Payment and Delivery Clause Example with 667 Variations from Business Contracts

This page contains Payment and Delivery clauses in business contracts and legal agreements. An example clause is provided at the top of the page, followed by clauses with minor variations. You can view the text differences by selecting the "Show Differences" option.
Payment and Delivery. Payment for the Firm Shares shall be made to the Company in Federal or other funds immediately available in New York City against delivery of such Firm Shares for the respective accounts of the several Underwriters on the closing date and time set forth in Schedule I hereto, or at such other time on the same or such other date, not later than the fifth business day thereafter, as shall be designated in writing by you. The time and date of such payment are hereinafter referred to as the "Closing ...Date." 15 Payment for any Additional Shares shall be made to the Company in Federal or other funds immediately available in New York City against delivery of such Additional Shares for the respective accounts of the several Underwriters at 10:00 a.m., New York City time, on the date specified in the corresponding notice described in Section 2 or at such other time on the same or on such other date, in any event not later than the tenth business day thereafter, as shall be designated in writing by you. The Firm Shares and Additional Shares shall be registered in such names and in such denominations as you shall request in writing not later than one full business day prior to the Closing Date or the applicable Option Closing Date, as the case may be. The Firm Shares and Additional Shares shall be delivered to you on the Closing Date or an Option Closing Date, as the case may be, for the respective accounts of the several Underwriters, with any transfer taxes payable in connection with the transfer of the Shares to the Underwriters duly paid, against payment of the Purchase Price therefor. View More

Variations of a "Payment and Delivery" Clause from Business Contracts

Payment and Delivery. (a) Payment for and delivery of the Firm Shares shall Securities will be made to at the Company in Federal or other funds immediately available in offices of Sidley Austin LLP at 10:00 A.M., New York City against delivery of such Firm Shares for the respective accounts of the several Underwriters time, on the closing date and time set forth in Schedule I hereto, Closing Date, or at such other time or place on the same or such other date, not later than the fifth business day thereafter, as shall... be designated you and the Transaction Entities may agree upon in writing by you. The time and date of such payment are hereinafter referred to as the "Closing Date." 15 writing. (b) Payment for any Additional Shares the Securities shall be made by wire transfer in immediately available funds to the Company in Federal or other funds immediately available in New York City account specified by the Operating Partnership to you against delivery to the nominee of such Additional Shares The Depository Trust Company ("DTC"), for the respective accounts account of the several Underwriters at 10:00 a.m., New York City time, on the date specified in the corresponding notice described in Section 2 or at such other time on the same or on such other date, in any event not later than the tenth business day thereafter, as shall be designated in writing by you. The Firm Shares and Additional Shares shall be registered in such names and in such denominations as you shall request in writing not later than one full business day prior to the Closing Date or the applicable Option Closing Date, as the case may be. The Firm Shares and Additional Shares shall be delivered to you on the Closing Date or an Option Closing Date, as the case may be, for the respective accounts Underwriters, of the several Underwriters, global notes representing the Securities (collectively, the "Global Notes"), with any transfer taxes payable in connection with the transfer sale of the Shares Securities to the Underwriters duly paid, against payment paid by the Operating Partnership. Each of the Purchase Price therefor. 2027 Notes and the 2030 Notes will be evidenced by separate Global Notes. A copy of the Global Notes will be made available for inspection by you at the offices of Sidley Austin LLP not later than 1:00 P.M., New York City time, on the business day prior to the Closing Date. View More
