Corporate - Brick House Tavern + Tap Sample Clauses

Corporate - Brick House Tavern + Tap. Except as otherwise indicated, the Tenant of all leases is BHTT Entertainment, Inc. Restaurant Name # Address City State ZIP 1 Parker 20224 10000 Xxxxxxxxxx Xx. Xxxxxx XX 00000 1 Colorado Total 2 Orlando 20215 8000 Xxxxxxxxxxxxx Xx. Xxxxxxx XX 00000 3 Tampa 20211 1000 Xxxxx Xxxx Xxxxx Hwy. Tampa FL 33607 4 Clearwater 20228 20000 XX Xxx 00 X. Xxxxxxxxxx XX 00000 3 Florida Total 5 Downers Grove 20201 1000 Xxxxxxxxxxx Xx. Xxxxxxx Grove IL 60515 6 Niles 20206 5000 Xxxx Xxxxx Xxx. Xxxxx XX 00000 2 Illinois Total 7 Louisville 20210 800 X. Xxxxxxxxxxx Xxxxxxx Xxxxxxxxxx XX 00000 1 Kentucky Total 8 Chesterfield 20205 2 XxXxxxx & Son Center Dr. Chesterfield MO 63005 1 Missouri Total 9 Xxxxx Xxxxxxxxxx-* Xxxxxx xx Xxxxxx Xxxxxxxxxxx - Xxx Xxxxxx, Inc. 20207 4000 Xxxxxxx Xx. Xxxxx Xxxxxxxxxx XX 00000 10 Neptune 20205 3000 Xxxxx 00 Xxxxxxx XX 00000 2 New Jersey Total 11 Amherst 20212 4000 Xxxxx Xx. Xxxxxxx XX 00000 1 New York Total 12 Cxxxxxxx Xxxxx 00000 500 Xxxx Xxx. Cuyahoga Falls OH 44221 1 Ohio Total 10 Xxxxxx Xxxxx 20203 2000 Xxxxxx Xx. Xxxxxx Xxxxx XX 00000 1 Pennsylvania Total 14 290 20202 10000 Xxxxxxxxx Xxxxxxx Xxxxxxx XX 00000 15 Austin 20218 10000 X Xxxxxxxx Xxxx. Xxxxxx XX 00000 16 Galveston-* Tenant is Crab Addison Inc. 20223 3000 Xxxxxxx Xxxx. Xxxxxxxxx XX 00000 17 Humble 20204 100 XX 0000 Xxxxxx X. Xx. Xxxxxx XX 00000 18 Plano 20208 4000 Xxxx Xxxx Xxxx. Xxxxx XX 00000 19 Houston 249 20226 10000 Xxxxxxx Xxxxxxx Xxxxxxx XX 00000 20 San Antonio 20227 1000 Xxxxx XX 0000 X Xxx Xxxxxxx XX 00000 7 Texas Total Schedule 6.9(b) Locations for which a Landlord’s Waiver was Requested under the Existing Credit Agreement Unit Name Unit # Address JCS FORT MXXXXX 10174 Navillus Group LLC c/o Xxxxxxx MxXxxxxxx LLP 100 Xxxxxxx Xxxxxx Xxxxxx, XX 00000 JCS VXXXXXXXX 00000 Lxx X. Xxxx DBA ACW Properties Series 1 LLC 900 X Xxxxxxxxx Xxxx, #000 Xxxxxx Xxxx, XX 00000 JCS LAUDERHILL 10406 4400 University Limited Partnership In Care Of: Sevell Realty Partners 2000 Xxxxxxxxx Xxxx. XX, Xxxxx 000 Xxxx Xxxxx, XX 00000 Attn: Axxxxx Xxxxxx, President & BrokerTel JCS NASHVILLE 10420 Gregcoh, LLC Attn: Nxxxx Xxxx 10000 Xxxxxx Xx. Xxxxxx, XX 00000 JCS GALVESTON 10611 Gulf Properties P.X. Xxx 000 Xxxxxxxxx, XX 00000 JCS DESTIN 10612 Axxxxx Xxxxx Chief Financial Officer Rxxxx Associates 2000 Xxxxx Xxxxxxxx Xxxxx, Xxxxx 000 Xxxxxxx Xxxxx, Xxxxxxx 00000 JCS MXXXXX XXXXXXXX 10000 Xxxxxxxx at the Beach Attention: Lease Administration P.X. Xxx 0000 Xxxxxx Xxxxx, XX 00000 JCS SAN ANTONIO RIVERWA...
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Related to Corporate - Brick House Tavern + Tap

