“Officer’s Certificate” means a certificate signed by any one or more of the officers of the Corporation or Directors;
“Over-Allotment Option” means the non-transferable option granted by the Corporation to the Underwriter to purchase up to an additional 7,500,000 Class A Restricted Voting Units, at a price of U.S.$10.00 per Class A Restricted Voting Unit, exercisable for a period of 30 days from the Closing of the Offering, to cover over-allotments, if any, and for market stabilization purposes;
“Permitted Timeline” means the allowable time period within which the Corporation must consummate its Qualifying Transaction, being 18 months from the Closing of the Offering, as it may be extended as described in the Prospectus;
“Permitted Transferee” means any affiliate or person controlled, directly or indirectly, by a Founder;
“Person” includes any individual, corporation, company, partnership, association, joint venture, trust, unincorporated association, government or governmental authority;
“Prices” has the meaning ascribed thereto in Section 4.3(1);
“Privacy Laws” has the meaning ascribed thereto in Section 11.15;
“Prospectus” has the meaning ascribed thereto in recital B;
“Qualified Institutional Buyer” means a “qualified institutional buyer” within the meaning of Rule 144A under the U.S. Securities Act;
“Qualifying Transaction” means a “Qualifying Transaction” within the meaning of the Exchange Listing Manual (as amended from time to time, and subject to any exemptive relief granted by the Exchange);
“register” means the one set of records and accounts maintained by the Warrant Agent pursuant to Section 2.7;
“Regulation S” means Regulation S promulgated under the U.S. Securities Act;
“Rights Offering” has the meaning ascribed thereto in Section 4.2(1);
“SEC” means the United States Securities and Exchange Commission;
“Securities Commissions” means the securities commission or other similar regulatory authority in each of the Designated Jurisdictions;
“Securities Laws” means, as applicable, the securities laws, regulations, rules, rulings and orders in each of the Designated Jurisdictions, the published policy statements issued by the Securities Commissions and the rules of the Exchange, as each may be amended from time to time;
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