ABN AMRO Incorporated Sample Clauses

ABN AMRO Incorporated. Charxxx Xxxwxx & Xo., Inc.................................. Total ............................................. o ========= MATTERS TO BE COVERED IN THE OPINION OF FREEXXXX & XETEXX COUNSEL FOR THE COMPANY
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ABN AMRO Incorporated. Xxxxx Xxxxxxx Inc.............................
ABN AMRO Incorporated. SOUTHWEST SECURITIES, INC.............................................................. TOTAL SCHEDULE B
ABN AMRO Incorporated. Total...................................................... $ ============== SCHEDULE II [Stockholders to be Subject to Lock-up Agreement] [FORM OF LOCK-UP AGREEMENT] EXHIBIT A [LETTERHEAD OF OFFICER, DIRECTOR OR MAJOR SHAREHOLDER OF CORPORATION] XxXxxxxxx & Co. Inc. Public Offering of Common Stock ------------------------------- , 1999 Xxxxxxx Xxxxx Xxxxxx Inc. Xxxxxxxxx, Xxxxxx & Xxxxxxxx ABN AMRO Incorporated As Representatives of the several Underwriters, c/o Xxxxxxx Xxxxx Barney Inc. 000 Xxxxxxxxx Xxxxxx Xxx Xxxx, Xxx Xxxx 00000 Ladies and Gentlemen: This letter is being delivered to you in connection with the proposed Underwriting Agreement (the "UNDERWRITING AGREEMENT"), between XxXxxxxxx & Co. Inc, a Delaware corporation (the "COMPANY"), and each of you as representatives of a group of Underwriters named therein, relating to an underwritten public offering of Common Stock, $0.01 par value (the "COMMON STOCK"), of the Company. In order to induce you and the other Underwriters to enter into the Underwriting Agreement, the undersigned will not, without the prior written consent of Xxxxxxx Xxxxx Barney Inc., offer, sell, contract to sell, pledge or otherwise dispose of, (or enter into any transaction which is designed to, or might reasonably be expected to, result in the disposition (whether by actual disposition or effective economic disposition due to cash settlement or otherwise) by the Company or any affiliate of the Company or any person in privity with the Company or any affiliate of the Company) directly or indirectly, including the filing (or participation in the filing of) a registration statement with the Securities and Exchange Commission in respect of, or establish or increase a put equivalent position or liquidate or decrease a call equivalent position within the meaning of Section 16 of the Securities Exchange Act of 1934, as amended, and the rules and regulations of the Securities and Exchange Commission promulgated thereunder with respect to, any shares of capital stock of the Company or any securities convertible into, or exercisable or exchangeable for such capital stock, or publicly announce an intention to effect any such transaction, for a period of 180 days after the date of this Agreement, other than shares of Common Stock disposed of as bona fide gifts approved by Xxxxxxx Xxxxx Xxxxxx Inc. If for any reason the Underwriting Agreement shall be terminated prior to the Closing Date (as defined in the Underwriting Agreement), the ag...
ABN AMRO Incorporated. Banc of America Securities LLC...............
ABN AMRO Incorporated. Bank of America International Limited........
ABN AMRO Incorporated. 865,565 --------- Total................................................ 8,655,652 ========= SCHEDULE II -----------
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ABN AMRO Incorporated. Total................................................ ============= ANNEX A Xxxx-XxXxx Significant Subsidiaries ----------------------------------- ANNEX B
ABN AMRO Incorporated. Banc of America Securities LLC.................................... Goldxxx, Xxchs & Co............................................... Lehmxx Xxxthers Inc............................................... Merrxxx Xxxch, Pierce, Fennxx & Xmitx Xxxorporated................ Morgxx Xxxnxxx & Xo. Incorporated................................. ---------------------
ABN AMRO Incorporated. By: --------------------------------- Name: Title: EXHIBIT A ABN AMRO BANK N.V. GLOBAL MEDIUM-TERM NOTES, SERIES B NOTES TERMS AGREEMENT _______________, 200_ ABN AMRO Bank N.V. [address] Attention: Re: Euro Distribution Agreement dated _________, 2000 (the "Euro Distribution Agreement") ------------------------------------------------- The undersigned agrees to purchase your Global Medium-Term Notes, Series B, having the following terms: All Notes Fixed Rate Notes Floating Rate Notes -------------------------------- -------------------------------- --------------------------- Principal Amount: Interest Rate: Base Rate: Purchase Price: Applicability of Modified Index Maturity: Payment upon Acceleration: Price to Public: If yes, state issue price: Index Currency: Settlement Date and Time: Amortization Schedule: Spread (Plus or Minus):
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