  • HORIZONR Gateway HORIZONR Gateway provides customers with the ability to (i) generate reports using information maintained on the Multicurrency HORIZONR Accounting System which may be viewed or printed at the customer’s location; (ii) extract and download data from the Multicurrency HORIZONR Accounting System; and (iii) access previous day and historical data. The following information which may be accessed for these purposes: 1) holdings; 2) holdings pricing; 3) transactions, 4) open trades; 5) income; 6) general ledger and 7) cash.

  • FUND ADMINISTRATION SERVICES BNY Mellon shall provide the following fund administration services for each Fund, Series and class:  Calculate Fund approved income and per share amounts required for periodic distributions to be made by the applicable Fund, Series or class;  Coordinate a Fund’s annual audit and respond timely and completely to related requests;  Cooperate with each Fund’s independent auditors;  Supply various normal and customary portfolio and Fund statistical data as requested on an ongoing basis; and  If the chief executive officer or chief financial officer of a Fund is required to provide a certification as part of the Fund’s Form N-Q or Form N-CSR filing pursuant to regulations promulgated by the SEC under Section 302 of the Xxxxxxxx-Xxxxx Act of 2002, provide a sub-certification in support of certain matters set forth in the aforementioned certification. Such sub-certification is to be in such form and relating to such matters as reasonably agreed to by BNY Mellon in advance. BNY Mellon shall be required to provide the sub-certification only during the term of this Agreement with respect to the applicable Fund or Series and only if it receives such cooperation as it may request to perform its investigations with respect to the sub-certification. For clarity, the sub-certification is not itself a certification under the Xxxxxxxx-Xxxxx Act of 2002 or under any other law, rule or regulation. REGULATORY ADMINISTRATION SERVICES BNY Mellon shall provide the following regulatory administration services for each Fund and Series:  Assist the Fund in responding to SEC examination requests by providing requested documents in the possession of BNY Mellon that are on the SEC examination request list and by making employees responsible for providing services available to regulatory authorities having jurisdiction over the performance of such services as may be required or reasonably requested by such regulatory authorities;  Assist with and/or coordinate such other filings, notices and regulatory matters and other due diligence requests or requests for proposal on such terms and conditions as BNY Mellon and the applicable Fund on behalf of itself and its Series may mutually agree upon in writing from time to time; and

  • Fund Administration Tax Services x. Compute tax basis provisions for both excise and income tax purposes;

  • Payments for Distribution Assistance and Administrative Support Services (a) Payments to the Distributor. In consideration of the payments made by the Fund to the Distributor under this Plan, the Distributor shall provide administrative support services and distribution services to the Fund. Such services include distribution assistance and administrative support services rendered in connection with Shares (1) sold in purchase transactions, (2) issued in exchange for shares of another investment company for which the Distributor serves as distributor or sub-distributor, or (3) issued pursuant to a plan of reorganization to which the Fund is a party. If the Board believes that the Distributor may not be rendering appropriate distribution assistance or administrative support services in connection with the sale of Shares, then the Distributor, at the request of the Board, shall provide the Board with a written report or other information to verify that the Distributor is providing appropriate services in this regard. For such services, the Fund will make the following payments to the Distributor:

  • citizens abroad 2. Unless the circumstances described in the parenthetical in paragraph 1 above are applicable, either (a) at the time the buy order was originated, the buyer was outside the United States or we and any person acting on our behalf reasonably believed that the buyer was outside the United States or (b) the transaction was executed in, on or through the facilities of a designated offshore securities market, and neither we nor any person acting on our behalf knows that the transaction was pre-arranged with a buyer in the United States.

