Asset List Sample Clauses
Asset List. Within 60 days after the Closing Date, Seller shall deliver to Purchaser a list of the Acquired Assets prepared with the assistance of a third party auditing firm.
Asset List. The information pertaining to such Assets set forth in the Asset List is true and correct in all material respects as of the related Closing Date.
Asset List. Prior to Closing, each Parent will, and will cause its Affiliates to, cooperate in producing a comprehensive list of its Assets. Such Asset lists will include the categories set forth on Schedule 5.7 and will be provided to the other Parent no later than five months after the date hereof.
Asset List. Those items listed on the asset list attached as Schedule 1.1(l) hereto.
Asset List. No earlier than twenty (20) Business Days prior to the Closing Date, the Seller Parties shall provide to the Buyer a list of any investment grade obligations, other than Acceptable Financial Assets, which are owned by the Company as of the date of delivery of such list and will not be transferred to the Parent or MGA in connection with the Related Transactions (the “Asset List”). Unless the Buyer reasonably objects in writing to the retention by the Company of any assets set forth on the Asset List within five (5) Business Days of the Buyer’s receipt of the Asset List, the Buyer shall be deemed to have accepted such assets as Acceptable Financial Assets. In the event that the Buyer does so object to the retention by the Company of any investments included on the Asset List, the Seller Parties shall, prior to Closing, substitute the objectionable assets with assets that are reasonably acceptable to the Buyer.
Asset List. A detailed inventory of all equipment, furnishings, fixtures, and inventories.
Asset List. A detail of inventory of all equipment, furnishings, fixtures, and inventories as of October 4, 1998.
Asset List. The Center CRM will use the Asset Categorization procedures in Appendix F – Asset Categorization to prepare an Asset List consistent with Stipulation III.A.2 (Asset Lists), and shall submit the Asset List to the SHPO, copying Center Consulting Parties, for review. The initial Asset List shall be defined, with SHPO concurrence, by the time the existing Center-wide programmatic agreement expires or is terminated.
Asset List. Within 60 days after the Closing Date, Seller shall deliver to Purchaser a list of Fixed Assets in substantially the same format as those schedules prepared Pursuant to Section 1.1.
ARTICLE VII COVENANTS OF PURCHASER AND PARENT Each of Purchaser and Parent agrees that:
Asset List. The list of equipment for AHHS is: