{"component": "clause", "props": {"groups": [{"size": 245, "snippet": "You shall deliver to the Manager on the date and at the place and time specified in the applicable AAU (or on such later date and at such place and time as may be specified by the Manager in a subsequent Wire) the funds specified in the applicable AAU, payable to the order of \u2587\u2587\u2587\u2587\u2587\u2587\u2587 \u2587\u2587\u2587\u2587\u2587 \u2587\u2587\u2587\u2587\u2587\u2587 Inc., for (i) an amount equal to the Offering Price plus (if not included in the Offering Price) accrued interest, amortization of original issue discount or dividends, if any, specified in the Prospectus or Offering Circular, less the applicable Selling Concession in respect of the Firm Securities to be purchased by you, (ii) an amount equal to the Offering Price plus (if not included in the Offering Price) accrued interest, amortization of original issue discount or dividends, if any, specified in the Prospectus or Offering Circular, less the applicable Selling Concession in respect of such of the Firm Securities to be purchased by you as shall have been retained by or released to you for direct sale as contemplated by Section 3.6 hereof or (iii) the amount set forth or indicated in the applicable AAU, as the Manager shall advise. You shall make similar payment as the Manager may direct for Additional Securities, if any, to be purchased by you on the date specified by the Manager for such payment. The Manager will make payment to the Issuer or Seller against delivery to the Manager for your account of the Securities to be purchased by you, and the Manager will deliver to you the Securities paid for by you which shall have been retained by or released to you for direct sale. If the Manager determines that transactions in the Securities are to be settled through the facilities of DTC or other clearinghouse facility, payment for and delivery of Securities purchased by you shall be made through such facilities, if you are a member, or, if you are not a member, settlement shall be made through your ordinary correspondent who is a member.", "snippet_links": [{"key": "deliver-to", "type": "definition", "offset": [10, 20]}, {"key": "place-and-time", "type": "clause", "offset": [56, 70]}, {"key": "the-applicable", "type": "clause", "offset": [84, 98]}, {"key": "by-the-manager", "type": "clause", "offset": [173, 187]}, {"key": "the-funds", "type": "clause", "offset": [210, 219]}, {"key": "payable-to", "type": "definition", "offset": [253, 263]}, {"key": "order-of", "type": "clause", "offset": [268, 276]}, {"key": "equal-to", "type": "definition", "offset": [322, 330]}, {"key": "offering-price", "type": "definition", "offset": [335, 349]}, {"key": "not-included", "type": "clause", "offset": [359, 371]}, {"key": "accrued-interest", "type": "clause", "offset": [395, 411]}, {"key": "original-issue-discount", "type": "clause", "offset": [429, 452]}, {"key": "in-the-prospectus", "type": "clause", "offset": [485, 502]}, {"key": "offering-circular", "type": "clause", "offset": [506, 523]}, {"key": "selling-concession", "type": "definition", "offset": [545, 563]}, {"key": "in-respect-of", "type": "definition", "offset": [564, 577]}, {"key": "securities-to-be-purchased", "type": "clause", "offset": [587, 613]}, {"key": "direct-sale", "type": "clause", "offset": [998, 1009]}, {"key": "section-36", "type": "clause", "offset": [1029, 1040]}, {"key": "manager-may", "type": "definition", "offset": [1181, 1192]}, {"key": "additional-securities", "type": "definition", "offset": [1204, 1225]}, {"key": "payment-to-the-issuer", "type": "clause", "offset": [1335, 1356]}, {"key": "delivery-to-the", "type": "clause", "offset": [1375, 1390]}, {"key": "your-account", "type": "definition", "offset": [1403, 1415]}, {"key": "the-securities", "type": "clause", "offset": [1419, 1433]}, {"key": "the-facilities", "type": "clause", "offset": [1683, 1697]}, {"key": "clearinghouse-facility", "type": "definition", "offset": [1714, 