  • Fund Administration Treasury Services a. Prepare for the review by designated officer(s) of the Trusts’ financial information that will be included in the Trusts’ semi-annual and annual shareholder reports (which shall also be subject to review by the Trusts’ legal counsel), and other quarterly reports (as mutually agreed upon), including tax footnote disclosures where applicable;

  • Mutual Fund Entity Name Reference ID Entity Type Virginia Tax-Free Bond Fund VAB Mutual Fund - Series X. Xxxx Price Summit Funds, Inc. SIF Mutual Fund - Parent X. Xxxx Price Summit Cash Reserves Fund SCR Mutual Fund - Series X. Xxxx Price Summit Municipal Funds, Inc. SMF Mutual Fund - Parent X. Xxxx Price Summit Municipal Income Fund SMI Mutual Fund - Series X. Xxxx Price Summit Municipal Intermediate Fund SMT Mutual Fund - Series X. Xxxx Price Summit Municipal Money Market Fund SMM Mutual Fund - Series X. Xxxx Price Tax-Efficient Funds, Inc. TEF Mutual Fund - Parent X. Xxxx Price Tax-Efficient Equity Fund TMC Mutual Fund - Series X. Xxxx Price Tax-Exempt Money Fund, Inc. TEM Mutual Fund X. Xxxx Price Tax-Free High Yield Fund, Inc. TFH Mutual Fund - Parent X. Xxxx Price Tax-Free Income Fund, Inc. TFI Mutual Fund - Parent X. Xxxx Price Tax-Free Short-Intermediate Fund, Inc. TFS Mutual Fund - Parent X. Xxxx Price Tax-Free Ultra Short-Term Bond Fund TUS Mutual Fund - Series X. Xxxx Price U.S. Bond Enhanced Index Fund, Inc. UBX Mutual Fund X. Xxxx Price U.S. Large-Cap Core Fund, Inc. LCF Mutual Fund - Parent X. Xxxx Price U.S. Treasury Funds, Inc. USTF Mutual Fund - Parent U.S. Treasury Intermediate Fund USI Mutual Fund - Series U.S. Treasury Long-Term Fund USL Mutual Fund - Series U.S. Treasury Money Fund UST Mutual Fund - Series X. Xxxx Price Value Fund, Inc. VAL Mutual Fund - Parent '40 Act Registered Fund of Funds X. Xxxx Price Retirement Funds, Inc. RDF Mutual Fund - Parent X. Xxxx Price Retirement 2005 Fund RPJ Mutual Fund - Series X. Xxxx Price Retirement 2010 Fund RPA Mutual Fund - Series 50 Mutual Fund Entity Name Reference ID Entity Type

  • Information Systems Acquisition Development and Maintenance a. Client Data – Client Data will only be used by State Street for the purposes specified in this Agreement.

  • Xxxxxxx Xxxxxxx Restrictions/Market Abuse Laws Participant may be subject to xxxxxxx xxxxxxx restrictions and/or market abuse laws based on the exchange on which the shares of Common Stock are listed and in applicable jurisdictions including the United States and Participant’s country or his or her broker’s country, if different, which may affect Participant’s ability to accept, acquire, sell or otherwise dispose of shares, rights to shares (e.g., Performance Shares) or rights linked to the value of shares of Common Stock (e.g., dividend equivalents) during such times as Participant is considered to have “inside information” regarding the Company (as defined by the laws in applicable jurisdictions). Local xxxxxxx xxxxxxx laws and regulations may prohibit the cancellation or amendment of orders Participant placed before he or she possessed inside information. Furthermore, Participant could be prohibited from (i) disclosing the inside information to any third party, which may include fellow employees and (ii) “tipping” third parties or causing them otherwise to buy or sell securities. Any restrictions under these laws or regulations are separate from and in addition to any restrictions that may be imposed under any applicable xxxxxxx xxxxxxx policy of the Company. Participant acknowledges that it is Participant’s responsibility to comply with any applicable restrictions, and Participant should speak with his or her personal legal advisor on this matter.

  • Shareholder Account Maintenance a. Maintain all shareholder records for each account in the Trust.

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