Pledged Securities Schedule definition
Examples of Pledged Securities Schedule in a sentence
A complete and accurate list and description of all Pledged Securities of such Pledgor is set forth on the Pledged Securities Schedule.
The Pledged Securities listed on the Pledged Securities Schedule hereto have been duly authorized and validly issued and are fully paid and non-assessable, to the extent such concepts are applicable, and are not subject to any options to purchase or similar rights of any Person.
The Board shall approve College investments in a monthly report supported by the appropriate Pledged Securities Schedule and submitted by the Chief Financial Officer or designee.
The Credit Agreement is hereby amended to delete Schedule 2 (Guarantors of Payment), Schedule 3 (Pledged Securities), Schedule 6.1 (Corporate Existence), Schedule 6.9 (Locations) therefrom and to insert in place thereof, respectively, a new Schedule 2, Schedule 3, Schedule 6.1 and Schedule 6.9 in the form of Schedule 2, Schedule 3, Schedule 6.1 and Schedule 6.9, as appropriate, attached hereto.
The Pledged Securities of each Relevant Entity set forth in Schedule 1 constitute, and until the final payment and satisfaction in full of all of the Obligations and the termination of all commitments under the Facilities Agreement and the making of any payments required by Sections 9-608(a)(1)(C) or 9-615(a)(3) of the NYUCC, shall continue to constitute, the percentage of the outstanding equity of each such Relevant Entity as indicated on the Pledged Securities Schedule.
Borrower owns no material asset other than the securities described on the Pledged Securities Schedule attached to the Pledge Agreement and its rights under the Transaction-Related Documents.
As of the date hereof or the date of such Pledgor’s Accession Supplement, as the case may be, the Pledged Collateral of such Pledgor set forth on the Pledged Securities Schedule constitutes all of the Equity Interests owned by such Pledgor required to be pledged.
The Pledged Securities of each issuer specifically identified on the Pledged Securities Schedule constitute, and until the final payment and satisfaction in full of all of the Secured Obligations and the termination of all commitments under the Credit Agreement and the making of any payments required by Sections 9-608(a)(1)(C) or 9-615(a)(3) of the NYUCC, shall continue to constitute, the percentage of the outstanding equity of each respective issuer as indicated on the Pledged Securities Schedule.
No later than February 12, 2010, unless otherwise agreed to by Agent in writing, Borrower shall have provided to Agent an updated Schedule 1 (Guarantors of Payment), Schedule 2 (Pledged Securities), Schedule 6.1 (Corporate Existence; Subsidiaries; Foreign Qualification), and Schedule 6.15 (Material Agreements), which in each case shall have been updated to take into account the ICT Group Acquisition and shall be in form and substance acceptable to Agent.
Prior to the Event occurring, Producer shall inform City’s contract administrator of the method Producer will use to track attendance.