Common use of Bank and Brokerage Accounts; Investment Assets Clause in Contracts

Bank and Brokerage Accounts; Investment Assets. Section 2.20 of the Disclosure Schedule sets forth (a) a true and complete list of the names and locations of all banks, trust companies, securities brokers and other financial institutions at which the Company has an account or safe deposit box or maintains a banking, custodial, trading or other similar relationship.

Appears in 3 contracts

Samples: Share Purchase Agreement (Se Global Equities Corp), Share Purchase Agreement (Sun New Media Inc.), Share Purchase Agreement (Sun New Media Inc.)

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Bank and Brokerage Accounts; Investment Assets. Section 2.20 2.18 of the Disclosure Schedule sets forth (a) a true and complete list of the names and locations of all banks, trust companies, securities brokers and other financial institutions at which the any Group Company has an account or safe deposit box or maintains a banking, custodial, trading or other similar relationship.

Appears in 2 contracts

Samples: Share Purchase Agreement (Legend Media, Inc.), Share Purchase Agreement (Legend Media, Inc.)

Bank and Brokerage Accounts; Investment Assets. Section 2.20 of the Disclosure Schedule sets forth (a) a true and complete list of the names and locations of all banks, trust companies, securities brokers banks and other financial institutions at which the any Group Company has an account or safe deposit box or maintains a banking, custodial, trading banking or other similar relationship; (b) a true and complete list and description of each such account, box and relationship, indicating in each case the account number; and (c) a list of the name of the record and beneficial owner thereof.

Appears in 2 contracts

Samples: Share Exchange Agreement (Spring Creek Acquisition Corp.), Share Exchange Agreement (Spring Creek Acquisition Corp.)

Bank and Brokerage Accounts; Investment Assets. Section 2.20 of the Disclosure Schedule sets forth (a) a true and complete list of the names and locations of all banks, trust companies, securities brokers and other financial institutions at which the Company has an account or safe deposit box or maintains a banking, custodial, trading or other similar relationship; and (b) a true and complete list and description of each such account, box and relationship, indicating in each case the account number and the names of the respective officers, employees, agents or other similar representatives of the Company having signatory power with respect thereto.

Appears in 1 contract

Samples: Merger Agreement (Radiant Systems Inc)

Bank and Brokerage Accounts; Investment Assets. Section 2.20 2.27 of the Disclosure Schedule sets forth (a) a true and complete list of the names and locations of all banks, trust companies, securities brokers and other financial institutions at which the Company or any of its Subsidiaries has an account or safe deposit box or maintains a banking, custodial, trading or other similar relationship.or

Appears in 1 contract

Samples: Agreement and Plan of Reorganization (Graham Field Health Products Inc)

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Bank and Brokerage Accounts; Investment Assets. Section 2.20 of the Disclosure Schedule sets forth (a) a true and complete list of the names and locations of all banks, trust companies, securities brokers and other financial institutions at which the Company has an account or safe deposit box or maintains a banking, custodial, trading or other similar relationship and (b) a true and complete list and description of each such account, box and relationship, indicating in each case the account number and the names of the respective officers, employees, agents or other similar representatives of the Company having signatory power with respect thereto.

Appears in 1 contract

Samples: Stock Sale Agreement (Merisel Inc /De/)

Bank and Brokerage Accounts; Investment Assets. Section 2.20 of the Disclosure Schedule sets forth (a) a true and complete list of the names and locations of all banks, trust companies, securities brokers and other financial institutions at which the Company has an account or safe deposit box or maintains a banking, custodial, trading or other similar relationship.; and (b) a true and complete list and description of each such account, box and relationship,

Appears in 1 contract

Samples: Merger Agreement (Radiant Systems Inc)

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