1736]}, {"key": "securities-purchased", "type": "clause", "offset": [1766, 1786]}, {"key": "a-member", "type": "clause", "offset": [1844, 1852]}], "samples": [{"hash": "bEovtVxVOd8", "uri": "/contracts/bEovtVxVOd8#payment-and-settlement", "label": "Master Agreement (Nuveen Build America Bond Opportunity Fund)", "score": 21.892539978, "published": true}, {"hash": "4qPcJt60Axf", "uri": "/contracts/4qPcJt60Axf#payment-and-settlement", "label": "Master Agreement (Nuveen Build America Bond Opportunity Fund)", "score": 21.892539978, "published": true}, {"hash": "aXXSmtTB7sA", "uri": "/contracts/aXXSmtTB7sA#payment-and-settlement", "label": "Master Agreement (ClearBridge Energy MLP Fund Inc.)", "score": 21.470911026, "published": true}], "hash": "36153537389c14e9ede8ade478568e98", "id": 1}, {"size": 5, "snippet": "Client agrees to pay on demand all balances (including accrued but unpaid interest thereon) and any other obligations owing with respect to Client\u2019s Account. Client agrees that all cash account transactions will be handled on a cash basis and Client shall pay for any security purchased for Client\u2019s cash account, and deliver any securities sold for Client\u2019s cash account, on or before the settlement date. Client warrants that for all cash accounts, no sale of securities is contemplated before the securities are paid for as provided above and that each item sold will be owned by Client at the time of sale.", "snippet_links": [{"key": "on-demand", "type": "clause", "offset": [21, 30]}, {"key": "accrued-but-unpaid-interest", "type": "definition", "offset": [55, 82]}, {"key": "obligations-owing", "type": "clause", "offset": [106, 123]}, {"key": "to-client", "type": "clause", "offset": [137, 146]}, {"key": "account-transactions", "type": "definition", "offset": [186, 206]}, {"key": "cash-basis", "type": "definition", "offset": [228, 238]}, {"key": "client-shall", "type": "clause", "offset": [243, 255]}, {"key": "pay-for", "type": "definition", "offset": [256, 263]}, {"key": "for-client", "type": "definition", "offset": [287, 297]}, {"key": "securities-sold", "type": "clause", "offset": [330, 345]}, {"key": "the-settlement-date", "type": "clause", "offset": [386, 405]}, {"key": "cash-accounts", "type": "clause", "offset": [436, 449]}, {"key": "no-sale-of-securities", "type": "clause", "offset": [451, 472]}, {"key": "the-securities", "type": "clause", "offset": [496, 510]}, {"key": "owned-by-client", "type": "clause", "offset": [574, 589]}, {"key": "time-of-sale", "type": "definition", "offset": [597, 609]}], "samples": [{"hash": "bf5j9QCxZ9C", "uri": "/contracts/bf5j9QCxZ9C#payment-and-settlement", "label": "New Account Application and Agreement for Entities", "score": 24.0458583832, "published": true}, {"hash": "imFdmqdQ9VV", "uri": "/contracts/imFdmqdQ9VV#payment-and-settlement", "label": "New Account Application and Agreement", "score": 21.1081447601, "published": true}, {"hash": "kNqFCebjTfv", "uri": "/contracts/kNqFCebjTfv#payment-and-settlement", "label": "New Account Agreement (Trian Partners Master Fund, L.P.)", "score": 19.0, "published": true}], "hash": "aceb2a26486e89f5f1c966db0360b15b", "id": 4}, {"size": 4, "snippet": "Notwithstanding anything to the contrary herein, with respect to purchasing Russian equity Securities, payment thereof shall not be made prior to the issuance by the Registrar Company or Russian Securities Depository (as the case may be) of the Share Extract evidencing the transfer of ownership of the Russian Securities being purchased.", "snippet_links": [{"key": "notwithstanding-anything-to-the-contrary", "type": "clause", "offset": [0, 40]}, {"key": "with-respect-to", "type": "clause", "offset": [49, 64]}, {"key": "equity-securities", "type": "definition", "offset": [84, 101]}, {"key": "the-issuance", "type": "clause", "offset": [146, 158]}, {"key": "registrar-company", "type": "definition", "offset": [166, 183]}, {"key": "russian-securities-depository", "type": "definition", "offset": [187, 