Annexes and Schedules Sample Clauses

Annexes and Schedules. The Annexes and Schedules attached hereto are incorporated herein and made a part hereof for all purposes. As used herein, the expression “this Agreement” means the body of this Agreement and such Annexes and Schedules; and the expressions “herein,” “hereof,” and “hereunder” and other words of similar import refer to this Agreement and such Annexes and Schedules as a whole and not to any particular part or subdivision thereof.
Annexes and Schedules. The Annexes and Schedules of this Agreement shall constitute an integral part hereof and as of the date of this Agreement comprise: Annex 1: Form of Pre-Funding Agreement Annex 2: Forms of Legal Opinions Annex 3: List of Contacts Schedule 1: Loan Facility: Facility Specific Terms Executed in Athens on . EUROPEAN FINANCIAL STABILITY FACILITY Represented by [●] [●] The Beneficiary Member State THE HELLENIC REPUBLIC Represented by [●] THE BANK OF GREECE Represented by [●] The Guarantor THE HELLENIC FINANCIAL STABILITY FUND Represented by [●] and in Luxembourg on ANNEX 1 FORM OF PRE-FUNDING AGREEMENT AUTHORISATION FOR PRE-FUNDING AND INDEMNITY AGREEMENT (THE "PRE-FUNDING AGREEMENT") This Authorisation for Pre-funding and Indemnity Agreement is made by and between:
Annexes and Schedules. The Annexes and Schedules of this Agreement shall constitute an integral part hereof and as of the date of this Agreement comprise: Annex 1: Form of Pre-Funding Agreement Annex 2: Forms of Legal Opinions Annex 3: List of Contacts Schedule 1: Bank Recapitalisation Facility: Facility Specific Terms Annex 1: Form of Request for Funds Annex 2: Form of Acceptance Notice Annex 3: Form of Confirmation Notice Executed in Madrid on and in Luxembourg on . EUROPEAN FINANCIAL STABILITY FACILITY Represented by Xxxxx Xxxxxxx, Chief Executive Officer The Beneficiary Member State KINGDOM OF SPAIN Represented by [] BANK OF SPAIN Represented by [], Governor of the Bank of Spain The Guarantor FONDO DE REESTRUCTURACIÓN ORDENADA BANCARIA Represented by [] ANNEX 1 FORM OF PRE-FUNDING AGREEMENT AUTHORISATION FOR PRE-FUNDING AND INDEMNITY AGREEMENT (THE "PRE-FUNDING AGREEMENT") This Authorisation for Pre-funding and Indemnity Agreement is made by and between:
Annexes and Schedules. The Annexes and Schedules to this Agreement shall form an integral part of this Agreement.
Annexes and Schedules. Annex 1 Form of Pre-Funding Agreement................................................................... Annex 2 Forms of Legal Opinions............................................................................... Annex 3 List of Contacts............................................................................................. Schedule 1 Loan Facility: Facility Specific Terms....................................................... This Master Financial Assistance Facility Agreement is made by and between:
Annexes and Schedules. The Annexes and Schedules to this Contribution Agreement are deemed a part of this Agreement and are subject to all of the provisions herein. Any fact or item that is clearly disclosed on any Annex or Schedule in such a way as to make its relevance to any representation made elsewhere in this Contribution Agreement or to the information called for by any other Annex or Schedule readily apparent shall be deemed to be an exception to such representation or to be disclosed on such other Annex or Schedule, as the case may be, notwithstanding the omission of a reference or cross-reference thereto. Any fact or item disclosed on any Annex or Schedule shall not by reason only of such inclusion be deemed to be material and shall not be employed as a point of reference in determining any standard of materiality under this Contribution Agreement.
