Holders' Accounts. The Escrow Agent will maintain for each Holder ----------------- an accounting record (each Holder's "Account") specifying the Escrow Securities held for the record of each Holder pursuant to the Escrow Provisions. All Escrow Securities received under Section 2(a) will be allocated to each Holder's Account in accordance with such Holder's percentage interest in the Escrow Fund as set forth on Appendix II. -----------
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Samples: Agreement and Plan of Merger (Mpath Interactive Inc/Ca), Agreement and Plan of Merger (Mpath Interactive Inc/Ca)
Holders' Accounts. The Escrow Agent will maintain for each Holder ----------------- an accounting record (each Holder's "AccountACCOUNT") specifying the Escrow Securities held for the record of each Holder pursuant to the Escrow Provisions. All Escrow Securities received under Section 2(a) will be allocated to each Holder's Account in accordance with such Holder's percentage interest in the Escrow Fund as set forth on Appendix APPENDIX II. -----------.
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Samples: Merger Agreement (Hearme)
Holders' Accounts. The Escrow Agent will maintain for each ----------------- Holder ----------------- an accounting record (each Holder's "Account") specifying the Escrow Securities Shares or Escrow Cash held for the record of each Holder pursuant to the Escrow Provisions. All Escrow Securities Shares or Escrow Cash received under Section 2(a) will be allocated to each Holder's Account in accordance with such Holder's percentage interest in the Escrow Fund as set forth on Appendix II. -----------
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