Common use of Trust Account Clause in Contracts

Trust Account. On the Closing Date or a settlement date, as applicable, the Company shall have furnished to the Representative one or more certificates signed by an authorized officer of the Trustee to the effect of certifying that the cumulative amount deposited into the Trust Account as of such Closing Date or such settlement date, as applicable, shall equal the product of the number of Securities issued in the Offering as of such Closing Date or settlement date, as applicable, and the public offering price per Unit as set forth on the cover of the Prospectus.

Appears in 20 contracts

Samples: Underwriting Agreement (Alpha Partners Technology Merger Corp.), Underwriting Agreement (ONS Acquisition Corp.), Underwriting Agreement (Ahren Acquisition Corp.)

AutoNDA by SimpleDocs

Trust Account. On the Closing Date or a settlement date, as applicable, the Company shall have furnished to the Representative Representatives one or more certificates signed by an authorized officer of the Trustee to the effect of certifying that the cumulative amount deposited into the Trust Account as of such Closing Date or such settlement date, as applicable, shall equal the product of the number of Securities issued in the Offering as of such Closing Date or settlement date, as applicable, and the public offering price per Unit as set forth on the cover of the Prospectus.

Appears in 12 contracts

Samples: Underwriting Agreement (Investcorp Europe Acquisition Corp I), Underwriting Agreement (Brimstone Acquisition Holdings Corp.), Underwriting Agreement (Investcorp Acquisition Corp.)

Trust Account. On the Closing Date or a settlement date, as applicable, the Company shall have furnished to the Representative one or more certificates signed by an authorized officer of the Trustee to the effect of certifying that the cumulative amount deposited into the Trust Account as of such Closing Date or such settlement date, as applicable, shall equal 102% of the product of the number of Securities issued in the Offering as of such Closing Date or settlement date, as applicable, and the public offering price per Unit as set forth on the cover of the Prospectus.

Appears in 3 contracts

Samples: Underwriting Agreement (ONS Acquisition Corp.), Underwriting Agreement (Ahren Acquisition Corp.), Underwriting Agreement (ONS Acquisition Corp.)

Trust Account. On the Closing Date or a settlement date, as applicable, the Company shall have furnished to the Representative one or more certificates signed by an authorized officer of the Trustee to the effect of certifying that the cumulative amount deposited into the Trust Account as of such Closing Date or such settlement date, as applicable, shall equal the product of the number of Securities issued in the Offering as of such Closing Date or settlement date, as applicable, and the public offering price $10.20 per Unit as set forth on the cover of the Prospectus.

Appears in 2 contracts

Samples: Underwriting Agreement (Crescera Capital Acquisition Corp.), Underwriting Agreement (Crescera Capital Acquisition Corp.)

Trust Account. On the Closing Date or a settlement date, as applicable, the Company shall have furnished to the Representative Underwriter one or more certificates signed by an authorized officer of the Trustee to the effect of certifying that the cumulative amount deposited into the Trust Account as of such Closing Date or such settlement date, as applicable, shall equal the product of the number of Securities issued in the Offering as of such Closing Date or settlement date, as applicable, and the public offering price per Unit Security, as set forth on the cover of the Prospectus.

Appears in 2 contracts

Samples: Underwriting Agreement (XPAC Acquisition Corp.), Underwriting Agreement (XPAC Acquisition Corp.)

AutoNDA by SimpleDocs

Trust Account. On the Closing Date or a settlement date, as applicable, the Company shall have furnished to the Representative one or more certificates signed by an authorized officer of the Trustee to the effect of certifying that the cumulative amount deposited into the Trust Account as of such Closing Date or such settlement date, as applicable, and giving effect to the payment by the Underwriters of the amounts required by Section 2 hereof, shall equal the product of the number of Securities issued in the Offering as of such Closing Date or settlement date, as applicable, and the public offering price per Unit as set forth on the cover of the Prospectus.

Appears in 1 contract

Samples: Category Leader Partner Corp 1

Trust Account. On the Closing Date or a settlement date, as applicable, the Company shall have furnished to the Representative one or more certificates signed by an authorized officer of the Trustee to the effect of certifying that the cumulative amount deposited into the Trust Account as of such Closing Date or such settlement date, as applicable, shall equal 102.5% of the product of the number of Securities issued in the Offering as of such Closing Date or settlement date, as applicable, and the public offering price per Unit as set forth on the cover of the Prospectus.

Appears in 1 contract

Samples: Underwriting Agreement (ONS Acquisition Corp.)

Time is Money Join Law Insider Premium to draft better contracts faster.