216]}, {"key": "the-case", "type": "definition", "offset": [221, 229]}, {"key": "share-extract", "type": "definition", "offset": [245, 258]}, {"key": "ownership-of-the", "type": "clause", "offset": [286, 302]}], "samples": [{"hash": "1pOVNCSgTkA", "uri": "/contracts/1pOVNCSgTkA#payment-and-settlement", "label": "Mutual Fund Rider to Global Custody Agreement (Curian Variable Series Trust)", "score": 24.3127994537, "published": true}, {"hash": "gNovClNe1L5", "uri": "/contracts/gNovClNe1L5#payment-and-settlement", "label": "Mutual Fund Rider to Global Custody Agreement (Curian Series Trust)", "score": 24.1403141022, "published": true}], "hash": "0ffff9dfbe37dd49c7b658035995c037", "id": 8}, {"size": 15, "snippet": "The Shares purchased by the Investor in an applicable VWAP Purchase or Intraday VWAP Purchase shall be delivered to the Investor not later than 1:00 p.m., New York City time, on the Trading Day immediately following the applicable VWAP Purchase Date for such VWAP Purchase or Intraday VWAP Purchase (the \u201cVWAP Purchase Share Delivery Date\u201d). The Company acknowledges and agrees that it may not deliver any additional VWAP Purchase Notices to the Investor until all such Shares subject to any previous VWAP Purchases or Intraday VWAP Purchase \u2013 other than those to be delivered pursuant to a VWAP Purchase Notice delivered on the same Trading Day or a VWAP Purchase Notice or an Intraday VWAP Purchase Notice delivered on the immediately preceding Trading Day \u2014 have been received by the Investor or its designated Broker-Dealer in accordance with this Agreement. For each VWAP Purchase or Intraday VWAP Purchase, the Investor shall pay to the Company an amount in cash equal to the product of (a) the total number of Shares purchased by the Investor in such VWAP Purchase or Intraday VWAP Purchase and (b) the applicable VWAP Purchase Price for such Shares (the \u201cVWAP Purchase Amount\u201d), as full payment for such Shares purchased by the Investor in such VWAP Purchase or Intraday VWAP Purchase, via wire transfer of immediately available funds, not later than 5:00 p.m., New York City time, on the Trading Day immediately following the applicable VWAP Purchase Share Delivery Date for such VWAP Purchase or Intraday VWAP Purchase, provided the Investor shall have timely received all of such Shares purchased by the Investor in such VWAP Purchase or Intraday VWAP Purchase on such VWAP Purchase Share Delivery Date in accordance with the first sentence of this Section 3.2, or, if any of such Shares are received by the Investor after 1:00 p.m., New York City time, then the Company\u2019s receipt of such funds in its designated account may occur on the Trading Day next following the Trading Day on which the Investor shall have received all of such Shares, but not later than 5:00 p.m., New York City time, on such next Trading Day. If the Company or the Transfer Agent shall fail for any reason to (i) deliver to the Investor any Shares purchased by the Investor in a VWAP Purchase or Intraday VWAP Purchase prior to 10:30 a.m., New York City time, on the Trading Day immediately following the applicable VWAP Purchase Share Delivery Date for such VWAP Purchase or Intraday VWAP Purchase, or (ii) deliver and credit Shares to the account of the Investor\u2019s designated Broker-Dealer on the Trading Day on which such Shares were required to have been delivered pursuant to Section 3.1(d), and in the manner in which such Shares were required to have been delivered pursuant to Section 3.1(d), and if on or after such Trading Day the Investor purchases (in an open market transaction or otherwise) shares of Common Stock (the \u201cCover Shares\u201d) to deliver in satisfaction of any sales by the Investor of such Shares that the Investor anticipated receiving from the Company on such VWAP Purchase Share Delivery Date in respect of such VWAP Purchase or Intraday VWAP Purchase or such Shares that were required to have been