

Exhibit 8 -

  Not Applicable.

Exhibit 9 -

  Not Applicable.


SIGNATURE

Pursuant to the requirements of the Trust Indenture Act of 1939, as amended, the trustee, Deutsche Bank Trust Company Americas, a corporation organized and existing under the laws of the State of New York, has duly caused this statement of eligibility to be signed on its behalf by the undersigned, thereunto duly authorized, all in The City of New York, and State of New York, on this 29th day of May, 2013.

 

DEUTSCHE BANK TRUST COMPANY AMERICAS

            By:  

 /s/ CAROL NG

        CAROL NG
        VICE PRESIDENT


DEUTSCHE BANK TRUST COMPANY AMERICAS

                      FFIEC 031
Legal Title of Bank                       Page 16 of 72

NEW YORK

                      RC-1
City     
NY   10005     
State   Zip Code     
FDIC Certificate Number: 00623     

Consolidated Report of Condition for Insured Banks

and Savings Associations for March 31, 2013

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

Schedule RC—Balance Sheet

 

Dollar Amounts in Thousands                  RCFD      Tril | Bil | Mil | Thou         

Assets

  

          

1. Cash and balances due from depository institutions (from Schedule RC-A):

                          

a. Noninterest-bearing balances and currency and coin (1)

           0081         117,000         1.a   

b. Interest-bearing balances (2)

           0071         14,872,000         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         38,000         2.b   

3. Federal funds sold and securities purchased under agreements to resell:

           RCON           

a. Federal funds sold in domestic offices

           B987         114,000         3.a   
           RCFD               

b. Securities purchased under agreements to resell (3)

           B989         12,106,000         3.b   

4. Loans and lease financing receivables (from Schedule RC-C):

                

a. Loans and leases held for sale

           5369         0         4.a   

b. Loans and leases, net of unearned income

     B528         22,920,000                 4.b   

c. LESS: Allowance for loan and lease losses

     3123         59,000                           4.c   

d. Loans and leases, net of unearned income and allowance (item 4.b minus 4.c)

           B529         22,861,000         4.d   

5. Trading assets (from Schedule RC-D)

           3545         3,591,000         5      

6. Premises and fixed assets (including capitalized leases)

           2145         57,000         6      

7. Other real estate owned (from Schedule RC-M)

           2150         3,000         7      

8. Investments in unconsolidated subsidiaries and associated companies

           2130         0         8      

9. Direct and indirect investments in real estate ventures

           3656         0         9      

10. Intangible assets:

                

a. Goodwill

           3163         0         10.a   

b. Other intangible assets (from Schedule RC-M)

           0426         51,000         10.b   

11. Other assets (from Schedule RC-F)

           2160         5,449,000         11      

12. Total assets (sum of items 1 through 11)

           2170         59,259,000         12      

 

(1) Includes cash items in process of collection and unposted debits.
(2) Includes time certificates of deposit not held for trading.
(3) Includes all securities resale agreements in domestic and foreign offices, regardless of maturity.


DEUTSCHE BANK TRUST COMPANY AMERICAS

   FFIEC 031

Legal Title of Bank

   Page 16a of 72

FDIC Certificate Number: 00623

   RC-1a

 

Schedule RC—Continued

 

Dollar Amounts in Thousands                          Tril | Bil | Mil | Thou       

Liabilities

                

13. Deposits:

           RCON           

a. In domestic offices (sum of totals of columns A and C from Schedule RC-E, part I)

           2200         26,319,000       13.a

(1) Noninterest-bearing (1)

     6631         19,022,000               13.a.1

(2) Interest-bearing

     6636         7,297,000                     13.a.2

b. In foreign offices, Edge and Agreement subsidiaries, and IBFs

           RCFN               

(from Schedule RC-E, part II)