Payment and Delivery. (a) Payment for and delivery of the Firm Shares shall Securities will be made to at the Company in Federal or other funds immediately available in offices of Vinson & Elkins L.L.P., 1001 Fannin Street, Suite 2500, Houston, Texas 77002-6760 at 9:00 A.M., New York City against delivery of such Firm Shares for the respective accounts of the several Underwriters time, on the closing date and time set forth in Schedule I hereto, March 31, 2014, or at such other time or place (including by electronic ...transmission) on the same or such other date, not later than the fifth seventh business day thereafter, as shall be designated the Representatives and the Issuers may agree upon in writing by you. writing. The time and date of such payment are hereinafter and delivery is referred to herein as the "Closing Date." 15 (b) Payment for any Additional Shares the Securities shall be made by the Initial Purchasers by wire transfer in immediately available funds to the Company in Federal or other funds immediately available in New York City Representatives against delivery by the Issuers to the nominee of such Additional Shares The Depository Trust Company ("DTC"), for the respective accounts account of the several Underwriters at 10:00 a.m., New York City time, on Initial Purchasers, of one or more global notes representing the date specified in Securities (collectively, the corresponding notice described in Section 2 or at such other time on the same or on such other date, in any event not later than the tenth business day thereafter, as shall be designated in writing by you. The Firm Shares and Additional Shares shall be registered in such names and in such denominations as you shall request in writing not later than one full business day prior to the Closing Date or the applicable Option Closing Date, as the case may be. The Firm Shares and Additional Shares shall be delivered to you on the Closing Date or an Option Closing Date, as the case may be, for the respective accounts of the several Underwriters, "Global Note"), with any transfer taxes payable in connection with the transfer sale of the Shares Securities duly paid by the Issuers. The Global Note will be made available for inspection by the Representatives not later than 1:00 P.M., New York City time, on the business day prior to the Underwriters duly paid, against payment of the Purchase Price therefor. Closing Date. View More
Payment and Delivery. (a) Payment for and delivery of the Firm Shares shall Securities will be made to at the Company in Federal or other funds immediately available in offices of Vinson & Elkins L.L.P., 1001 Fannin Street, Suite 2500, Houston, Texas 77002-6760 at 9:00 A.M., New York City against delivery of such Firm Shares for the respective accounts of the several Underwriters time, on the closing date and time set forth in Schedule I hereto, March 27, 2015, or at such other time or place (including by electronic ...transmission) on the same or such other date, not later than the fifth seventh business day thereafter, as shall be designated the Representatives and the Issuers may agree upon in writing by you. writing. The time and date of such payment are hereinafter and delivery is referred to herein as the "Closing Date." 15 (b) Payment for any Additional Shares the Securities shall be made by the Initial Purchasers by wire transfer in immediately available funds to the Company in Federal or other funds immediately available in New York City Representatives against delivery by the Issuers to the nominee of such Additional Shares The Depository Trust Company ("DTC"), for the respective accounts account of the several Underwriters at 10:00 a.m., New York City time, on Initial Purchasers, of one or more global notes representing the date specified in Securities (collectively, the corresponding notice described in Section 2 or at such other time on the same or on such other date, in any event not later than the tenth business day thereafter, as shall be designated in writing by you. The Firm Shares and Additional Shares shall be registered in such names and in such denominations as you shall request in writing not later than one full business day prior to the Closing Date or the applicable Option Closing Date, as the case may be. The Firm Shares and Additional Shares shall be delivered to you on the Closing Date or an Option Closing Date, as the case may be, for the respective accounts of the several Underwriters, "Global Note"), with any transfer taxes payable in connection with the transfer sale of the Shares Securities duly paid by the Issuers. The Global Note will be made available for inspection by the Representatives not later than 1:00 P.M., New York City time, on the business day prior to the Underwriters duly paid, against payment of the Purchase Price therefor. Closing Date. View More
