Deposit Accounts, Securities Accounts and Commodity Accounts. Except as listed on Schedule 14 attached hereto and made a part hereof, attached to the Prior Perfection Certificate as Schedule 14 is a true and complete list of all Deposit Accounts, Securities Accounts and Commodity Accounts maintained by each Company, including the name of each institution where each such account is held, the name of each such account and the name of each entity that holds each account.
Appears in 4 contracts
Samples: Security Agreement (Norcraft Companies, Inc.), Credit Agreement (Norcraft Companies, Inc.), Credit Agreement (Norcraft Companies Lp)
Deposit Accounts, Securities Accounts and Commodity Accounts. Except as listed on Schedule 14 attached hereto and made a part hereof, attached to the Prior Perfection Certificate as Schedule 14 is a true and complete list of all Deposit Accounts, Securities Accounts and Commodity Accounts (each as defined in the Security Agreement) maintained by each CompanyPledgor, including the name of each institution where each such account is held, the name of each such account and the name of each entity that holds each account.
Appears in 3 contracts
Samples: Credit Agreement (Davita Inc), Credit Agreement (Davita Inc), Credit Agreement (Davita Inc)
Deposit Accounts, Securities Accounts and Commodity Accounts. Except as listed on Schedule 14 15 attached hereto and made a part hereof, attached to the Prior Perfection Certificate as Schedule 14 15 is a true and complete list of all Deposit Accounts, Securities Accounts and Commodity Accounts (each as defined in the Security Agreement) maintained by the Company and each of the Company's Subsidiaries, including the name of each institution where each such account is held, the name of each such account and the name of each entity that holds each account.
Appears in 2 contracts
Samples: Credit Agreement (Ionics Inc), Credit Agreement (SFBC International Inc)
Deposit Accounts, Securities Accounts and Commodity Accounts. Except as listed on Schedule 14 15 attached hereto and made a part hereof, attached to Schedule 15 of the Prior Perfection Certificate as Schedule 14 is sets forth a true and complete list of all Deposit Accounts, Securities Accounts and Commodity Accounts (each as defined in the Security Agreement) maintained by the Company, Parent, Holdings and each of the Company's domestic Subsidiaries, including the name of each institution where each such account is held, the name of each such account and the name of each entity that holds each account.
Appears in 2 contracts
Samples: Credit Agreement (Cpi International, Inc.), Credit Agreement (Cpi International, Inc.)
Deposit Accounts, Securities Accounts and Commodity Accounts. Except as listed on Schedule 14 15 attached hereto and made a part hereof, attached Schedule 15 to the Prior Perfection Certificate as Schedule 14 is a true and complete list of all Deposit Accounts, Securities Accounts and Commodity Accounts (each as defined in the Security Agreement) maintained by each CompanyLoan Party, including the name of each institution where each such account is held, the name and account number of each such account and the name of each entity that holds each account.
Appears in 1 contract
Samples: Control Agreement (Bearingpoint Inc)
Deposit Accounts, Securities Accounts and Commodity Accounts. Except as listed on Schedule 14 16 attached hereto and made a part hereof, attached to the Prior Perfection Certificate as Schedule 14 16 is a true and complete list of all Deposit Accounts, Securities Accounts and Commodity Accounts (each as defined in the Security Agreement) maintained by Borrower and each CompanyGuarantor, including the name of each institution where each such account is held, the name of each such account and the name of each entity that holds each account.
Appears in 1 contract
Samples: Credit Agreement (PGT, Inc.)
Deposit Accounts, Securities Accounts and Commodity Accounts. Except as listed on Schedule 14 attached hereto and made a part hereof, attached to the Prior Perfection Certificate as Schedule 14 is a true and complete list of all Deposit Accounts, Securities Accounts and Commodity Accounts (each as defined in the Security Agreement) maintained by each Company, including the name of each institution where each such account is held, the name of each such account and the name of each entity that holds each account.
Appears in 1 contract
Samples: Credit Agreement (Navisite Inc)
Deposit Accounts, Securities Accounts and Commodity Accounts. Except as listed on Schedule 14 13 attached hereto and made a part hereof, attached to the Prior Perfection Certificate as Schedule 14 13 is a true and complete list of all Deposit Accounts, Securities Accounts and Commodity Accounts (each as defined in the Security Agreement) maintained by each Company, including the name of each institution where each such account is held, the name of each such account and the name of each entity that holds each account.
Appears in 1 contract
Samples: Credit Agreement (Ducommun Inc /De/)
Deposit Accounts, Securities Accounts and Commodity Accounts. Except as listed on Schedule 14 attached hereto and made a part hereof, attached to the Prior Perfection Certificate as Schedule 14 is a true and complete list of all Deposit Accounts, Securities Accounts and Commodity Accounts (each as defined in the U.S. Security Agreement) maintained by each CompanyLoan Party, including the name of each institution where each such account is held, the name of each such account and the name and account number of each entity that holds each account.
Appears in 1 contract
Samples: Security Agreement (Novelis South America Holdings LLC)
Deposit Accounts, Securities Accounts and Commodity Accounts. Except as listed on Schedule 14 15 attached hereto and made a part hereof, attached to the Prior Perfection Certificate as Schedule 14 15 is a true and complete list of all Deposit Accounts, Securities Accounts and Commodity Accounts (each as defined in the Security Agreement) maintained by each Company, including the name of each institution where each such account is held, the name of each such account and the name of each entity that holds each account.
Appears in 1 contract