Net Asset Value Guarantee. Currently, our deadline to guarantee receipt of the next available net asset value is 3:00 p.m. ET. This deadline may be changed without notice to you.
Net Asset Value Guarantee. We reserve the right to set our own time deadline to guarantee the Client receipt of the next available net asset value. This deadline may be changed without notice to you.
Net Asset Value Guarantee. Pursuant to the Sale and Purchase Agreement, the Vendor has agreed to warrant and guarantee to the Purchaser that the audited consolidated Net Asset Value of the Sale Companies as at 30 June 2007 as shown in the 2007 Audited Accounts will not, in aggregate, be less than HK$70,000,000 (“Guaranteed NAV”). On 19 September 2007, the Vendor, the Purchaser and Kong Sun entered into a supplemental agreement to amend certain terms of the Sale and Purchase Agreement, including certain of the terms of the Bonds Instrument. Pursuant to the Supplemental Agreement: