Banks and Brokerage Accounts. Section 3.27 of the Disclosure Schedule sets forth (a) a complete and accurate 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 a safe deposit box or maintains a banking, custodial, trading or other similar relationship, and (b) a complete and accurate 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 4 contracts
Samples: Agreement and Plan of Merger (Implant Sciences Corp), Agreement and Plan of Merger and Reorganization (Sonicwall Inc), Agreement and Plan of Merger and Reorganization (Accelrys, Inc.)
Banks and Brokerage Accounts. Section 3.27 2.24 of the Sellers Disclosure Schedule sets forth (a) a true and complete and accurate 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 a safe deposit box or maintains a banking, custodial, trading or other similar relationship, and (b) a true and complete and accurate 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 2 contracts
Samples: Stock Purchase Agreement (Connecture Inc), Stock Purchase Agreement (Connecture Inc)
Banks and Brokerage Accounts. Section 3.27 2.27 of the Company Disclosure Schedule sets forth (a) a true and complete and accurate 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 a safe deposit box or maintains a banking, custodial, trading or other similar relationship, and (b) a true and complete and accurate 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: Plan of Merger (Sonicblue Inc)
Banks and Brokerage Accounts. Section 3.27 3.24 of the Disclosure Schedule Schedules sets forth (a) a true and complete and accurate 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 a safe deposit box or maintains a banking, custodial, trading or other similar relationship, and (b) a true and complete and accurate 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
Banks and Brokerage Accounts. Section 3.27 2.14 of the Company Disclosure Schedule sets forth (a) a true and complete and accurate 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 a safe deposit box or maintains a banking, custodial, trading or other similar relationship, relationship and (b) a true and complete and accurate list and description of each such account, safe deposit 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
Banks and Brokerage Accounts. Section 3.27 2.14 of the Disclosure Schedule sets forth (a) a complete and an accurate list of the names and locations of all banks, trust companies, securities brokers broker-dealers and other financial institutions at which the Company has an account or a safe deposit box or maintains a banking, custodial, trading or other similar relationship, ; and (b) a complete and an accurate list and description of each such account, box and relationship, indicating in each case the account number and the names of the respective officers, employeesWorkers, agents or other similar representatives of the Company having signatory power with respect thereto.
Appears in 1 contract
Samples: Agreement and Plan of Merger and Reorganization (Nerdwallet, Inc.)
Banks and Brokerage Accounts. Section 3.27 3.26 of the Company Disclosure Schedule sets forth (a) a true and complete and accurate list of the names and locations of all banks, trust companies, securities brokers and other financial institutions at which the Company has and its Subsidiaries have an account or a safe deposit box or maintains a banking, custodial, trading or other similar relationship, and (b) a complete and accurate 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: Share Purchase Agreement (Magal Security Systems LTD)