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.
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Payment and Delivery. Payment for the
Firm Shares
to be sold by the Selling Shareholder shall be made to the
Company Selling Shareholder in
Federal federal or other funds immediately available in New York City against delivery of such
Firm Shares for the
respective accounts account of the
several Underwriters Underwriter at 10:00 a.m., New York City time, on
the closing date and time set forth in Schedule I hereto, December 4, 2017, or at such other time on the same or such other
date, not later than the fifth busine...ss day thereafter, date 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. Date. 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 account of the several Underwriters, with Underwriter. The Purchase Price payable by the Underwriter shall be reduced by (i) any transfer taxes payable paid by, or on behalf of, the Underwriter in connection with the transfer of the Shares to the Underwriters Underwriter duly paid, against payment of the Purchase Price therefor. paid and (ii) any withholding required by law.
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Payment and Delivery.
Payment for the Firm (a) The Shares
shall will be
made delivered to the
Representatives in book-entry form through the facilities of The Depository Trust Company
in Federal ("DTC"), or
other funds immediately available in New York City against delivery of such Firm as otherwise agreed to by the relevant parties. The 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 (including 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 Shares, if any) 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 the Purchase Price and the Option Purchase Price payable by the Underwriters to be reduced by (i) any transfer taxes payable paid by, or on behalf of, the Underwriters in connection with the transfer of the Shares to the Underwriters duly paid, paid and (ii) any withholding required by law. (b) Payment for the Shares shall be made by the Underwriters to the Forward Sellers (with respect to the Underwritten Borrowed Shares) or to the Company (with respect to any Underwritten Company Top-Up Shares) in federal or other funds immediately available in New York City to bank accounts 22 designated by the Forward Sellers or the Company, as the case may be, against payment delivery to the Representatives for the respective accounts of the Purchase Price therefor. Underwriters of certificates or security entitlements for the Shares to be purchased by them at 10:00 a.m., New York City time, on January 18, 2023, or such other time not later than three business days after such date as shall be agreed upon by the Underwriters, the Forward Sellers or the Company, as applicable, or as provided in Section 10(a) hereof (such date and time of delivery and payment for such Shares being herein called the "Closing Date"). Unless otherwise agreed to by the relevant parties, delivery of the Shares shall be made, and the Shares shall be registered in, the name of Cede as nominee of DTC, and available for checking in New York, New York not later than 4:00 p.m., New York City time, on the business day prior to the Closing Date. (c) Notwithstanding the provisions set forth in Section 4(a) hereof, if the right provided for in Section 3(b) hereof is exercised after the second business day prior to the Closing Date, delivery of the Additional Shares shall be made to the Underwriters on the date specified by the Representatives (which shall be at least one but within two business days after written notice of the exercise of such right is given) for the respective accounts of the several Underwriters. Payment for any Additional Shares shall be made by the Underwriters to the Forward Sellers (with respect to any Additional Borrowed Shares) or the Company (with respect to any Additional Company Top-Up Shares) 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, by causing DTC to credit the respective accounts of the several Underwriters at DTC on the date specified in the corresponding notice described in Section 3(b) hereof, or as otherwise agreed to by the relevant parties. If settlement for the Additional Shares occurs after the Closing Date, then the Company shall deliver to the Representatives on each relevant Option Closing Date, and the obligation of the Underwriters to purchase the Additional Shares shall be conditioned upon receipt of, supplemental opinions, certificates and letters confirming as of such date the opinions, certificates and letters delivered on the Closing Date pursuant to Sections 6(b)-(e) hereof. (d) The Shares shall be registered in such names and in such denominations as 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.
