Adams and Reese Sample Contracts

American Midstreampartners Lp – AMERICAN MIDSTREAM PARTNERS, LP AMERICAN MIDSTREAM FINANCE CORPORATION 8.500% Senior Notes Due 2021 PURCHASE AGREEMENT (December 19th, 2017)
Asset Purchase Agreement (November 29th, 2017)

This Asset Purchase Agreement (the "Agreement") is made as of the 29 day of September, 2017, between COPsync, Inc. ("Seller"), and Kologik Capital, LLC ("Purchaser").

American Midstreampartners Lp – AMERICAN MIDSTREAM PARTNERS, LP AMERICAN MIDSTREAM FINANCE CORPORATION 8.500% Senior Notes Due 2021 PURCHASE AGREEMENT (December 16th, 2016)
American Midstreampartners Lp – AMERICAN MIDSTREAM PARTNERS, LP AMERICAN MIDSTREAM FINANCE CORPORATION 8.500% Senior Notes Due 2021 PURCHASE AGREEMENT (December 16th, 2016)
Employment Agreement (February 18th, 2016)

THIS EMPLOYMENT AGREEMENT (this "Agreement") is effective as of the 21st day of December, 2015, by and between CIBER, INC., a Delaware corporation (the "Company"), and MICHAEL BOUSTRIDGE (the "Executive").

CREDIT AGREEMENT Dated as of May 21, 2015 Among ITT Holdings LLC as US Borrower, IMTT-QUEBEC INC. And IMTT-NTL, LTD. As Canadian Borrowers THE LENDERS FROM TIME TO TIME PARTY HERETO, Branch Banking and Trust Co., Compass Bank, JPMorganChase Bank, N.A., Regions Bank, and Wells Fargo BANK, N.A. As Co- Syndication Agents, KeyBank National associatioN, Royal Bank of Canada and TD Bank, N.A. As Co-Documentation Agents, and SUNTRUST BANK as Administrative Agent SUNTRUST ROBINSON HUMPHREY, INC., SUNTRUST BANK, Branch Banking and Trust Co., Compass Bank, JPMorganChase Bank, N.A., Regions Bank, and Well (August 3rd, 2015)

THIS CREDIT AGREEMENT (this "Agreement") is made and entered into as of May 21, 2015 by and among ITT Holdings LLC, a Delaware limited liability company (the "US Borrower") and a wholly-owned direct Subsidiary of IMTT Holdings LLC, IMTT-QUEBEC INC. a Canadian corporation and IMTT-NTL, LTD., a Canadian corporation (together with IMTT-Quebec Inc., each a "Canadian Borrower" and collectively, the "Canadian Borrowers", and together with the US Borrower, the "Borrowers"), the several banks and other financial institutions and lenders from time to time party hereto (the "Lenders"), and SUNTRUST BANK, in its capacity as administrative agent for the Lenders (the "Administrative Agent") and as swingline lender, the US issuing banks from time to time party hereto (each, a "US Issuing Bank") and Royal Bank of Canada, as Canadian funding agent for the Canadian Lenders (the "Canadian Funding Agent") and as the Canadian issuing bank (the "Canadian Issuing Bank", and together with the US Issuing Bank

Employment Agreement (July 29th, 2014)

THIS EMPLOYMENT AGREEMENT (this "Agreement") is effective as of the 12th day of June, 2014, by and between CIBER, INC., a Delaware corporation (the "Company"), and MICHAEL BOUSTRIDGE (the "Executive").

AMSURG ESCROW CORP. As Issuer, and U.S. BANK NATIONAL ASSOCIATION, as Trustee INDENTURE Dated as of July 16, 2014 5.625% Senior Notes Due 2022 (July 22nd, 2014)

INDENTURE, dated as of July 16, 2014, among AMSURG ESCROW CORP., a Tennessee corporation, the Subsidiary Guarantors (as hereinafter defined) party hereto from time to time and U.S. BANK NATIONAL ASSOCIATION, as trustee.

Saratoga Res Inc – SARATOGA RESOURCES, INC. AND EACH OF THE GUARANTORS FROM TIME TO TIME PARTY HERETO 10.0% SENIOR SECURED NOTES DUE 2015 INDENTURE Dated as of November 22, 2013 THE BANK OF NEW YORK MELLON TRUST COMPANY, N.A., as Trustee and as Collateral Agent (November 25th, 2013)

INDENTURE dated as of November 22, 2013 among SARATOGA RESOURCES, INC., a Texas corporation (the Issuer), the Guarantors (as defined herein) and THE BANK OF NEW YORK MELLON TRUST COMPANY, N.A., as Trustee, and THE BANK OF NEW YORK MELLON TRUST COMPANY, N.A., as Collateral Agent.

