Closing Date Calculations. As set forth in this Section 2.5, Insurer, Company and Plan Trustee (at the direction of Independent Fiduciary) will cooperate in good faith to calculate the Closing Date Asset Portfolio Full Market Value and the Closing Date Cash Amount, with respect to each Group Annuity Contract, prior to the Closing Date to reconcile any adjustments to the Base Annuity Premium.
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Closing Date Calculations. As set forth in this Section 2.52.6, Insurer, Company and Plan Trustee (at the direction of Independent Fiduciary) will cooperate in good faith to calculate produce a calculation of the Closing Date Asset Portfolio Full Market Value and the Closing Date Cash Amount, with respect to each the Group Annuity Contract, prior to the Closing Date to reconcile any adjustments to the Base Annuity Premium.. [ * * * ]
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