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Payment and Delivery. Payment for the
Firm Shares Securities shall be made to the Company in Federal or other funds immediately available in New York City against delivery of
such Firm Shares the Securities 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, June 15, 2020, or at such other time on the same or such other date, not later than
the fifth business day thereafter, June 22, 2020, as shall be designated in wri
...ting by you. The time and date of such payment are hereinafter referred to as the "Closing Date." 15 Payment for any Additional Shares the Securities shall be made to the Company in Federal or other funds immediately available in New York City against delivery of such Additional Shares to you on the Closing Date for the respective accounts of the several Underwriters at 10:00 a.m., New York City time, on of 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 Securities 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 Securities to the Underwriters duly paid, against payment of the Purchase Price therefor. paid.
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Payment and Delivery. Payment for the Firm Shares
to be sold by the Company shall be made to the Company
in by wire transfer of Federal
or other (same-day) funds immediately available in
New York City Milwaukee against delivery of such Firm Shares for the respective accounts of the several Underwriters
at 10:00 a.m., Central Time, on
the closing date and time set forth in Schedule I hereto, April 3, 2013, or at such other time on the same or such other date, not later than
the fifth business day thereafter, April 17,... 2013, as shall be designated in writing by you. the Manager. The time and date of such payment are hereinafter referred to as the "Closing Date." 15 14 Payment for any Additional Shares shall be made to the Company in by wire transfer of Federal or other (same-day) funds immediately available in New York City Milwaukee against delivery of such Additional Shares for the respective accounts of the several Underwriters at 10:00 a.m., New York City time, Central Time, on the date specified in the corresponding notice described in Section 2 each Option Closing Date or at such other time on the same or on such other date, in any event not later than the tenth business day thereafter, date as shall be designated in writing by you. the Manager, in any event not later than May 13, 2013. The Firm Shares and Additional Shares shall be registered in such names and in such denominations as you the Manager 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 Manager 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. Delivery of the Shares shall be made through the facilities of The Depository Trust Company ("DTC") for the accounts of the Underwriters, unless the Manager shall otherwise instruct.
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Payment and Delivery. Payment for the
Firm Shares Securities shall be made to the Company in Federal or other funds immediately available in New York City against delivery of
such Firm Shares the Securities 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, April 3, 2020, or at such other time on the same or such other date, not later than
the fifth business day thereafter, April 10, 2020, as shall be designated in wr
...iting by you. The time and date of such payment are hereinafter referred to as the "Closing Date." 15 Payment for any Additional Shares the Securities shall be made to the Company in Federal or other funds immediately available in New York City against delivery of such Additional Shares to you on the Closing Date for the respective accounts of the several Underwriters at 10:00 a.m., New York City time, on of 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 Securities 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 Securities to the Underwriters duly paid, against payment of the Purchase Price therefor. paid.
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Payment and Delivery. Payment for the
Firm Shares Notes shall be made to the
Company Fund in Federal or other funds immediately available
in New York City to a bank account designated by the Fund against delivery of
such Firm Shares the Notes, with any transfer taxes payable in connection with the sale of the Notes duly paid by the Fund, for the respective accounts of the several Underwriters
at 10:00 A.M. (New York City time), on the
closing second full business day following the date
and time set forth in Schedule ...I hereto, of this Agreement, or at such other time on the same or such other date, not later than date determined by agreement between the fifth business day thereafter, as shall be designated in writing by you. Fund and the Representative. The time and date of such payment are hereinafter herein referred to as the "Closing Date." 15 Payment for any Additional Shares Notes shall be made to the Company Fund in Federal or other funds immediately available in New York City to a bank account designated by the Fund against delivery of such Additional Shares Notes, with any transfer taxes payable in connection with the sale of the Additional Notes duly paid by the Fund, for the respective accounts of the several Underwriters at 10:00 a.m., New A.M. (New York City time, 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, November 18, 2022, as shall be designated in writing by you. the Representative. The Firm Shares time and date of any such payment for Additional Notes are herein referred to as the "Option Closing Date." The Notes and Additional Shares Notes shall be registered in such names and in such denominations as you the Representative 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 Notes and Additional Shares Notes shall be delivered to you through the facilities of The Depository Trust Company 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. Underwriters.
