Exhibit II definition

Exhibit II. “The table of confirmation to the conditions and compensation to the industrial occupancy in the removal area of Qitahe City Xinxing District Rebuilding and Construction of Flyover System”. Exhibit I List of Building Accessories The name of possession of assets: Harbin Hainan Kangda Cactus Hygienical Food Co., Ltd. Date: 19/12/2009 Unit: RMB yuan Number Name of the building and accessory Struture The year of construction completed Building Area M2 1 Plant Brick 2005 2230.03 2 Office builiding Brick 2005 1383.56 3 Materials library Brick 2005 696.07 4 Boiler Brick 2005 244 5 Storehouse Brick and wood 2005 348 6 Guard room Brick 2005 16 7 Air purification systems and clean area projects 2005 2989.8 8 Plant roads, greening works 2005 2971 Total 10878.46 Exhibit II The table of confirmation to the conditions and compensation to the industrial occupancy in the removal area of Qitahe City Xinxing District Rebuilding and Construction of Flyover System The name of possession of assets: Harbin Hainan Kangda Cactus Hygienical Food Co., Ltd. Date: 19/12/2009 Unit: RMB yuan Number Name of the building and accessory Struture The year of construction completed Building Area M2 Purpose Relocation compensation Buildings attachments compensation Production stop and termination of business compensation Relocation allowance Total 1 Plant Brick 2005 2230.03 Industrial occupancy 10,704,139.20 160,562 11,150 10,875,851 2 Office builiding Brick 2005 1383.56 Industrial occupancy 6,641,088.00 6,641,088 3 Materials library Brick 2005 696.07 Industrial occupancy 3,341,114.80 50,117 3,480 3,394,714 4 Boiler Brick 2005 244 Industrial occupancy 1,171,200.00 17,568 1,220 1,189,988 5 Storehouse Brick and wood 2005 348 Industrial occupancy 1,670,400.00 25,056 1,740 1,697,196 6 Guard room Brick 2005 16 Industrial occupancy 76,800.00 76,800 7 Air purification systems and clean area projects 2005 2989.8 Industry 89,697.00 89,694 8 Plant roads, greening works 2005 2971 Industry 89,130.00 89,130 9 Land use right 49000 Industry 12,250,000.00 12,250,000 Total 59878.46 35,854,744.00 178,824.00 253,303.00 17,590.00 36,304,461.00
Exhibit II. The Existing Shareholders NAME ADDRESS Xxxxxx Xxxxx 00 Xxxxxxxx Xxxxxx,, Tel Aviv69102 Israel Xxxxxx Xxxxxxxx 00 Xxxxxxxxx Xx., Xxx Xxxx00000 Xxxxxx
Exhibit II. PRICE CALCULATION FORMULA AND TERM OF VALIDITY

Examples of Exhibit II in a sentence

  • Average Clearance The State shall request funds such that they are deposited by ACH on the dollar- weighted average day of clearance for the disbursement, in accordance with the clearance pattern specified in Exhibit II.

  • A description of the tax consequences applicable to the acquisition of the Purchased Shares and the form for making the Code Section 83(b) election are set forth in Exhibit II.

  • The transfer shall be recorded on the books of the Company upon receipt by the Company of a notice of transfer in the form attached hereto as Exhibit II (the "Transfer Notice"), at its principal offices and the payment to the Company of all transfer taxes and other governmental charges imposed on such transfer.

  • The time period from issuance of funds to the date funds are debited from the State's account shall be determined by the appropriate clearance pattern specified in Exhibit II.

  • On or before the first (1st) Trading Day following the date of receipt of a Conversion Notice, the Company shall transmit by facsimile an acknowledgment of confirmation, in the form attached hereto as Exhibit II, of receipt of such Conversion Notice to such Holder and the Transfer Agent, which confirmation shall constitute an instruction to the Transfer Agent to process such Conversion Notice in accordance with the terms herein.

  • With respect to any Non-Serviced Companion Loan, the Certificate Administrator will use its reasonable efforts to procure such report from the applicable Non-Serviced Master Servicer, Non-Serviced Special Servicer and Non-Serviced Trustee in form and substance similar to the form attached hereto as Exhibit II.