Payment and Delivery. (a) Payment for and delivery of the Firm Shares shall Securities will be made to at the Company in Federal or other funds immediately available in offices of Vinson & Elkins L.L.P., 1001 Fannin Street, Suite 2500, Houston, Texas 77002-6760 at 9:00 A.M., New York City against delivery of such Firm Shares for the respective accounts of the several Underwriters time, on the closing date and time set forth in Schedule I hereto, November 26, 2013, or at such other time or place (including by electron...ic transmission) on the same or such other date, not later than the fifth seventh business day thereafter, as shall be designated the Representatives and the Issuers may agree upon in writing by you. writing. The time and date of such payment are hereinafter and delivery is referred to herein as the "Closing Date." 15 (b) Payment for any Additional Shares the Securities shall be made by the Initial Purchasers by wire transfer in immediately available funds to the Company in Federal or other funds immediately available in New York City Representatives against delivery by the Issuers to the nominee of such Additional Shares The Depository Trust Company ("DTC"), for the respective accounts account of the several Underwriters at 10:00 a.m., New York City time, on Initial Purchasers, of one or more global notes representing the date specified in Securities (collectively, the corresponding notice described in Section 2 or at such other time on the same or on such other date, in any event not later than the tenth business day thereafter, as shall be designated in writing by you. The Firm Shares and Additional Shares shall be registered in such names and in such denominations as you shall request in writing not later than one full business day prior to the Closing Date or the applicable Option Closing Date, as the case may be. The Firm Shares and Additional Shares shall be delivered to you on the Closing Date or an Option Closing Date, as the case may be, for the respective accounts of the several Underwriters, "Global Note"), with any transfer taxes payable in connection with the transfer sale of the Shares Securities duly paid by the Issuers. The Global Note will be made available for inspection by the Representatives not later than 1:00 P.M., New York City time, on the business day prior to the Underwriters duly paid, against payment of the Purchase Price therefor. Closing Date. View More
Payment and Delivery. (a) Payment for and delivery of the Firm Shares shall Securities will be made to at the Company in Federal or other funds immediately available in offices of Sidley Austin LLP at 10:00 A.M., New York City against delivery of such Firm Shares for the respective accounts of the several Underwriters time, on the closing date and time set forth in Schedule I hereto, Closing Date, or at such other time or place on the same or such other date, not later than the fifth business day thereafter, as shall... be designated you and the Transaction Entities may agree upon in writing by you. The time and date of such payment are hereinafter referred to as the "Closing Date." 15 writing. 14 (b) Payment for any Additional Shares the Securities shall be made by wire transfer in immediately available funds to the Company in Federal or other funds immediately available in New York City account specified by the Operating Partnership to you against delivery to the nominee of such Additional Shares The Depository Trust Company ("DTC"), for the respective accounts account of the several Underwriters at 10:00 a.m., New York City time, on Underwriters, of one or more global notes representing the date specified in Securities (collectively, the corresponding notice described in Section 2 or at such other time on the same or on such other date, in any event not later than the tenth business day thereafter, as shall be designated in writing by you. The Firm Shares and Additional Shares shall be registered in such names and in such denominations as you shall request in writing not later than one full business day prior to the Closing Date or the applicable Option Closing Date, as the case may be. The Firm Shares and Additional Shares shall be delivered to you on the Closing Date or an Option Closing Date, as the case may be, for the respective accounts of the several Underwriters, "Global Notes"), with any transfer taxes payable in connection with the transfer sale of the Shares Securities to the Underwriters duly paid, against payment paid by the Operating Partnership. A copy of the Purchase Price therefor. Global Notes will be made available for inspection by you at the offices of Sidley Austin LLP not later than 1:00 P.M., New York City time, on the business day prior to the Closing Date. View More
Payment and Delivery. (a) Payment for and delivery of the Firm Shares shall Securities will be made to at the Company in Federal or other funds immediately available in offices of Sidley Austin LLP at 10:00 A.M., New York City against delivery of such Firm Shares for the respective accounts of the several Underwriters time, on the closing date and time set forth in Schedule I hereto, Closing Date, or at such other time or place on the same or such other date, not later than the fifth business day thereafter, as shall... be designated you and the Transaction Entities may agree upon in writing by you. The time and date of such payment are hereinafter referred to as the "Closing Date." 15 writing. (b) Payment for any Additional Shares the Securities shall be made by wire transfer in immediately available funds to the Company in Federal or other