Other Assets Sold Clause Samples

Other Assets Sold. Upon receipt of Instructions and except as otherwise provided herein, the Custodian shall receive payment for and deliver other Assets for the account of a Fund as provided in Instructions.
Other Assets Sold. Upon receipt of Instructions and except as otherwise provided herein, the Custodian shall receive payment for and deliver other Assets for the account of the Fund as provided in Instructions. (g) Options. (1) Upon receipt of Instructions relating to the purchase of an option or sale of a covered call option, the Custodian shall: (a) receive and retain Instructions or other documents, to the extent they are provided to the Custodian, evidencing the purchase or writing of the option by the Fund; (b) if the transaction involves the sale of a covered call option, deposit and maintain in a segregated account the Securities (either physically or by book-entry in a Securities System) subject to the covered call option written on behalf of the Fund; and (c) pay, release and/or transfer such Securities, cash or other Assets in accordance with any notices or other communications evidencing the expiration, termination or exercise of such options which are furnished to the Custodian by the Options Clearing Corporation (the "OCC"), the securities or options exchanges on which such options were traded, or such other organization as may be responsible for handling such option transactions. (2) Upon receipt of Instructions relating to the sale of a naked option (including stock index and commodity options), the Custodian, the Fund and the broker-dealer shall enter into an agreement to comply with the rules of the OCC or of any registered national securities exchange or similar organizations(s). Pursuant to that agreement and the Fund's Instructions, the Custodian shall: (a) receive and retain Instructions or other documents, if any, evidencing the writing of the option; (b) deposit and maintain in a segregated account, Securities (either physically or by book-entry in a Securities System), cash and/or other Assets; and (c) pay, release and/or transfer such Securities, cash or other Assets in accordance with any such agreement and with any notices or other communications evidencing the expiration, termination or exercise of such option which are furnished to the Custodian by the OCC, the securities or options exchanges on which such options were traded, or such other organization as may be responsible for handling such option transactions. The Fund and the broker-dealer shall be responsible for determining the quality and quantity of assets held in any segregated account established in compliance with applicable margin maintenance requirements and the performance of other ...
Other Assets Sold. Seller agrees to sell, transfer, convey, ----------------- assign, and deliver to Purchaser, and Purchaser agrees to purchase and accept from Seller, at the Closing upon the terms and subject to the conditions hereinafter set forth, the following assets, properties and rights (the "Other Assets"): All of Seller's right, title and interest in and to (i) the fixed assets, personal property, furniture, furnishings, and equipment located in and used in connection with the operation of the DAI offices, as described in Exhibit 4.01(a) attached hereto and incorporated herein, together with any --------------- manufacturer's warranties on any of the foregoing that are assignable and in effect, but excluding those items of personal property described in Exhibit 4. ---------- 01 (b) attached hereto, (ii) all insurance accounts held in the name of Seller, ------ and (iii) all so-called P&L loans of Seller including, but not limited to, those described on Exhibit ------- 4.01(c) attached hereto. It is understood and agreed that Purchaser will not ------- assume any real or personal property lease obligations of Seller except as specifically set forth in Section 2.0l hereof.
Other Assets Sold. Upon receipt of Instructions and except as otherwise provided herein, the Custodian shall receive payment for and deliver other Assets for the account of a Fund as provided in Instructions. EXECUTION COPY
Other Assets Sold. 9 Options ..........................................................9
Other Assets Sold. 9 Options ..........................................................9