  • Promptly upon receipt of the Notice of Exercise and the payment of the Purchase Price in accordance with the terms set forth below, and in no event later than three (3) days thereafter, the Company shall issue to Warrantholder a certificate for the number of Warrant Shares purchased and shall execute the acknowledgment of exercise in the form attached hereto as Exhibit II (the “Acknowledgment of Exercise”) indicating the number of shares which remain subject to future purchases, if any.

  • Promptly upon receipt of the Notice of Exercise and in any event no later than twenty-one (21) days after you have received Our Notice of Exercise and payment of the aggregate Exercise Price for the shares purchased, You will issue to Us a certificate for the number of shares of Warrant Stock that We have purchased and You will execute the Acknowledgment of Exercise in the form attached hereto as Exhibit II indicating the number of shares which will be available to Us for future purchases, if any.

  • Composite Clearance The State shall request funds such that they are deposited on the dollar-weighted average number of days required for funds to be paid out for a series of disbursements, in accordance with the clearance pattern specified in Exhibit II.

  • Their purpose is to identify the different functions comprising the screening process.(c) A summary flow chart of the decision steps is provided as Exhibit II to assist in understanding the logical order of the full screening steps for various conditions.


More Definitions of Exhibit II

Exhibit II. Corporate Chart depicting Party A’s holding in the Target Companies after Closing
Exhibit II. Wage Rates - Tier 1......................................... 63
Exhibit II. A: Wage Rates - Tier 2....................................... 68 Exhibit III: Check Off Authorization.................................... 70 Exhibit IV: Sick Leave Agreement........................................ 71
Exhibit II. ACKNOWLEDGMENT OF EXERCISE The undersigned _________________________, hereby acknowledge receipt of the "Notice of Exercise" from Comdisco, Inc., to purchase _____ shares of the Series A Convertible Preferred Stock of Xxxxxxx Corp., pursuant to the terms of the Warrant Agreement, and further acknowledges that ______________ shares remain subject to purchase under the terms of the Warrant Agreement. Company: By:__________________________ Title:_______________________ Date: _______________________ EXHIBIT III TRANSFER NOTICE (To transfer or assign the foregoing Warrant Agreement execute this form and supply required information. Do not use this form to purchase shares.) FOR VALUE RECEIVED, the foregoing Warrant Agreement and all rights evidenced thereby are hereby transferred and assigned to ______________________________________________________________________________ (Please Print) whose address is______________________________________________________________ Dated _______________________________________ Holder's Signature ___________________________ Holder's Address______________________________ Signature Guaranteed: ______________________________________________________ NOTE: The signature to this Transfer Notice must correspond with the name as it appears on the face of the Warrant Agreement, without alteration or enlargement or any change whatever. Officers of corporations and those acting in a fiduciary or other representative capacity should file proper evidence of authority to assign the foregoing Warrant Agreement.
Exhibit II. Over The Counter Payments Exhibit III: Pay Local Taxes Exhibit IV: Jury Management System Exhibit V: Web Publishing Suite Exhibit VI: Remedial Support Services Exhibit VII: Data Center Use and Services Exhibit VIII: Oaknet Connectivity Exhibit IX: Internet Service Exhibit X: CLEMIS Exhibit XI: ArcGIS Online Exhibit XII: Data Sharing Exhibit XIII: Pictometry Licensed Products Exhibit XIV: Security Best Practice Advice Exhibit XV: Collaborative Asset Management System (CAMS)

Related to Exhibit II

  • Exhibit E means Exhibit E to the Judgment;

  • Exhibit F The awarded category pricing from the Contractor’s submitted Price Sheet from 3rd Bid RFP 15-80101507-SA-D