funds immediately available in New York City account specified by the Operating Partnership to you against delivery to the nominee of such Additional Shares The Depository Trust Company ("DTC"), for the respective accounts account of the several Underwriters at 10:00 a.m., New York City time, on Underwriters, of one or more global notes representing the date specified in Securities (collectively, the corresponding notice described in Section 2 or at such other time on the same or on such other date, in any event not later than the tenth business day thereafter, as shall be designated in writing by you. The Firm Shares and Additional Shares shall be registered in such names and in such denominations as you shall request in writing not later than one full business day prior to the Closing Date or the applicable Option Closing Date, as the case may be. The Firm Shares and Additional Shares shall be delivered to you on the Closing Date or an Option Closing Date, as the case may be, for the respective accounts of the several Underwriters, "Global Notes"), with any transfer taxes payable in connection with the transfer sale of the Shares Securities to the Underwriters duly paid, against payment paid by the Operating 13 Partnership. A copy of the Purchase Price therefor. Global Notes will be made available for inspection by you at the offices of Sidley Austin LLP not later than 1:00 P.M., New York City time, on the business day prior to the Closing Date. View More
Payment and Delivery. Payment for the Firm Shares to be sold by each Seller shall be made to the Company such Seller in Federal or other funds immediately available in New York City against delivery of such Firm Shares for the respective accounts of the several Underwriters at 10:00 a.m., New York City time, on the closing date and time set forth in Schedule I hereto, [____________], 20[__], or at such other time on the same or such other date, not later than the fifth business day thereafter, [_________], 20[__], as... shall be designated in writing by you. the Representatives. The time and date of such payment are hereinafter referred to as the "Closing Date." 15 Payment for any Additional Shares shall be made to the Company Selling Shareholders in Federal or other funds immediately available in New York City against delivery of such Additional Shares for the respective accounts of the several Underwriters at 10:00 a.m., New York City time, on the date specified in the corresponding notice described in Section 2 3 or at such other time on the same or on such other date, in any event not later than the tenth business day thereafter, [_______], 20[__], as shall be designated in writing by you. the Representatives. The Firm Shares and Additional Shares shall be registered in such names and in such denominations as you the Representatives shall request in writing not later than one full business day prior to the Closing Date or the applicable Option Closing Date, as the case may be. The Firm Shares and Additional Shares shall be delivered to you the Representatives on the Closing Date or an Option Closing Date, as the case may be, for the respective accounts of the several Underwriters, with any transfer taxes payable in connection with the transfer of the Shares to the Underwriters duly paid, against payment of the Purchase Price therefor. View More
Payment and Delivery. Payment for and delivery of the Firm Shares shall Securities will be made to at the Company in Federal or other funds immediately available in offices of Vinson & Elkins L.L.P., 1001 Fannin Street, Suite 2500, Houston, Texas 77002 at 10:00 A.M., New York City against delivery of such Firm Shares for the respective accounts of the several Underwriters time, on the closing date and time set forth in Schedule I hereto, March 17, 2015, or at such other time or place on the same or such other date, n...ot later than the fifth business day thereafter, as shall be designated the Representative and the Company may agree upon in writing by you. writing. The time and date of such payment are hereinafter and delivery is referred to herein as the "Closing Date." 15 (a) Payment for any Additional Shares the Securities shall be made by wire transfer in immediately available funds to the account(s) specified by the Company in Federal or other funds immediately available in New York City to the Representative against delivery to the nominee of such Additional Shares The Depository Trust Company ("DTC"), for the respective accounts account of the several Underwriters at 10:00 a.m., New York City time, on Initial Purchasers, of one or more global notes representing the date specified in Securities (collectively, the corresponding notice described in Section 2 or at such other time on the same or on such other date, in any event not later than the tenth business day thereafter, as shall be designated in writing by you. The Firm Shares and Additional Shares shall be registered in such names and in such denominations as you shall request in writing not later than one full business day prior to the Closing Date or the applicable Option Closing Date, as the case may be. The Firm Shares and Additional Shares shall be delivered to you on the Closing Date or an Option Closing Date, as the case may be, for the respective accounts of the several Underwriters, "Global Note"), with any transfer taxes payable in connection with the transfer sale of the Shares to Securities duly paid by the Underwriters duly paid, against payment of the Purchase Price therefor. Company. View More
