DELIVERY OF DEPOSIT SECURITIES. The Subcustodian accounts into which an AP should deposit the securities constituting the Deposit Securities of each International Fund of Pointbreak ETF Trust are set forth below: [name of Fund] Account Name: Account Number: Other Reference Number: [name of Fund] Account Name: Account Number: Other Reference Number: [name of Fund] Account Name: Account Number: Other Reference Number: [name of Fund] Account Name: Account Number: Other Reference Number: [name of Fund] Account Name: Account Number: Other Reference Number: [name of Fund] Account Name: Account Number: Other Reference Number: ANNEX V TO AUTHORIZED PARTICIPANT AGREEMENT FOR POINTBREAK ETF TRUST
Appears in 7 contracts
Samples: Authorized Participant Agreement (Pointbreak ETF Trust), Authorized Participant Agreement (Pointbreak ETF Trust), Authorized Participant Agreement (Pointbreak ETF Trust)