Common use of Deposit to the Trust Account Clause in Contracts

Deposit to the Trust Account. The Sponsor and the Underwriters (at least one business day prior to the First Closing Date or the Option Closing Date, as applicable) shall have caused the purchase price for the Private Placement Units purchased by them pursuant to those certain Unit Subscription Agreements to be deposited into the Trust Account so that together with the net proceeds for the Firm Securities (including the Deferred Discount), or with respect to the Optional Securities, the net proceeds from the Optional Securities (including the Deferred Discount), the Trust Account would equal the product of the number of Public Units sold and the public offering price per Public Unit as set forth on the cover of the Prospectus.

Appears in 2 contracts

Samples: Underwriting Agreement (Forum Merger II Corp), Underwriting Agreement (Forum Merger II Corp)

AutoNDA by SimpleDocs

Deposit to the Trust Account. The Sponsor and the Underwriters (at least one business day prior to the First Closing Date or the Option Closing Date, as applicable) shall have caused the purchase price for the Private Placement Units purchased by them pursuant to those certain Unit Subscription Purchase Agreements to be deposited into the Trust Account so that together with the net proceeds for the Firm Securities (including the Deferred Discount), or with respect to the Optional Securities, the net proceeds from the Optional Securities (including the Deferred Discount), the aggregate amount in the Trust Account would equal the product of the number of Public Units sold and the public offering price per Public Unit as set forth on the cover of the Prospectus.

Appears in 2 contracts

Samples: Underwriting Agreement (Forum Merger IV Corp), Underwriting Agreement (Forum Merger IV Corp)

AutoNDA by SimpleDocs

Deposit to the Trust Account. The Sponsor and the Underwriters (at least one business day prior to the First Closing Date or the Option Closing Date, as applicable) shall have caused the purchase price for the Private Placement Units purchased by them pursuant to those certain Unit Subscription Agreements to be deposited into the Trust Account so that together with the net proceeds for the Firm Securities (including the Deferred Discount), or with respect to the Optional Securities, the net proceeds from the Optional Securities (including the Deferred Discount), the aggregate amount in the Trust Account would equal the product of the number of Public Units sold and the public offering price per Public Unit as set forth on the cover of the Prospectus.

Appears in 1 contract

Samples: Underwriting Agreement (Forum Merger III Corp)

Draft better contracts in just 5 minutes Get the weekly Law Insider newsletter packed with expert videos, webinars, ebooks, and more!