delivered pursuant to Section 3.1(d) (as applicable), then the Company shall, within one (1) Trading Day after the Investor\u2019s request, either (i) pay cash to the Investor in an amount equal to the Investor\u2019s total purchase price (including brokerage commissions, if any) for the shares of Common Stock so purchased (the \u201cCover Price\u201d), at which point the Company\u2019s obligation to deliver such Shares shall terminate, or (ii) promptly honor its obligation to deliver to the Investor such Shares and pay cash to the Investor in an amount equal to the excess (if any) of the Cover Price over the total purchase price paid or, if not yet paid, required to be paid by the Investor pursuant to this Agreement for all of the Shares purchased by the Investor in such VWAP Purchase or Intraday VWAP Purchase or such Shares that were resold by the Investor in the manner described in clause (a) of the definition of DWAC Shares; provided that, to the extent the Investor borrows any shares of Common Stock through any securities lending or similar arrangement (\u201cBorrowed Shares\u201d) instead of purchasing such shares as Cover Shares, the Company shall promptly honor its obligation to deliver to the Investor such Shares and pay cash to the Investor in an amount equal to any securities lending or related fees related to the borrowings of such Borrowed Shares. The Company shall not issue any fraction of a share of Common Stock to the Investor in connection with any VWAP Purchase or Intraday VWAP Purchase effected pursuant to this Agreement. If the issuance would result in the issuance of a fraction of a share of Common Stock, the Company shall round such fraction of a share of Common Stock up or down to the nearest whole share. All payments to be made by the Investor pursuant to this Agreement shall be made by wire transfer of immediately available funds to such account as the Company may from time to time designate by written notice to the Investor in accordance with the provisions of this Agreement.", "snippet_links": [{"key": "the-shares", "type": "clause", "offset": [0, 10]}, {"key": "by-the-investor", "type": "clause", "offset": [21, 36]}, {"key": "applicable-vwap", "type": "definition", "offset": [43, 58]}, {"key": "new-york-city-time", "type": "clause", "offset": [155, 173]}, {"key": "the-applicable", "type": "clause", "offset": [216, 230]}, {"key": "vwap-purchase-date", "type": "definition", "offset": [231, 249]}, {"key": "vwap-purchase-share-delivery-date", "type": "definition", "offset": [305, 338]}, {"key": "notices-to", "type": "definition", "offset": [431, 441]}, {"key": "subject-to", "type": "clause", "offset": [477, 487]}, {"key": "vwap-purchases", "type": "clause", "offset": [501, 515]}, 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4116]}, {"key": "dwac-shares", "type": "definition", "offset": [4117, 4128]}, {"key": "provided-that", "type": "clause", "offset": [4130, 4143]}, {"key": "to-the-extent", "type": "clause", "offset": [4145, 4158]}, {"key": "securities-lending", "type": "clause", "offset": [4219, 4237]}, {"key": "borrowed-shares", "type": "definition", "offset": [4263, 4278]}, {"key": "related-fees", "type": "clause", "offset": [4496, 4508]}, {"key": "related-to", "type": "clause", "offset": [4509, 4519]}, {"key": "the-borrowings", "type": "clause", "offset": [4520, 4534]}, {"key": "fraction-of-a-share", "type": "clause", "offset": [4592, 4611]}, {"key": "in-connection-with", "type": "clause", "offset": [4644, 4662]}, {"key": "the-issuance", "type": "clause", "offset": [4747, 4759]}, {"key": "payments-to-be-made", "type": "clause", "offset": [4939, 4958]}, {"key": "by-wire-transfer", "type": "clause", "offset": [5016, 5032]}, {"key": "from-time-to-time", "type": "clause", "offset": [5099, 5116]}, {"key": "notice-to-the-investor", "type": "clause", "offset": [5138, 5160]}, {"key": "in-accordance-with-the-provisions-of-this-agreement", "type": "definition", "offset": [5161, 