Purchase and Sale of the Private Placement Units. (i) On the date of the consummation of the Public Offering or on such earlier time and date as may be mutually agreed by the Purchaser and the Company (the “Closing Date”), the Company shall issue and sell to the Purchaser, and the Purchaser shall purchase from the Company, an aggregate of 455,000 Private Placement Units at a price of $10.00 per unit for an aggregate purchase price of $4,550,000 (the “Purchase Price”), which shall be paid by wire transfer of immediately available funds to the Company in accordance with the Company’s wiring instructions at least one business day prior to the date of effectiveness of the registration statement on Form S-1 (File No. 333-253867) filed in connection with the Public Offering. On the Closing Date, the Company, shall either, at its option, deliver certificates evidencing the Private Placement Units purchased by the Purchaser on such date duly registered in the Purchaser’s name to the Purchaser, or effect such delivery in book-entry form.
Appears in 3 contracts
Samples: Private Placement Units Purchase Agreement (10X Capital Venture Acquisition Corp. II), Private Placement Units Purchase Agreement (10X Capital Venture Acquisition Corp. II), Private Placement Units Purchase Agreement (10X Capital Venture Acquisition Corp. II)
Purchase and Sale of the Private Placement Units. (i) On the date of the consummation of the Public Offering or on such earlier time and date as may be mutually agreed by the Purchaser and the Company (the “Closing Date”), the Company shall issue and sell to the Purchaser, and the Purchaser shall purchase from the Company, an aggregate of 455,000 400,000 Private Placement Units at a price of $10.00 per unit for an aggregate purchase price of $4,550,000 4,000,000 (the “Purchase Price”), which shall be paid by wire transfer of immediately available funds to the Company in accordance with the Company’s wiring instructions at least one business day prior to the date of effectiveness of the registration statement on Form S-1 (File No. 333-253867) filed Closing Date in connection accordance with the Public OfferingCompany’s wiring instructions. On the Closing Date, upon the payment by the Purchaser of the Purchase Price, the Company, shall either, at its option, shall deliver certificates a certificate evidencing the Private Placement Units purchased by the Purchaser on such date duly registered in the Purchaser’s name to the Purchaser, or effect such delivery in book-entry form.
Appears in 2 contracts
Samples: Private Placement Units Purchase Agreement (EQV Ventures Acquisition Corp.), Private Placement Units Purchase Agreement (EQV Ventures Acquisition Corp.)
Purchase and Sale of the Private Placement Units. (i) On the date of the consummation of the Public Offering or on such earlier time and date as may be mutually agreed by the Purchaser and the Company (the “Closing Date”), the Company shall issue and sell to the Purchaser, and the Purchaser shall purchase from the Company, an aggregate of 455,000 450,000 Private Placement Units at a price of $10.00 per unit for an aggregate purchase price of $4,550,000 4,500,000 (the “Purchase Price”), which shall be paid by wire transfer of immediately available funds to the Company in accordance with the Company’s wiring instructions at least one business day prior to the date of effectiveness of the registration statement on Form S-1 (File No. 333-253867) filed Closing Date in connection accordance with the Public OfferingCompany’s wiring instructions. On the Closing Date, upon the payment by the Purchaser of the Purchase Price, the Company, shall either, at its option, shall deliver certificates a certificate evidencing the Private Placement Units purchased by the Purchaser on such date duly registered in the Purchaser’s name to the Purchaser, or effect such delivery in book-entry form.
Appears in 2 contracts
Samples: Private Placement Units Purchase Agreement (Andretti Acquisition Corp. II), Private Placement Units Purchase Agreement (Andretti Acquisition Corp. II)
Purchase and Sale of the Private Placement Units. (i) On the date of the consummation of the Public Offering or on such earlier time and date as may be mutually agreed by the Purchaser and the Company (the “Closing Date”), the Company shall issue and sell to the Purchaser, and the Purchaser shall purchase from the Company, an aggregate of 455,000 425,000 Private Placement Units at a price of $10.00 per unit for an aggregate purchase price of $4,550,000 4,250,000 (the “Purchase Price”), which shall be paid by wire transfer of immediately available funds to the Company in accordance with the Company’s wiring instructions at least one business day prior to the date of effectiveness of the registration statement on Form S-1 (File No. 333-253867) filed Closing Date in connection accordance with the Public OfferingCompany’s wiring instructions. On the Closing Date, upon the payment by the Purchaser of the Purchase Price, the Company, shall either, at its option, shall deliver certificates a certificate evidencing the Private Placement Units purchased by the Purchaser on such date duly registered in the Purchaser’s name to the Purchaser, or effect such delivery in book-entry form.
