Common use of Release Schedule for an Established Issuer Clause in Contracts

Release Schedule for an Established Issuer. If the Issuer is an emerging issuer (as defined in section 3.3 of the Policy) and you have not sold any escrow securities in a permitted secondary offering, your escrow securities will be released as follows, unless the Issuer becomes an established issuer as set out in Part 3 of this Agreement: On the date the Issuer’s securities are listed on a Canadian exchange (the “listing date”) 1/10 of your escrow securities 6 months after the listing date 1/6 of your remaining escrow securities 12 months after the listing date 1/5 of your remaining escrow securities 18 months after the listing date 1/4 of your remaining escrow securities 24 months after the listing date 1/3 of your remaining escrow securities 30 months after the listing date 1/2 of your remaining escrow securities 36 months after the listing date your remaining escrow securities

Appears in 3 contracts

Sources: Escrow Agreement, Escrow Agreement, Escrow Agreement