THIS AGREEMENT is made and entered into as of January 5, 2016, by and among Hatteras Funds, LP, a Delaware limited partnership (formerly a Delaware limited liability company known as Hatteras Funds, LLC) (the “Advisor”), Revolution Capital Management, LLC, a Colorado limited liability company (the “Trader”), and the Underlying Funds Trust, a Delaware statutory trust (the “Trust”) on behalf of the Managed Futures Portfolio (the “Fund”).
[insert Company name of Member], a company organised and existing under the laws of [insert Country], having its registered office at [insert Address, City, Country] and registered with the [insert name of the Registry] under the number [insert registration number] and VAT ID [insert VAT ID number] (hereinafter: the Member);
Trading Agreement • April 6th, 2005 • East Kansas Agri Energy LLC • Industrial organic chemicals • Kansas
Contract Type April 6th, 2005 Jurisdiction Trading Agreement • September 29th, 2022 Contract Type September 29th, 2022[insert company name of Member], organised and existing under the laws of [insert country], with its registered offices at [insert address, town, country], and entered in the commercial register in [name of the registry] under number [insert registration number] and VAT ID [insert VAT ID Number] (hereinafter: Member);
Trading Agreement • May 5th, 2020 • England Contract Type May 5th, 2020 JurisdictionThis documents and records the Agreement and Acceptance of the terms and conditions applicable to all Xyratex Purchase Orders from whatever location and covers all Solectron locations stipulated:
Trading Agreement • February 7th, 2017 • Legg Mason Partners Variable Equity Trust • New York Contract Type February 7th, 2017 JurisdictionThis TRADING AGREEMENT (the “Agreement”) is made this 20th day of May 2016, by and between EnTrustPermal Management LLC (the “Manager”), the investment manager to Permal Alternative Select VIT Portfolio (“Fund”), a series of the Legg Mason Partners Variable Equity Trust (the “Trust”), a Maryland statutory trust registered as a management investment company under the Investment Company Act of 1940, as amended (the “1940 Act”), and BH-DG Systematic Trading LLP, an English limited liability partnership (the “Trader”).
Trading Agreement • March 29th, 2021 Contract Type March 29th, 2021 Trading Agreement • April 26th, 2021 Contract Type April 26th, 2021Fill if an Individual or an Entity is interested in investing in the Boursa Kuwait. They will need to open an account with the Kuwait Clearing Company (KCC), and these are the documents needed:
Trading Agreement • September 20th, 2019 Contract Type September 20th, 2019On the one hand, the SELLER, concessionaire or authorized (in the case of CGH, PCH and UHE up to 50 MW and developments within §7º, art. 2º of Law 10.848/2004) of electric power generation, named and qualified in the Summary Table attached to this Agreement (SUMMARY TABLE), and on the other hand, the BUYER, the company holding a concession, permission or authorization for the provision of public electricity distribution services, named and qualified in the SUMMARY TABLE, jointly called PARTIES, and separately PARTY, in this act represented by their legal representatives at the end signed, in accordance with their corporate documents;
Trading Agreement • January 2nd, 2013 • Variable Account I of AGL of Delaware Contract Type January 2nd, 2013Trading Agreement • January 26th, 2021 • Rapid Therapeutic Science Laboratories, Inc. • Pharmaceutical preparations • Texas
Contract Type January 26th, 2021 JurisdictionTHIS TRADING AGREEMENT (this “Agreement”), made as of this 7th day of January 2021 (the “Effective Date”), by and among the individuals or entities who have signed a form of page 8 of this Agreement below (each a “Signature Page”, each signatory a “Shareholder” and collectively if more than one, the “Shareholders”) and Rapid Therapeutic Science Laboratories, Inc., a Nevada corporation (RTSL) (the “Company”).
Trading Agreement • November 2nd, 2020 • Hong Kong Contract Type November 2nd, 2020 Jurisdiction Trading Agreement • August 16th, 2016 Contract Type August 16th, 2016Mrs/KFH Financial Brokerage Company represented by in his capacity Having its address at Al Qibla (block 1), Kuwait Stock Exchange Building – Second Floor – Telephone: 22987333 – Fax: 224290841, email: info@kfhbrokerage.com
Trading Agreement • February 10th, 2022 Contract Type February 10th, 2022Sections A and D apply generally to the Customer’s relationship with DBS with respect to accounts maintained with, and all clearing and execution services for futures and options, exchange-cleared OTC products and OTC lookalikes provided by DBS. Sections B and C apply in respect of the respective services or types of transactions thereunder that the Customer has applied or requested for and DBS has agreed to provide.