5212]}], "samples": [{"hash": "f3TtIdIUYqg", "uri": "/contracts/f3TtIdIUYqg#payment-and-settlement", "label": "Chef Purchase Agreement (Sonim Technologies Inc)", "score": 36.742641449, "published": true}, {"hash": "5dVUFy6beXn", "uri": "/contracts/5dVUFy6beXn#payment-and-settlement", "label": "Chef Purchase Agreement (Sonnet BioTherapeutics Holdings, Inc.)", "score": 35.3353881836, "published": true}, {"hash": "1ywnW9PC5Il", "uri": "/contracts/1ywnW9PC5Il#payment-and-settlement", "label": "Chef Purchase Agreement (Better Therapeutics, Inc.)", "score": 34.9466133118, "published": true}], "hash": "c5681adfe5d8abf9ed640ca755957bb1", "id": 2}, {"size": 7, "snippet": "Notwithstanding anything to the contrary in the Custody Agreement, with respect to purchasing Russian Securities, payment therefor shall not be made prior to the issuance by the Registrar Company of the Share Extract evidencing the transfer of ownership of the Russian Securities being purchased and the Customer\u2019s receipt thereof. Delivery of Russian Securities will be accepted by the Bank or JPMBI on behalf of the Customer, in accordance with the customary or established securities trading or securities processing practices and procedures in place in Russia. Delivery of Russian Securities may also be made in any manner specifically required by instructions acceptable to the Bank. The Customer shall promptly supply such transaction and settlement information as may be required by the Bank or JPMBI in connection with particular transactions.", "snippet_links": [{"key": "notwithstanding-anything-to-the-contrary", "type": "clause", "offset": [0, 40]}, {"key": "the-custody-agreement", "type": "clause", "offset": [44, 65]}, {"key": "with-respect-to", "type": "clause", "offset": [67, 82]}, {"key": "the-issuance", "type": "clause", "offset": [158, 170]}, {"key": "registrar-company", "type": "definition", "offset": [178, 195]}, {"key": "share-extract", "type": "definition", "offset": [203, 216]}, {"key": "ownership-of-the", "type": "clause", "offset": [244, 260]}, {"key": "delivery-of", "type": "clause", "offset": [332, 343]}, {"key": "by-the-bank", "type": "clause", "offset": [380, 391]}, {"key": "of-the-customer", "type": "clause", "offset": [411, 426]}, {"key": "in-accordance-with", "type": "definition", "offset": [428, 446]}, {"key": "securities-trading", "type": "clause", "offset": [476, 494]}, {"key": "practices-and-procedures", "type": "clause", "offset": [520, 544]}, {"key": "in-place", "type": "definition", "offset": [545, 553]}, {"key": "in-russia", "type": "clause", "offset": [554, 563]}, {"key": "required-by", "type": "definition", "offset": [640, 651]}, {"key": "to-the-bank", "type": "clause", "offset": [676, 687]}, {"key": "the-customer-shall", "type": "clause", "offset": [689, 707]}, {"key": "settlement-information", "type": "clause", "offset": [745, 767]}, {"key": "in-connection-with", "type": "clause", "offset": [808, 826]}], "samples": [{"hash": "fzvGJjUFFfL", "uri": "/contracts/fzvGJjUFFfL#payment-and-settlement", "label": "Addendum (Aston Funds)", "score": 19.0, "published": true}, {"hash": "8k7Ekuk2cmh", "uri": "/contracts/8k7Ekuk2cmh#payment-and-settlement", "label": "Addendum (Aston Funds)", "score": 19.0, "published": true}, {"hash": "2SbKCpB3vOQ", "uri": "/contracts/2SbKCpB3vOQ#payment-and-settlement", "label": "Russian Addendum (Aston Funds)", "score": 19.0, "published": true}], "hash": "ec8b4b6ce0978ed05c8e1556fa7c2fd0", "id": 3}, {"size": 5, "snippet": "Party A agreed to pay the information services fee to Party B for the aforesaid internet information service and call center services provided by Party B. Party A and Party B shall determine the amount of the service charge by negotiation in accordance with the service price provided by Party B and the market price of the aforesaid service. The service charge shall be paid by the quarter.", "snippet_links": [{"key": "to-pay", "type": "clause", "offset": [15, 21]}, {"key": "services-fee", "type": "clause", "offset": [38, 