Summaries; Reports Sample Clauses

Summaries; Reports. The Company shall deliver to the Agent, within twenty (20) business days following the end of each month, summaries of the Company’s lease operating expenses and production relating to the Company’s Oil and Gas Properties as and for the immediately preceding month.
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Summaries; Reports. Garwood shall deliver to xxx Xxrchaser, ------------------ as soon as available and in any event by the 15th day of each month, summaries of its lease operating expenses and production relating to its oil and gas properties as and for the immediately preceding month. Garwood shall deliver to txx Xxxchaser, as soon as available and in any event within thirty (30) days after the end of each fiscal quarter of Garwood, or at such other xxxx xx the Purchaser shall request, an economic reserve report concerning Garwood's oil and gas proxxxxxxx xrepared by a registered professional engineer chosen by Garwood and reasonably axxxxxxxle to the Purchaser.
Summaries; Reports. ICF shall deliver to the Agent, between the 22nd and last day of each month, summaries of its lease operating expenses and production relating to its oil and gas properties as and for the immediately preceding month. ICF shall deliver to the Agent, between the 22nd and last day of each month, or at such other time as the Agent shall request, an economic reserve report prepared by a registered professional engineer acceptable to the Agent.
Summaries; Reports. The Company shall deliver to the Purchaser, ------------------- within two (2) business days following the end of each month, summaries of the Company's lease operating expenses and production relating to the Company's oil and gas properties as and for the immediately preceding month. The Company shall deliver to the Purchaser, within two (2) business days following the end of each October and April, or at such other time as the Purchaser shall request, an economic reserve report with respect to the Company prepared by X.X. Xxxxxx or such other registered professional engineer acceptable to the Purchaser.
Summaries; Reports. Each of Carneros and Gotland shall deliver to the Purchaser, between the 22nd and last day of each month, summaries of its lease operating expenses and production relating to its oil and gas properties as and for the immediately preceding month. Each of Carneros and Gotland shall deliver to the Purchaser, between the 22nd and last day of each month, or at such other time as the Purchaser shall request, an economic reserve report with respect to each of Carneros and Gotland prepared by a registered professional engineer acceptable to the Purchaser.

Related to Summaries; Reports

  • Securities Reports Promptly after the sending or filing thereof, copies of all proxy statements, financial statements and reports that any Loan Party or any of its Subsidiaries sends to its stockholders, and copies of all regular, periodic and special reports, and all registration statements, that any Loan Party or any of its Subsidiaries files with the Securities and Exchange Commission or any governmental authority that may be substituted therefor, or with any national securities exchange.

  • Copies of Other Reports (a) Promptly upon receipt thereof, copies of all reports, if any, submitted to the Borrower by the Borrower's independent public accountants regarding the Borrower, including, without limitation, any management report prepared in connection with the annual audit referred to in Section 6.2.

  • Progress Reports 8. Within 30 days after the end of each calendar quarter following the date of this Agreement, the board of directors shall submit to the Reserve Bank written progress reports detailing the form and manner of all actions taken to secure compliance with the provisions of this Agreement and the results thereof, and a parent company only balance sheet, income statement, and, as applicable, report of changes in stockholders’ equity. Approval and Implementation of Plan

  • Records Reports To maintain records and to prepare and file reports required by law to be filed by the Trustee or required by agreement with the Company or by this Trust Agreement;

  • Correspondence, Statements and Confirmations The Financial Institution will promptly send copies of all statements, confirmations and other correspondence concerning any Collateral Account and, if applicable, any financial assets credited thereto, simultaneously to the Grantor and the Secured Party.

  • Certificates; Reports; Other Information Furnish to the Administrative Agent, for distribution to each Lender:

  • Other Reports (a) Promptly upon receipt thereof, copies of all reports, if any, submitted to the Borrower or its Board of Directors by its independent public accountants in connection with their auditing function, including, without limitation, any management report and any management responses thereto; and

  • Management Reports Promptly upon receipt thereof, copies of all detailed financial and management reports submitted to the Company by independent auditors in connection with each annual or interim audit made by such auditors of the books of the Company.

  • Copies of Reports So long as the Offered Certificates are outstanding, the Depositor shall furnish, or cause to be furnished, to each Underwriter (i) copies of each certification, the annual statements of compliance and the annual independent certified public accountants’ servicing reports furnished to the Certificate Administrator pursuant to the Pooling and Servicing Agreement as soon as practicable after such statements and reports are furnished to the Certificate Administrator; (ii) copies of each amendment to any of the Basic Documents; and (iii) copies of all reports or other communications (financial or other) furnished to holders of the Offered Certificates, and copies of any reports and financial statements furnished to or filed with the Commission, any governmental or regulatory authority or any national securities exchange, all of which may be furnished by the posting thereof on the website of the Certificate Administrator.

  • Accurate Reports No Information Package or Interim Information Package (if prepared by such Seller Party, or to the extent information therein was supplied by such Seller Party) or other information, exhibit, financial statement, document, book, record or report furnished or to be furnished by or on behalf of such Seller Party to any Agent or any Investor pursuant to this Agreement was or will be inaccurate in any material respect as of the date it was or will be dated or (except as otherwise disclosed to such Agent or Purchaser at such time) as of the date so furnished, or contained or (in the case of information or other materials to be furnished in the future) will contain any material misstatement of fact or omitted or (in the case of information or other materials to be furnished in the future) will omit to state a material fact or any fact necessary to make the statements contained therein not materially misleading in light of the circumstances made or presented.

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