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Payment and Delivery. Payment for the
Firm Shares
to be sold by the Selling Shareholder shall be made to the
Company Selling Shareholder 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, November 8, 2016, or at such other time on the same or such other date, not later than
the fifth business day thereafter, November ...11, 2016, 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. Date. 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 Underwriters. The Purchase Price payable by the Underwriters shall be reduced by (i) any transfer taxes payable paid by, or on behalf of, the Underwriters in connection with the transfer of the Shares to the Underwriters duly paid, against payment of the Purchase Price therefor. paid and (ii) any withholding required by law.
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Payment and Delivery. Payment for the
Firm Shares Securities shall be made to the Company in Federal or other funds immediately available in New York City against delivery of such
Firm Shares Securities 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, June 15, 2022, or at such other time on the same or such other date, not later than
the fifth two business
day days thereafter, as shall be designated in writing by yo
...u. The time and date of such payment are hereinafter referred to as the "Closing Date." 15 Payment for any Additional Shares The Securities shall be made to the Company in Federal definitive form 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 global form, as 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 you, 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. Date. The Firm Shares and Additional Shares Securities 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 Securities to the Underwriters duly paid, against payment of the Purchase Price therefor. purchase price therefor plus accrued interest, if any, to the date of payment and delivery. Delivery of the Securities shall be made through the facilities of The Depository Trust Company.
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Payment and Delivery. Payment for the
Firm Shares Securities shall be made to the Company in Federal or other funds immediately available in New York City against delivery of
such Firm Shares the Securities 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, April 15, 2014, or at such other time on the same or such other date, not later than
the fifth business day thereafter, April 22, 2014, as shall be designated in w
...riting by you. The time and date of such payment are hereinafter referred to as the "Closing Date." 15 Payment for any Additional Shares the Securities shall be made to the Company in Federal or other funds immediately available in New York City against delivery of such Additional Shares to you on the Closing Date for the respective accounts of the several Underwriters at 10:00 a.m., New York City time, on of 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 Securities 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 Securities to the Underwriters duly paid, against payment of the Purchase Price therefor. paid.
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Payment and Delivery. Payment for the Firm Shares
to be sold by the Company and each Selling Stockholder shall be made to the Company in
Federal federal or other funds immediately available in
New York City Milwaukee, Wisconsin against delivery of such Firm Shares for the respective accounts of the several Underwriters
at 10:00 a.m., Central Time, on
the closing date and time set forth in Schedule I hereto, [●], 2018, or at such other
time on the same or such other date, date and time, not later than
the fifth busine...ss day thereafter, [●], 2018, as shall be designated in writing by you. The time the Representatives (such date and date of such payment are hereinafter referred to as time, the "Closing Date." 15 Date"). Payment for any Additional Shares shall be made to the Company [Selling Stockholders/Custodian] in Federal federal or other funds immediately available in New York City Milwaukee, Wisconsin against delivery of such Additional Shares for the respective accounts of the several Underwriters at 10:00 a.m., New York City time, Central Time, on the date specified in the corresponding exercise notice described in Section 2 3 hereof or at such other time on the same or on such other date, in any event date and time, not later than the tenth business day thereafter, [●], 2018, as shall be designated in writing by you. the Representatives. The Firm Shares and the 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. applicable. The Firm Shares and the Additional Shares shall be delivered to you the Representatives on the Closing Date or an the Option Closing Date, as the case may be, applicable, 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. Delivery of the Shares shall be made through the facilities of the Depository Trust Company ("DTC") for the accounts of the Underwriters, unless the Representatives shall otherwise instruct. The certificates for the Shares, if any, will be made available for inspection and packaging by the Representatives at the office of DTC or its designated custodian not later than 12:00 p.m., Central Time, on the business day prior to the Closing Date or the Option Closing Date, as applicable.
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