50]}, {"key": "internet-information-service", "type": "definition", "offset": [80, 108]}, {"key": "services-provided-by", "type": "clause", "offset": [125, 145]}, {"key": "party-b-shall", "type": "clause", "offset": [167, 180]}, {"key": "determine-the", "type": "clause", "offset": [181, 194]}, {"key": "service-charge", "type": "definition", "offset": [209, 223]}, {"key": "in-accordance-with", "type": "definition", "offset": [239, 257]}, {"key": "service-price", "type": "definition", "offset": [262, 275]}, {"key": "price-of-the", "type": "clause", "offset": [311, 323]}], "samples": [{"hash": "1ZN4peJD4l3", "uri": "/contracts/1ZN4peJD4l3#payment-and-settlement", "label": "Cooperative Agreement", "score": 29.3408622742, "published": true}, {"hash": "kN7zF8i7bEk", "uri": "/contracts/kN7zF8i7bEk#payment-and-settlement", "label": "Cooperative Agreement (eLong, Inc.)", "score": 19.0, "published": true}, {"hash": "gUj1OBefahf", "uri": "/contracts/gUj1OBefahf#payment-and-settlement", "label": "Cooperative Agreement (eLong, Inc.)", "score": 19.0, "published": true}], "hash": "38b97cf93d0a92d100faa83a5ce1f8c4", "id": 5}, {"size": 4, "snippet": "a. You agree that you will pay for any securities purchased for your Account on or before the settlement date. You further agree that each security sold will be owned by you at the time of sale and will be in your Account on or before the settlement date. Generally, you need to pay for all transactions or deliver all securities by 2 p.m. Eastern time on the settlement date. Proceeds of any sale will not be paid to you until Broker has received the securities in good deliverable form and the settlement of the securities is complete. Broker reserve the right to cancel or liquidate, at your risk, any transaction not settled in a timely way.\nb. Free-riding (i.e., buying and selling securities in a cash account without submitting payment for the purchase) violates Regulation T of the Federal Reserve Board, is prohibited and may, among other things, result in your Account being restricted or closed.", "snippet_links": [{"key": "you-agree", "type": "clause", "offset": [3, 12]}, {"key": "pay-for", "type": "definition", "offset": [27, 34]}, {"key": "securities-purchased", "type": "clause", "offset": [39, 59]}, {"key": "your-account", "type": "definition", "offset": [64, 76]}, {"key": "the-settlement-date", "type": "clause", "offset": [90, 109]}, {"key": "owned-by", "type": "definition", "offset": [161, 169]}, {"key": "time-of-sale", "type": "definition", "offset": [181, 193]}, {"key": "you-need", "type": "clause", "offset": [267, 275]}, {"key": "to-pay", "type": "clause", "offset": [276, 282]}, {"key": "all-transactions", "type": "clause", "offset": [287, 303]}, {"key": "securities-by", "type": "definition", "offset": [319, 332]}, {"key": "eastern-time", "type": "definition", "offset": [340, 352]}, {"key": "good-deliverable-form", "type": "definition", "offset": [466, 487]}, {"key": "settlement-of-the-securities", "type": "clause", "offset": [496, 524]}, {"key": "right-to-cancel", "type": "clause", "offset": [557, 572]}, {"key": "your-risk", "type": "clause", "offset": [590, 599]}, {"key": "selling-securities", "type": "definition", "offset": [679, 697]}, {"key": "cash-account", "type": "definition", "offset": [703, 715]}, {"key": "payment-for-the-purchase", "type": "clause", "offset": [735, 759]}, {"key": "regulation-t", "type": "definition", "offset": [770, 782]}, {"key": "federal-reserve-board", "type": "definition", "offset": [790, 811]}], "samples": [{"hash": "2n9PjnAIiJN", "uri": "/contracts/2n9PjnAIiJN#payment-and-settlement", "label": "Customer Account Agreement", "score": 33.4522857666, "published": true}, {"hash": "kvuEl6JShAQ", "uri": "/contracts/kvuEl6JShAQ#payment-and-settlement", "label": "Customer Account Agreement", "score": 33.3948020935, "published": true}, {"hash": "6vHA9Q3AXdn", "uri": "/contracts/6vHA9Q3AXdn#payment-and-settlement", "label": "Customer Account Agreement", "score": 