Payment and Delivery. Payment for and delivery of the Firm Shares shall Securities will be made to at the Company in Federal or other funds immediately available in offices of Vinson & Elkins L.L.P., 1001 Fannin Street, Suite 2500, Houston, Texas 77002 at 10:00 A.M., New York City against delivery of such Firm Shares for the respective accounts of the several Underwriters time, on the closing date and time set forth in Schedule I hereto, May 6, 2014, or at such other time or place on the same or such other date, not ...later than the fifth business day thereafter, as shall be designated the Representative and the Company may agree upon in writing by you. writing. The time and date of such payment are hereinafter and delivery is referred to herein as the "Closing Date." 15 (a) Payment for any Additional Shares the Securities shall be made by wire transfer in immediately available funds to the account(s) specified by the Company in Federal or other funds immediately available in New York City to the Representative against delivery to the nominee of such Additional Shares The Depository Trust Company ("DTC"), for the respective accounts account of the several Underwriters at 10:00 a.m., New York City time, on Initial Purchasers, of one or more global notes representing the date specified in Securities (collectively, the corresponding notice described in Section 2 or at such other time on the same or on such other date, in any event not later than the tenth business day thereafter, as shall be designated in writing by you. The Firm Shares and Additional Shares shall be registered in such names and in such denominations as you shall request in writing not later than one full business day prior to the Closing Date or the applicable Option Closing Date, as the case may be. The Firm Shares and Additional Shares shall be delivered to you on the Closing Date or an Option Closing Date, as the case may be, for the respective accounts of the several Underwriters, "Global Note"), with any transfer taxes payable in connection with the transfer sale of the Shares to Securities duly paid by the Underwriters duly paid, against payment of the Purchase Price therefor. Company. View More
Payment and Delivery. Payment for and delivery of the Firm Shares shall Securities will be made to at the Company in Federal or other funds immediately available in offices of Vinson & Elkins L.L.P., 1001 Fannin Street, Suite 2500, Houston, Texas 77002 at 10:00 A.M., New York City against delivery of such Firm Shares for the respective accounts of the several Underwriters time, on the closing date and time set forth in Schedule I hereto, December 21, 2016, or at such other time or place on the same or such other date..., not later than the fifth business day thereafter, as shall be designated the Representative and the Company may agree upon in writing by you. writing. The time and date of such payment are hereinafter and delivery is referred to herein as the "Closing Date." 15 (a) Payment for any Additional Shares the Securities shall be made by wire transfer in immediately available funds to the account(s) specified by the Company in Federal or other funds immediately available in New York City to the Representative against delivery to the nominee of such Additional Shares The Depository Trust Company ("DTC"), for the respective accounts account of the several Underwriters at 10:00 a.m., New York City time, on Initial Purchasers, of one or more global notes representing the date specified in Securities (collectively, the corresponding notice described in Section 2 or at such other time on the same or on such other date, in any event not later than the tenth business day thereafter, as shall be designated in writing by you. The Firm Shares and Additional Shares shall be registered in such names and in such denominations as you shall request in writing not later than one full business day prior to the Closing Date or the applicable Option Closing Date, as the case may be. The Firm Shares and Additional Shares shall be delivered to you on the Closing Date or an Option Closing Date, as the case may be, for the respective accounts of the several Underwriters, "Global Note"), with any transfer taxes payable in connection with the transfer sale of the Shares to Securities duly paid by the Underwriters duly paid, against payment of the Purchase Price therefor. Company. View More