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FORM 5 QUARTERLY LISTING STATEMENT Name of Listed Issuer: (the Issuer).MATCH VENUES INC. Trading Symbol: MTV 1. Related party transactions Provide disclosure of all transactions with a Related Person,
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How to fill out execution version share purchase

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How to fill out execution version share purchase

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Step 1: Gather the necessary documents such as the executed share purchase agreement, the company's articles of association, and the board resolutions authorizing the share purchase.
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Step 2: Begin by filling out the header section of the execution version share purchase. Include the names of the parties involved, the date of execution, and any reference numbers or identifications.
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Step 3: Proceed to the body of the document where the details of the share purchase will be filled. This includes information such as the number of shares to be purchased, the purchase price, and any conditions or warranties.
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Step 4: Carefully review all sections of the execution version share purchase to ensure accuracy and completeness. Make any necessary edits or additions.
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Step 5: Once satisfied with the document, sign the execution version share purchase. This should be done by both the buyer and the seller, and witnessed by appropriate individuals.
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Step 6: Distribute copies of the executed document to all relevant parties involved in the share purchase.
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Step 7: Keep a record of the executed version of the share purchase for future reference and compliance purposes.

Who needs execution version share purchase?

01
Individuals or entities involved in a share purchase transaction may need the execution version share purchase. This includes both the buyer and the seller of shares.
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Shareholders, directors, and officers of a company may also need the execution version share purchase to ensure legal compliance and proper documentation of the share purchase process.
03
Legal advisors, accountants, and auditors may require the execution version share purchase for their review and verification purposes.
04
Regulatory bodies or authorities overseeing share purchase transactions may request the execution version share purchase as part of their compliance auditing process.
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Execution version share purchase refers to a finalized and legally binding document that outlines the terms and conditions under which shares are purchased, ensuring all parties involved agree to the execution details.
Typically, the buyer and seller of the shares involved in the transaction are required to file the execution version share purchase.
To fill out an execution version share purchase, parties need to provide necessary information including buyer and seller details, number of shares being purchased, purchase price, and any terms specific to the agreement.
The purpose of an execution version share purchase is to provide a clear, legal framework for the transfer of shares between parties, ensuring that both are protected and their rights are defined.
Information that must be reported includes the identities of the buyer and seller, details of the shares being purchased, purchase price, date of transaction, and any conditions or terms attached to the sale.
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