Appears in 2 contracts
Samples: Private Placement Units Purchase Agreement (Bleichroeder Acquisition Corp. I), Private Placement Units Purchase Agreement (Bleichroeder Acquisition Corp. I)
Purchase and Sale of the Private Placement Units. (i) On the date of the consummation of the Public Offering or on such earlier time and date as may be mutually agreed by the Purchaser and the Company (the “Initial Closing Date”), the Company shall issue and sell to the Purchaser, and the Purchaser shall purchase from the Company, an aggregate of 455,000 1,000,000 Private Placement Units at a price of $10.00 per unit Private Placement Unit for an aggregate purchase price of $4,550,000 10,000,000 (the “Purchase Price”), which shall be paid by wire transfer of immediately available funds to the Company in accordance with the Company’s wiring instructions at least one business day prior to the date of effectiveness of the registration statement on Form S-1 (File No. 333-253867) filed in connection with the Public OfferingInitial Closing Date. On the Initial Closing Date, the Company, shall either, at its option, deliver certificates evidencing the Private Placement Units purchased by the Purchaser on such date duly registered in the Purchaser’s name to the Purchaser, or effect such delivery in book-entry form.
Appears in 1 contract
Samples: Private Placement Units Purchase Agreement (LAMF Global Ventures Corp. I)
Purchase and Sale of the Private Placement Units. (i) On the date of the consummation of the Public Offering or on such earlier time and date as may be mutually agreed by the Purchaser and the Company (the “Closing Date”), the Company shall issue and sell to the Purchaser, and the Purchaser shall purchase from the Company, an aggregate of 455,000 610,000 Private Placement Units at a price of $10.00 per unit for an aggregate purchase price of $4,550,000 6,100,000 (the “Purchase Price”), which shall be paid by wire transfer of immediately available funds to the Company in accordance with the Company’s wiring instructions at least one business day prior to the date of effectiveness of the registration statement on Form S-1 (File No. 333-253867253868) filed in connection with the Public Offering. On the Closing Date, the Company, shall either, at its option, deliver certificates evidencing the Private Placement Units purchased by the Purchaser on such date duly registered in the Purchaser’s name to the Purchaser, or effect such delivery in book-entry form.
Appears in 1 contract
Samples: Private Placement Units Purchase Agreement (10X Capital Venture Acquisition Corp. III)
Purchase and Sale of the Private Placement Units. (i) On the date of the consummation of the Public Offering or on such earlier time and date as may be mutually agreed by the Purchaser and the Company (the “Closing Date”), the Company shall issue and sell to the Purchaser, and the Purchaser shall purchase from the Company, an aggregate of 455,000 1,000,000 Private Placement Units at a price of $10.00 per unit Unit for an aggregate purchase price of $4,550,000 10,000,000 (the “Purchase Price”), which . The Purchaser shall be paid pay the Purchase Price by wire transfer of immediately available funds to the Company trust account maintained by Continental Stock Transfer & Trust Company, acting as trustee (the “Trust Account”) in accordance with the Company’s wiring instructions instructions, at least one (1) business day prior to the date of effectiveness of the registration statement on Form S-1 (File No. 333-253867) filed in connection with the Public OfferingClosing Date. On the Closing Date, subject to the receipt of funds pursuant to the immediately prior sentence, the Company, shall either, at its option, shall deliver certificates a certificate evidencing the Private Placement Units purchased by the Purchaser on such date duly registered in the Purchaser’s name to the Purchaser, Purchaser or effect such delivery in book-entry form.
Appears in 1 contract
Samples: Private Units Purchase Agreement (Lamar Partnering Corp)