Accounts with Financial Institutions. Section 3.1(v) of the Disclosure Schedule sets forth a list of all safe deposit boxes, active bank accounts and other time or demand deposits of each of the Transferred Companies, including any brokerage and custodial accounts for securities owned by each of the Transferred Companies, together with the names and addresses of the applicable financial institution or other depository, the account number, and the identities of all Persons authorized to draw thereon or who have access thereto.
Appears in 2 contracts
Samples: Stock Purchase Agreement (Atlas Financial Holdings, Inc.), Stock Purchase Agreement (Atlas Financial Holdings, Inc.)
Accounts with Financial Institutions. Section 3.1(v4.1 (ee) of the Disclosure Schedule sets forth a list of all safe deposit boxes, active bank accounts and other time or demand deposits of each of the Transferred Companies, including any brokerage and custodial accounts for securities owned by each of the Transferred CompaniesCompany, together with the names and addresses of the applicable financial institution or other depository, the account number, number and the identities names of all Persons persons authorized to draw thereon or who have access thereto.
Appears in 2 contracts
Samples: Merger Agreement (Centris Group Inc), Merger Agreement (HCC Insurance Holdings Inc/De/)
Accounts with Financial Institutions. Section 3.1(v) 2.21 of the Disclosure Schedule sets forth a list of all safe deposit boxes, active bank accounts and other time or demand deposits of each of the Transferred Group Companies, including any brokerage and custodial accounts for securities owned by each of the Transferred CompaniesGroup Company, together with the names and addresses of the applicable financial institution or other depository, the account number, and the identities of all Persons authorized to draw thereon or who have access thereto.
Appears in 2 contracts
Samples: Investment Agreement, Investment Agreement (Groupon, Inc.)
Accounts with Financial Institutions. Section 3.1(v) of the Disclosure Schedule sets forth a list of all safe deposit boxes, active bank accounts and other time or demand deposits of each of the Transferred Companieseither Company, including any brokerage and custodial accounts for securities owned by each of the Transferred Companieseither Company, together with the names and addresses of the applicable financial institution or other depository, the account number, and the identities of all Persons authorized to draw thereon or who have access thereto.
Appears in 1 contract
Accounts with Financial Institutions. Section 3.1(v3.1(u) of the Disclosure Schedule sets forth a list of all safe deposit boxes, active bank accounts and other time or demand deposits of each of the Transferred Subject Companies, including any brokerage and custodial accounts for securities owned by each of the Transferred Subject Companies, together with the names and addresses of the applicable financial institution or other depository, the account number, and the identities of all Persons authorized to draw thereon or who have access thereto.
Appears in 1 contract
Samples: Stock Purchase Agreement (Atlas Financial Holdings, Inc.)
Accounts with Financial Institutions. Section 3.1(v3.1(u) of the Disclosure Schedule sets forth a list of all safe deposit boxes, active bank accounts and other time or demand deposits of the Company and each of the Transferred Companiesits Subsidiaries, including any brokerage and custodial accounts for securities owned by the Company and each of the Transferred Companiesits Subsidiaries, together with the names and addresses of the applicable financial institution or other depository, the account number, and the identities of all Persons authorized to draw thereon or who have access thereto.
Appears in 1 contract