Securities Accounts and Deposit Accounts. (a) Set forth in Schedule 5(a) of the Information Certificate is a true and correct list of all securities accounts in which each Grantor customarily maintains securities or other assets, including the name and address of the intermediary institution and the type of account. (b) Set forth in Schedule 5(b) of the Information Certificate is a true and correct list of all depository accounts maintained by each Grantor, including the name and address of the depository institution and the type of account.
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Sources: Credit Agreement (Sprague Resources LP), Credit Agreement