Common use of Securities and Commodities Accounts Clause in Contracts

Securities and Commodities Accounts. Set forth on Schedule 11 is a true and complete list of all securities and commodities accounts maintained by each Loan Party, specifying the name and address of the financial institution holding the securities account (including a securities intermediary or commodities intermediary), the type of account and the account number.

Appears in 1 contract

Sources: Credit Agreement (GoPro, Inc.)

Securities and Commodities Accounts. Set forth on Schedule 11 is sets forth a true and complete list of all securities and commodities accounts maintained by each Loan Party, specifying the name and address of the financial institution holding the securities account (including a securities intermediary or commodities intermediary), the type of account and the account number, and indicates changes, if any, in the foregoing information compared to the information set forth on Schedule 11 of the Prior Perfection Certificate.

Appears in 1 contract

Sources: Credit Agreement (GoPro, Inc.)