Trading Agreement • September 18th, 2020 Contract Type September 18th, 2020 Trading Agreement • June 19th, 2018 • Hong Kong Contract Type June 19th, 2018 JurisdictionName of Company or Individual Registered Address Individual’s Trading Name & Address(if different from above) Telephone Mobile Facsimile e-Mail Authorised Person Authorised Signature
Trading Agreement • May 1st, 2023 Contract Type May 1st, 2023 Trading Agreement • December 2nd, 2011 Contract Type December 2nd, 2011This Internet-based service can provide you with a 24-hour connection to smithbarney.com and our Online Order Entry System using a personal computer and Internet connection.
Trading Agreement • December 5th, 2017 • Victoria Contract Type December 5th, 2017 Jurisdiction Trading Agreement • November 25th, 2021 • Virgin Islands Contract Type November 25th, 2021 Jurisdiction Trading Agreement • November 20th, 2006 Contract Type November 20th, 2006Our Fair Trading Agreement sets out clearly and simply the responsibilities, which we at Travelpack have to you and which in turn, you have to us when a contract is made between us. In these Booking Conditions “you” mean all persons named on the booking (including anyone who is added or substituted at a later date). “We” means Travelpack Marketing and Leisure Services Ltd. When signing the booking form for your holiday you will sign on behalf of yourself and others named in your party that you have read, understood and accepted this Fair Trading Agreement and the holiday information provided in this brochure. Our specification of that holiday and our terms are clearly stated in this brochure, which was published in November 2006. Your contract is entered into with Travelpack Marketing and Leisure Services Ltd. This Fair Trading agreement applies to all holidays sold from this brochure.
Trading Agreement • March 31st, 2021 Contract Type March 31st, 2021This Customer Agreement contains the terms and conditions governing your Account at Global Capital Markets South Africa proprietary Limited (“CM Trading”), and all Transactions in this Account with CM Trading. In this Trading Agreement, the undersigned customer is referred to as “customer” or “you”. CM Trading may also be referred to as “we” or “our.”
Trading Agreement • October 31st, 2018 Contract Type October 31st, 2018Customer Name: (to appear on account) Street Address: Suburb: State: Postcode: Postal Address: Suburb: State: Postcode: Phone: Fax: Email:
Trading Agreement • April 26th, 2022 Contract Type April 26th, 2022This Online Trading Agreement (“Online Agreement”) sets forth these terms and conditions under which the Client is authorized to access one or more Online Trading Platforms through Client’s Internet Browser and all software links and communications available via the Internet (“Online Trading Service”).
Trading Agreement • March 28th, 2012 Contract Type March 28th, 2012Trading Agreement • November 13th, 2015 • Garutti Randall J • Retail-eating & drinking places • Delaware
Contract Type November 13th, 2015 JurisdictionThis TRADING AGREEMENT (this “Agreement”) is made and effective as of November 13, 2015 (the “Effective Date”), by and among (i) Daniel H. Meyer, The Daniel H. Meyer 2012 Gift Trust U/A/D 10/31/12, Union Square Hospitality Group, LLC, Union Square Cafe Corp., and Gramercy Tavern Corp. (collectively, the “Meyer Stockholders”), (ii) Green Equity Investors VI, L.P., Green Equity Investors Side VI, L.P., and LGP Malted Coinvest LLC (collectively, the “LGP Stockholders”), (iii) SEG Partners, L.P., SEG Partners II, L.P., and SEG Partners Offshore Master Fund, Ltd. (collectively, the “SEG Stockholders”), (iv) ACG Shack LLC (“ACG”), (v) Randall Garutti and The Randall J. Garutti 2014 GST Trust (collectively, the “Garutti Stockholders”), (vi) Jeff Uttz and (vii) Jeff Flug, Gulf Five LLC and Flug 2012 GS Trust U/A/D 9/4/12 (collectively, the “Flug Stockholders”; the Meyer Stockholders, the LGP Stockholders, the SEG Stockholders, ACG, the Garutti Stockholders, Jeff Uttz and the Flug Stockholders,
Trading Agreement • May 15th, 2003 • One Group Mutual Funds Contract Type May 15th, 2003 Trading Agreement • February 7th, 2020 • New York Contract Type February 7th, 2020 Jurisdiction(bl Client is required to complete an Institutional Account Application or Broker-Dealer Account Application depending on Client's status. Client is considered an "institutional account" if Client is a bank, savings and loan association, insurance company, registered investment company, Federal or state registered investment adviser, or a natural person or entity with total assets of $50 million or more. If Client is an institutional account, Client certifies that it is capable of making its own investment decisions and that Client, in fact, exercises independent judgment in making such decisions for Client and for Client's clients, if applicable, without reliance on any recommendations or advice by Dash or any of its employees, officers, directors, or agents, in accordance with Financial Industry Regulatory Authority ("FINRA") Rule 2111 ("Institutional Account Suitability Exception"), in connection with Client's use of Dash's Services (as defined below). Dash reserves the right to dis