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This document is a Securities Purchase Agreement between ICM Registry Inc. and various investors for the purchase of shares in connection with proposals submitted to ICANN for new Top Level Domains.
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How to fill out SECURITIES PURCHASE AGREEMENT

01
Begin with the title of the document: 'SECURITIES PURCHASE AGREEMENT'.
02
Include the date of the agreement at the top.
03
Identify the parties involved (the buyer and seller) with their full legal names and addresses.
04
Specify the type of securities being purchased and their amount.
05
Clearly state the purchase price and payment terms.
06
Include representations and warranties from both parties regarding their respective abilities to enter into the agreement.
07
Outline the closing conditions and the process for closing the transaction.
08
Specify any fees, commissions, or additional costs associated with the purchase.
09
Include sections on confidentiality and governing law.
10
Provide space for signatures of both parties and witnesses, if necessary.

Who needs SECURITIES PURCHASE AGREEMENT?

01
Investors looking to purchase securities from a company.
02
Companies that are issuing securities for sale to raise capital.
03
Legal professionals involved in the drafting and review of financial agreements.
04
Anyone involved in private equity or venture capital transactions.
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A Securities Purchase Agreement is a legal contract between a buyer and a seller of securities, outlining the terms and conditions under which the securities are to be purchased.
Typically, the companies or issuers of the securities are required to file the Securities Purchase Agreement with relevant regulatory authorities, especially if the securities are being offered to investors.
To fill out a Securities Purchase Agreement, include essential details such as the names of the parties involved, the description of the securities being purchased, purchase price, payment terms, and any representations or warranties.
The purpose of a Securities Purchase Agreement is to formalize the transaction between the buyer and seller, ensuring both parties understand their rights and obligations regarding the purchase of securities.
Information that must be reported typically includes the identities of the parties, the type and number of securities being sold, purchase price, payment arrangement, and any applicable legal provisions.
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