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Annexes and Schedules. Annex 1 Form of Deposit Account Control Agreement Annex 2 Form of Securities Account Control Agreement Annex 3 Form of Pledge Amendment Annex 4 Form of Joinder Agreement Annex 5 Form of Short Form Intellectual Property Security Agreement Schedule 1 Jurisdiction of Organization; Principal Executive Office Schedule 2 Pledged Collateral Schedule 3 Filings Schedule 3.11 Collateral Access Agreements, Bailee Letters, etc. Schedule 4 Location of Inventory and Equipment Schedule 5 Intellectual Property Schedule 6 Bank Accounts; Control Accounts Schedule 7 Commercial Tort Claims AMENDED AND RESTATED PLEDGE AND SECURITY AGREEMENT, dated as of May 4, 2007, by J. CREW OPERATING CORP., a Delaware corporation (“Operating”), J. CREW INC., a New Jersey corporation (“J. Crew”), XXXXX XXXXXX, INC., a Delaware corporation doing business as J. CREW RETAIL (“Retail”), H.F.D. No. 55, INC., a Delaware corporation doing business as J. Crew Factory (“Factory”), Xxxxxxxx Inc., a Delaware corporation (“Madewell”, and together with Factory, J. Crew, Retail, and Operating, each individually a “Borrower” and collectively, the “Borrowers”), J. CREW GROUP INC. (“Holdings”), J. CREW INTERNATIONAL, INC. (“JCI”, a “Guarantor” and together with Holdings, the “Guarantors”) and each of the other entities listed on the signature pages hereof or that becomes a party hereto pursuant to Section 7.11 (Additional Grantors) (each a “Grantor” and, collectively, with the Borrowers and the Guarantors, the “Grantors”), in favor of Citicorp USA, Inc. (“CUSA”), as agent (in such capacity, the “Administrative Agent”) for the Secured Parties (as defined in the Credit Agreement referred to below).
Annexes and Schedules. Annexes Annex 1 Form of Deposit Account Control Agreement Annex 2 Form of Control Account Agreement Annex 3 Form of Pledge Amendment Annex 4 Form of Joinder Agreement Annex 5 Form of Short Form Copyright Security Agreement Annex 6 Form of Short Form Patent Security Agreement Annex 7 Form of Short Form Trademark Security Agreement Schedules Schedule 1 State of Incorporation; Principal Executive Office Schedule 2 Pledged Collateral Schedule 3 Filings Schedule 4 Location of Inventory and Equipment Schedule 5 Intellectual Property Schedule 6 Deposit Accounts; Securities Accounts Schedule 7 Commercial Tort Claims AMENDED AND RESTATED SECURITY AGREEMENT THIS AMENDED AND RESTATED SECURITY AGREEMENT, dated as of December 29, 2006 (this “Agreement”), is entered into by DOMINION HOMES, INC., an Ohio corporation (the “Borrower”), and each of the entities listed on the signature pages hereof as grantors or that becomes a party hereto pursuant to Section 7.10 (Additional Grantors) (each a “Grantor” and, collectively, the “Grantors”) in favor of SILVER POINT FINANCE, LLC, (“Silver Point”), as the senior administrative agent (in such capacity, together with its successors in such capacity, the “Senior Administrative Agent”) and THE HUNTINGTON NATIONAL BANK (“Huntington”), as the administrative agent (in such capacity, together with its successors in such capacity, the “Administrative Agent”) for the Lenders (as defined in the Credit Agreement referred to below) and Huntington as issuing bank (“Issuing Bank” and, together with Silver Point, the “Issuing Banks”). This Agreement amends and restates in its entirety the Security Agreement of the undersigned dated as of March 30, 2006 (the “Prior Security Agreement”).
Annexes and Schedules. The Equity Commitment Letter and the Debt Commitment Letter attached as Annex I to the Merger Agreement are hereby replaced and superseded in all respects by the Second Amended and Restated Equity Commitment Letter and the Second Amended and Restated Debt Commitment Letter attached hereto as Annex I and such letters, respectively, shall be deemed to be the “Equity Commitment Letter” and the “Debt Commitment Letter” referred to in the Merger Agreement as amended by this Amendment. One item in the Company Disclosure Schedule is clarified in the form shared between the parties on the date hereof.
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