Payment and Delivery Contract Clauses (1,283)

Grouped Into 33 Collections of Similar Clauses From Business Contracts

This page contains Payment and Delivery clauses in business contracts and legal agreements. We have organized these clauses into groups of similarly worded clauses.
Payment and Delivery. The Company will deliver the Firm Shares to the Representatives through the facilities of The Depository Trust Company ("DTC") for the accounts of the Underwriters, against payment of the purchase price therefor in Federal (same day) funds by wire transfer drawn to the order of the Company at the offices of Duane Morris LLP, 1540 Broadway, New York, NY 10036, at 9:00 A.M., New York time, on May 29, 2020, or at such other time not later than seven (7) full business days thereafter as the Represen...tatives and the Company may determine, such time being herein referred to as the "Closing Date." For purposes of Rule 15c6-1 under the Exchange Act, the Closing Date (if later than the otherwise applicable settlement date) shall be the settlement date for payment of funds and delivery of securities for all the Firm Shares. Each time for the delivery of and payment for the Option Shares, being herein referred to as an "Option Closing Date," which may be the Closing Date, shall be determined by the Representatives and the Company as provided above. The Company will deliver the Option Shares being purchased on each Option Closing Date to the Representatives through the facilities of DTC for the accounts of the Underwriters, against payment of the purchase price therefor in Federal (same day) funds by wire transfer drawn to the order of the Company at the above office of Duane Morris LLP, at 9:00 A.M., New York time on the applicable Option Closing Date. View More
Payment and Delivery. The Company will deliver the Firm Shares to the Representatives FBR through the facilities of The Depository Trust Company ("DTC") for the accounts of the Underwriters, against payment of the purchase price therefor in Federal (same day) funds by wire transfer drawn to the order of the Company at the offices of Duane Morris LLP, 1540 Broadway, One Riverfront Plaza, 1037 Raymond Boulevard, Suite 1800, Newark, New York, NY 10036, Jersey 07102, at 9:00 A.M., New York time, on May 29, 2020, November... 14, 2017, or at such other time not later than seven (7) full business days thereafter as the Representatives FBR and the Company may determine, such time being herein referred to as the "Closing Date." For purposes of Rule 15c6-1 under the Exchange Act, the Closing Date (if later than the otherwise applicable settlement date) shall be the settlement date for payment of funds and delivery of securities for all the Firm Shares. Each time for the delivery of and payment for the Option Shares, being herein referred to as an "Option Closing Date," which may be the Closing Date, shall be determined by the Representatives FBR and the Company as provided above. The Company will deliver the Option Shares being purchased on each Option Closing Date to the Representatives FBR through the facilities of DTC for the accounts of the Underwriters, against payment of the purchase price therefor in Federal (same day) funds by wire transfer drawn to the order of the Company at the above office of Duane Morris LLP, at 9:00 A.M., New York time on the applicable Option Closing Date. View More
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Payment and Delivery. (a) Payment for and delivery of the Securities will be made at the offices of Cahill Gordon & Reindel LLP, 80 Pine Street, New York, New York 10005 at 10:00 A.M., New York City time, on October 25, 2019, or at such other time or place on the same or such other date, not later than the fifth business day thereafter, as the Representative and the Company may agree upon in writing. The time and date of such payment and delivery is referred to herein as the "Closing Date." (b) Payment for the Securi...ties, which will be represented by one or more global notes (collectively, the "Euro Global Notes"), shall be made by wire transfer in immediately available funds to the account(s) specified by the Company, with such Euro Global Notes deposited by or on behalf of a common depositary for Euroclear Bank SA/NV ("Euroclear") and Clearstream Banking, société anonyme ("Clearstream"), or their nominees, and such payment being made against the Company delivering the Securities to the Representative, for the account of the Initial Purchasers, by causing Euroclear and Clearstream to credit the Securities represented by the Euro Global Notes to the account of the Representative at Euroclear and Clearstream. The Euro Global Notes will be made available for inspection by the Representative 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 Securities will be made at the offices of Cahill Gordon & Reindel LLP, 80 Pine Street, New York, New York 10005 at 10:00 A.M., New York City time, on October 25, 2019, May 2, 2017, or at such other time or place on the same or such other date, not later than the fifth business day thereafter, as the Representative and the Company may agree upon in writing. The time and date of such payment and delivery is referred to herein as the "Closing Date." (b) Payment f...or the Securities, which will be represented by one or more global notes (collectively, the "Euro Global Notes"), "Global Note"), shall be made by wire transfer in immediately available funds to the account(s) specified by the Company, with such Euro Global Notes deposited by or on behalf of a common depositary for Euroclear Bank SA/NV ("Euroclear") and Clearstream Banking, société anonyme ("Clearstream"), or their nominees, and such payment being made against the Company delivering the Securities to the Representative, for the account of the Initial Purchasers, by causing Euroclear and Clearstream to credit the Securities represented by the Euro Global Notes Note to the account of the Representative at Euroclear and Clearstream. The Euro Global Notes Note will be made available for inspection by the Representative not later than 1:00 P.M., New York City time, on the business day prior to the Closing Date. View More
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Payment and Delivery. Payment for and delivery of the Securities shall be made at 10:00 a.m., New York City time, on January 29, 2019, or at such other time on the same or such other date, not later than the fifth business day thereafter, as may be designated in writing by you. The time and date of such payment are hereinafter referred to as the "Closing Date." Payment for the Securities shall be made to the Company in Federal or other funds immediately available in New York City against delivery to the nominee of Th...e Depository Trust Company ("DTC"), for the account of the Underwriters, of one or more global depositary receipts representing the Securities ("Global Receipts"). The Purchase Price payable by the Underwriters shall be reduced by any withholding required by law. View More
Payment and Delivery. Payment for and delivery of the Securities shall be made at 10:00 a.m., New York City time, on January 29, October 28, 2019, or at such other time on the same or such other date, not later than the fifth business day thereafter, as may be designated in writing by you. The time and date of such payment are hereinafter referred to as the "Closing Date." Payment for the Securities shall be made to the Company in Federal or other funds immediately available in New York City against delivery to the n...ominee of The Depository Trust Company ("DTC"), for the account of the Underwriters, of one or more global depositary receipts representing the Securities ("Global Receipts"). The Purchase Price payable by the Underwriters shall be reduced by any withholding required by law. View More
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