  • Exhibit 2 Standard File Codes – Delinquency Reporting, Continued The FNMA Delinquent Reason Code field should show the Reason for Delinquency as follows: Delinquency Code Delinquency Description 001 FNMA-Death of principal mortgagor 002 FNMA-Illness of principal mortgagor 003 FNMA-Illness of mortgagor’s family member 004 FNMA-Death of mortgagor’s family member 005 FNMA-Marital difficulties 006 FNMA-Curtailment of income 007 FNMA-Excessive Obligation 008 FNMA-Abandonment of property 009 FNMA-Distant employee transfer 011 FNMA-Property problem 012 FNMA-Inability to sell property 013 FNMA-Inability to rent property 014 FNMA-Military Service 015 FNMA-Other 016 FNMA-Unemployment 017 FNMA-Business failure 019 FNMA-Casualty loss 022 FNMA-Energy environment costs 023 FNMA-Servicing problems 026 FNMA-Payment adjustment 027 FNMA-Payment dispute 029 FNMA-Transfer of ownership pending 030 FNMA-Fraud 031 FNMA-Unable to contact borrower INC FNMA-Incarceration

  • Exhibit B means [Vendor]’s Response.

  • Exhibit C Form xx Xxxxx B-4, B-5 or B-6 Certificate.................... Exhibit D: (Resexxxx)................................................... Exhibit E: Form of Reverse of Certificates.............................. Exhibit F: Form of Initial Certification of Master Servicer............. Exhibit G: Form of Final Certification of Master Servicer...............

  • Exhibit D means Exhibit D to the Judgment;

  • attached means attached to this Agreement when used in relation to a schedule;

  • Exhibit 1 means Exhibit 1 to this Schedule C.

  • Exhibit A means collectively Exhibits A-1 through A-n which incorporate into the Agreement the specific terms and conditions for each TCK licensed hereunder.

  • Exhibit One Mortgage Loan Schedule Exhibit Two: Schedule of Discount Fractions Exhibit Three: Information to be Included in Monthly Distribution Date Statement Exhibit Four: Standard Terms of Pooling and Servicing Agreement dated as of March 1, 2003 This is a Series Supplement, dated as of April 1, 2003 (the "Series Supplement"), to the Standard Terms of Pooling and Servicing Agreement, dated as of March 1, 2003 and attached as Exhibit Four hereto (the "Standard Terms" and, together with this Series Supplement, the "Pooling and Servicing Agreement" or "Agreement"), among RESIDENTIAL FUNDING MORTGAGE SECURITIES I, INC., as the company (together with its permitted successors and assigns, the "Company"), RESIDENTIAL FUNDING CORPORATION, as master servicer (together with its permitted successors and assigns, the "Master Servicer"), and BANK ONE, NATIONAL ASSOCIATION, as Trustee (together with its permitted successors and assigns, the "Trustee").

  • Appendix 1 contains the statement of work or “SOW”;

  • Form of Assignment and Transfer means the “Form of Assignment and Transfer” attached as Attachment 3 to the Form of Note attached hereto as Exhibit A.

  • Assignment Form means the assignment form attached as Annex 2 hereto.

  • Exhibit means any item labeled as an Exhibit in the Solicitation or placed in the Exhibits section of the solicitation.

  • Annex A means the Commission’s General Conditions of Contract.

  • Annex 1 means the IRENA General Terms and Conditions for Professional Services;

  • Schedule 2 means Schedule 2 of this Licence unless otherwise stated;

  • Annex B means the Commission’s Terms of Reference.

  • Annex II means Annex II to Directive 2008/98/EC of the European Parliament and of the Council on waste.

  • Schedule 1 means Schedule 1 of this Licence unless otherwise stated;

  • Schedule C means internal revenue service schedule C (form 1040) filed by a taxpayer pursuant to the Internal Revenue Code.

  • Form of Note means the “Form of Note” attached hereto as Exhibit A.

  • Schedule 3 means Schedule 3 to ITEPA;

  • Annex C means the Contractor’s Proposal.

  • ATTACHMENT C STANDARD STATE PROVISIONS FOR CONTRACTS AND GRANTS REVISED DECEMBER 15, 2017

  • Collateral Questionnaire means a certificate in form satisfactory to Collateral Agent that provides information with respect to the personal or mixed property of each Credit Party.