Aggregate Par Value definition

Aggregate Par Value means the aggregate nominal value of the Ordinary Shares represented by ADSs included in the applicable Aggregate Share Number.
Aggregate Par Value has the meaning set forth in Section 11.6(a).

Examples of Aggregate Par Value in a sentence

  • At the Closing, and subject to and upon the terms and conditions of this Agreement and the Governing Documents of Pubco, in exchange for the Pubco Ordinary Shares sold pursuant to Section 1.1, Pubco shall pay or cause to be paid to Dooboo (or its designee) the Aggregate Par Value.

  • Such payment shall either be (i) deducted by the administrator of the Plan (“Omnicom’s Agent”) from the Employee’s brokerage account or participant trust maintained with Omnicom’s Agent (“Employee’s Brokerage Account”), (ii) if the entire Aggregate Par Value is not on deposit in Employee’s Brokerage Account, deposited in cash by the Employee to Employee’s Brokerage Account, or (iii) made as otherwise directed by Omnicom.

Related to Aggregate Par Value

  • Aggregate Value means, with respect to any block of Equity Stock, the product of (i) the number of shares of Equity Stock within such block and (ii) the corresponding Market Price of one share of Equity Stock of such class.

  • Aggregate Purchase Price has the meaning set forth in Section 1.1.

  • Aggregate Amount means the aggregate amount by which the resolution authority has assessed that eligible liabilities are to be written down or converted, in accordance with Article 46(1);

  • Aggregate Payments means, with respect to a Contributing Guarantor as of any date of determination, an amount equal to (1) the aggregate amount of all payments and distributions made on or before such date by such Contributing Guarantor in respect of this Guaranty (including in respect of this Section 7.2), minus (2) the aggregate amount of all payments received on or before such date by such Contributing Guarantor from the other Contributing Guarantors as contributions under this Section 7.2. The amounts payable as contributions hereunder shall be determined as of the date on which the related payment or distribution is made by the applicable Funding Guarantor. The allocation among Contributing Guarantors of their obligations as set forth in this Section 7.2 shall not be construed in any way to limit the liability of any Contributing Guarantor hereunder. Each Guarantor is a third party beneficiary to the contribution agreement set forth in this Section 7.2.

  • Aggregate Assets means the value of the Sub-Advised Assets and the Other Accounts on the Valuation Date during the applicable calendar month. The values for the Sub-Advised Assets and Other Accounts shall be as reported by the applicable custodian and fund administrator.