Saratoga Res Inc – First Supplemental Indenture (December 5th, 2012)

First Supplemental Indenture (this First Supplemental Indenture), dated as of December 4, 2012 among Saratoga Resources Inc. (the Company), each of the guarantors party hereto (the Guarantors) and The Bank of New York Mellon Trust Company, N.A., as Trustee (the Trustee), to the Indenture (the Base Indenture and, together with this First Supplement Indenture, the Indenture), dated as of July 12, 2011, among the Company, the Guarantors and the Trustee. Capitalized terms used in this First Supplemental Indenture and not otherwise defined herein shall have the meanings assigned to such terms in the Indenture.

Saratoga Res Inc – SARATOGA RESOURCES, INC. 121/2% Senior Secured Notes Due 2016 PURCHASE AGREEMENT (November 30th, 2012)
Evolution Petroleum Corporation, Inc. – CREDIT AGREEMENT AMONG EVOLUTION PETROLEUM CORPORATION THE GUARANTORS SIGNATORY HERETO AND TEXAS CAPITAL BANK, N.A. February 29, 2012 REVOLVING LINE OF CREDIT AND LETTER OF CREDIT FACILITY OF UP TO $50,000,000 (March 6th, 2012)

This CREDIT AGREEMENT is made and entered into as of the 29th day of February, 2012, by and among EVOLUTION PETROLEUM CORPORATION, a Nevada corporation (the Borrower), NGS SUB. CORP., a Delaware corporation (NGS Sub), TERTIAIRE RESOURCES COMPANY, a Texas corporation (Tertiaire), NGS TECHNOLOGIES, INC., a Delaware corporation (NGS Technologies), EVOLUTION OPERATING CO., INC., a Texas corporation (Evolution Operating, and NGS Sub, Tertiaire, NGS Technologies and Evolution Operating, collectively, the Initial Guarantors), and TEXAS CAPITAL BANK, N.A., a national banking association (the Lender).

Cumberland Pharmaceuticals Inc. – *Certain Portions of This Exhibit Have Been Omitted Pursuant to a Request for Confidential Treatment Which Has Been Filed Separately With the SEC. ASSET PURCHASE AND ROYALTY AGREEMENT (November 22nd, 2011)

THIS ASSET PURCHASE AND ROYALTY AGREEMENT (this Agreement), is hereby entered into as of the 15th day of November, 2011 (the Effective Date) by and between Mylan Inc., a Pennsylvania corporation located at 1500 Corporate Drive, Canonsburg, Pennsylvania 15317 (Mylan) and Cumberland Pharmaceuticals Inc., a corporation organized under the laws of the State of Tennessee with a place of business at 2525 West End Avenue, Suite 950, Nashville, Tennessee, USA 37203 (hereinafter referred to as Cumberland). Mylan and Cumberland may each be referred to herein individually as a Party and collectively as the Parties.

PURCHASE AND SALE AGREEMENT DATED AS OF SEPTEMBER 16, 2011 BETWEEN JOSHUA TIMBERLANDS LLC, as Seller AND RAYONIER INC., as Buyer (October 28th, 2011)

THIS IS A PURCHASE AND SALE AGREEMENT (this "Agreement") made as of the 16th day of September, 2011 by and between Joshua Timberlands LLC, a Mississippi limited liability company ("Seller"), and Rayonier Inc., a North Carolina corporation ("Buyer").

Saratoga Res Inc – SARATOGA RESOURCES, INC. AND EACH OF THE GUARANTORS FROM TIME TO TIME PARTY HERETO 121/2% SENIOR SECURED NOTES DUE 2016 INDENTURE Dated as of July 12, 2011 THE BANK OF NEW YORK MELLON TRUST COMPANY, N.A., as Trustee and as Collateral Agent (July 15th, 2011)

INDENTURE dated as of July 12, 2011 among SARATOGA RESOURCES, INC., a Texas corporation (the Issuer), the Guarantors (as defined herein) and THE BANK OF NEW YORK MELLON TRUST COMPANY, N.A., as Trustee, and THE BANK OF NEW YORK MELLON TRUST COMPANY, N.A., as Collateral Agent.

Agreement and Plan of Merger (February 22nd, 2011)

This Agreement and Plan of Merger (Agreement) is dated as of February 21, 2011, between OMNI Bancshares, Inc. (OMNI), a bank holding company with principal offices in Metairie, Louisiana, and IBERIABANK Corporation (IBKC), a bank holding company with principal offices in Lafayette, Louisiana.

