Redemption Payment. Subject to clause 7.4, on the Redemption Date, the Company must pay the Investor the Redemption Amount by Immediately Available Funds into the Investor’s bank account.
Appears in 3 contracts
Sources: Convertible Securities Purchase Agreement (Engage BDR LTD), Convertible Securities Purchase Agreement (Engage BDR LTD), Convertible Securities Purchase Agreement (Engage BDR LTD)