           2200         12,242,000       13.b

(1) Noninterest-bearing

     6631         8,538,000               13.b.1

(2) Interest-bearing

     6636         3,704,000               13.b.2

14. Federal funds purchased and securities sold under agreements to repurchase:

           RCON           

a. Federal funds purchased in domestic offices (2)

           B993         8,306,000       14.a
           RCFD               

b. Securities sold under agreements to repurchase (3)

           B995         0       14.b

15. Trading liabilities (from Schedule RC-D)

           3548         118,000       15

16. Other borrowed money (includes mortgage indebtedness and obligations under capitalized leases) (from Schedule RC-M)

           3190         1,268,000       16

17. and 18. Not applicable

                          

19. Subordinated notes and debentures (4)

           3200         0       19

20. Other liabilities (from Schedule RC-G)

           2930         2,011,000       20

21. Total liabilities (sum of items 13 through 20)

           2948         50,264,000       21

22. Not applicable

                          

 

(1) Includes noninterest-bearing demand, time, and savings deposits.
(2) Report overnight Federal Home Loan Bank advances in Schedule RC, item 16, “Other borrowed money.”
(3) Includes all securities repurchase agreements in domestic and foreign offices, regardless of maturity.
(4) Includes limited-life preferred stock and related surplus.


DEUTSCHE BANK TRUST COMPANY AMERICAS

   FFIEC 031

Legal Title of Bank

   Page 17 of 72

FDIC Certificate Number: 00623

   RC-2

 

Equity Capital

 

Bank Equity Captal

     RCFD         Tril | Bil | Mil | Thou      

23. Perpetual preferred stock and related surplus

     3838         0       23

24. Common stock

     3230         2,127,000       24

25. Surplus (excludes all surplus related to preferred stock)

     3839         594,000       25

26. a. Retained earnings

     3632         6,005,000       26.a

b. Accumulated other comprehensive income (5)

     B530         34,000       26.b

c. Other equity capital components (6)

     A130         0       26.c

27. a. Total bank equity capital (sum of items 23 through 26.c)

     3210         8,760,000       27.a

b. Noncontrolling (minority) interests in consolidated subsidiaries

     3000         235,000       27.b

28. Total equity capital (sum of items 27.a and 27.b)

     G105         8,995,000       28

29. Total liabilities and equity capital (sum of items 21 and 28)

     3300         59,259,000       29

Memoranda

To be reported with the March Report of Condition.

 

1. Indicate in the box at the right the number of the statement below that best describes the most comprehensive level of auditing work performed for the bank by independent external auditors as of any date during 2012

     RCFD         Number      
     6724         1       M.1

 

1 =   Independent audit of the bank conducted in accordance with generally accepted auditing standards by a certified public accounting firm which submits a report on the bank

  

4 =   Directors’ examination of the bank conducted in accordance with generally accepted auditing standards by a certified public accounting firm (may be required by state chartering authority)

2 =   Independent audit of the bank’s parent holding company conducted in accordance with generally accepted auditing standards by a certified public accounting firm which submits a report on the consolidated holding company (but not on the bank separately)

  

5 =   Directors’ examination of the bank performed by other external auditors (may be required by state chartering authority)

  

6 =   Review of the bank’s financial statements by external auditors

  

7 =   Compilation of the bank’s financial statements by external auditors

3 =   Attestation on bank management’s assertion on the effectiveness of the bank’s internal control over financial reporting by a certified public accounting firm.

  

8 =   Other audit procedures (excluding tax preparation work)

  

9 =   No external audit work

 

To be reported with the March Report of Condition.

2. Bank’s fiscal year-end date

     RCON         MM / DD      
     8678         12/31         M.2   

 

(5) Includes, but is not limited to, net unrealized holding gains (losses) on available-for-sale securities, accumulated net gains (losses) on cash flow hedges, cumulative foreign currency translation adjustments, and accumulated defined benefit pension and other post retirement plan adjustments.
(6) Includes treasury stock and unearned Employee Stock Ownership Plan shares.