31.7085819244, "published": true}], "hash": "a40c4974b2bc9966b1dc896c110c4ccf", "id": 6}, {"size": 4, "snippet": "Any Claims or Losses for which indemnification is given by SunOpta under this Section 6.03 will be paid or settled:\n(a) prior to the Indemnity Holdback Shares Release Date,\n(i) first, through a reduction in and forfeiture of the number of Indemnity Holdback Shares (on a pro rata basis between the Mascoma Common Shares and the Mascoma Preferred Shares) which, in aggregate, have a value equal to the Claims or Losses for which indemnification is given, as determined pursuant to Section 2.04; and\n(ii) second, through a forfeiture of the number of (I) Mascoma Common Shares and Mascoma Preferred Shares (on a pro rata basis) issued to SunOpta pursuant to Section 2.03(1) or (II) Mascoma Exchange Shares which, in aggregate, have a value equal to the Claims or Losses for which indemnification is given, as determined pursuant to Section 2.04;\n(iii) third, in the event only that SunOpta is no longer the owner of a sufficient number of Mascoma Common Shares, Mascoma Preferred Shares or Mascoma Exchange Shares to pay or settle the Claims or Losses, in cash; and\n(b) after the Indemnity Holdback Shares Release Date:\n(i) first, through a forfeiture on a pro rata basis of the number of Mascoma Common Shares and Mascoma Preferred Shares issued to SunOpta pursuant to Section 2.03(1)) which, in aggregate, have a value equal to the Claims or Losses for which indemnification is given, as determined pursuant to Section 2.04; and\n(ii) second, in the event only that SunOpta is no longer the owner of a sufficient number of Mascoma Common Shares and Mascoma Preferred Shares to pay or settle the Claims or Losses, in cash.", "snippet_links": [{"key": "claims-or-losses", "type": "definition", "offset": [4, 20]}, {"key": "indemnity-holdback-shares", "type": "definition", "offset": [133, 158]}, {"key": "release-date", "type": "clause", "offset": [159, 171]}, {"key": "reduction-in", "type": "definition", "offset": [194, 206]}, {"key": "and-forfeiture", "type": "clause", "offset": [207, 221]}, {"key": "number-of", "type": "definition", "offset": [229, 238]}, {"key": "pro-rata-basis", "type": "clause", "offset": [271, 285]}, {"key": "common-shares", "type": "definition", "offset": [306, 319]}, {"key": "preferred-shares", "type": "definition", "offset": [336, 352]}, {"key": "in-aggregate", "type": "definition", "offset": [361, 373]}, {"key": "equal-to", "type": "definition", "offset": [388, 396]}, {"key": "the-claims", "type": "clause", "offset": [397, 407]}, {"key": "pursuant-to-section", "type": "clause", "offset": [468, 487]}, {"key": "issued-to", "type": "definition", "offset": [626, 635]}, {"key": "exchange-shares", "type": "clause", "offset": [688, 703]}, {"key": "in-the-event", "type": "clause", "offset": [857, 869]}, {"key": "the-owner", "type": "definition", "offset": [901, 910]}, {"key": "sufficient-number", "type": "clause", "offset": [916, 933]}, {"key": "to-pay", "type": "clause", "offset": [1012, 1018]}, {"key": "basis-of", "type": "clause", "offset": [1164, 1172]}, {"key": "shares-issued", "type": "definition", "offset": [1231, 1244]}], "samples": [{"hash": "fakuQ6jKq9O", "uri": "/contracts/fakuQ6jKq9O#payment-and-settlement", "label": "Share Purchase Agreement (Mascoma Corp)", "score": 22.9356613159, "published": true}, {"hash": "lzPOZvlgMkh", "uri": "/contracts/lzPOZvlgMkh#payment-and-settlement", "label": "Share Purchase Agreement (SunOpta Inc.)", "score": 21.6817245483, "published": true}], "hash": "9679040038b4eebd7972a65f1c285765", "id": 7}, {"size": 4, "snippet": "Client agrees that all cash account transactions will be handled on a cash basis and Client shall pay for any security purchased for Client's account, and deliver any securities sold for Client's account, on or before the settlement date. Client agrees to pay on demand all balances owing with respect to Client's account. 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