Agreement and Plan of Merger (February 22nd, 2011)

This Agreement and Plan of Merger (Agreement) is dated as of February 21, 2011, between OMNI Bancshares, Inc. (OMNI), a bank holding company with principal offices in Metairie, Louisiana, and IBERIABANK Corporation (IBKC), a bank holding company with principal offices in Lafayette, Louisiana.

HAHT Commerce, Inc. – And Each of the Guarantors Party Hereto 93/4% Senior Secured Notes Due 2015 (June 21st, 2010)

INDENTURE dated as of December 23, 2009 among GXS Worldwide, Inc., a Delaware corporation, the Guarantors (as defined) and U.S. Bank National Association, as trustee and Wilmington Trust FSB, as collateral trustee.

HAHT Commerce, Inc. – COLLATERAL TRUST AGREEMENT Dated as of December 23, 2009 Among GXS WORLDWIDE, INC., the Other Grantors From Time to Time Party Hereto, WELLS FARGO FOOTHILL, INC., as Administrative Agent Under the Revolving Credit Agreement, U.S. BANK NATIONAL ASSOCIATION, as Trustee Under the Indenture and WILMINGTON TRUST FSB, as Collateral Trustee (June 21st, 2010)

This Collateral Trust Agreement (this " Agreement") is dated as of December 23, 20 09 and is by and among GXS Worldwide, Inc., a Delaware corporation (together with its successors, "GXS"), the Grantors from time to time party hereto, Wells Fargo Foothill, Inc., as Administrative Agent (as defined below), U.S. Bank National Association, as Trustee (as defined below), and Wilmington Trust FSB, as Collateral Trustee (in such capacity and together with its successors in such capacity, the " Collateral Trustee").

Delek US Holdings – Third Amendment to Amended and Restated Credit Agreement (March 12th, 2010)

THIRD AMENDMENT, dated as of December 15, 2005 (this Amendment) to the AMENDED AND RESTATED CREDIT AGREEMENT, dated as of April 28, 2005 (as amended by the First Amendment, dated as of August 18, 2005, the Second Amendment, dated as of October 11, 2005, and as further amended, supplemented or otherwise modified from time to time, the Credit Agreement), among MAPCO EXPRESS, INC., a Delaware corporation (the Borrower), the several banks and other financial institutions or entities from time to time parties to the Credit Agreement (the Lenders), LEHMAN BROTHERS INC., as advisor, sole lead arranger and sole bookrunner (in such capacity, the Arranger), SUNTRUST BANK, as syndication agent (in such capacity, the Syndication Agent), BANK LEUMI USA, as co-administrative agent (in such capacity, the Co-Administrative Agent), and LEHMAN COMMERCIAL PAPER INC., as administrative agent (in such capacity, the Administrative Agent).

Evolution Petroleum Corporation, Inc. – ASSET PURCHASE AND SALE AGREEMENT by and Between NGS SUB. CORP. (SELLER) and MWM ENERGY, LLC (BUYER) Dated: FEBRUARY 15, 2008 (May 14th, 2008)

This Asset Purchase and Sale Agreement (Agreement), dated as of February 15, 2008, is by and between NGS Sub. Corp., a Delaware corporation, whose address is 2500 City West Boulevard, Suite 1300, Houston, Texas 77042 (Seller), and MWM Energy, LLC, a Texas limited liability company (Buyer), whose address is 114 30th Avenue South, Nashville, Tennessee 37212. Seller and Buyer are sometimes together referred to herein individually as a Party or collectively as Parties.

Metalico Inc – Amendment No. 2 to Financing Agreement and Consent (January 29th, 2008)

This AMENDMENT NO. 2 TO FINANCING AGREEMENT AND CONSENT (this Amendment) is entered into as of January 25, 2008, by and among METALICO, INC., a Delaware corporation (Borrower), each Subsidiary of Borrower listed as a Guarantor on the signature pages hereto (each a Guarantor and collectively, jointly and severally, the Guarantors), the lenders signatory hereto (each a Lender and collectively, the Lenders), ABLECO FINANCE LLC, a Delaware limited liability company (Ableco), as collateral agent for the Lenders (in such capacity, together with any successor collateral agent, the Collateral Agent), and Ableco, as administrative agent for the Lenders (in such capacity, together with any successor administrative agent, the Administrative Agent and together with the Collateral Agent, each an Agent and collectively, the Agents).

C Loan Agreement Between (November 26th, 2007)

C LOAN AGREEMENT (the Agreement) dated November 19, 2007, between BPZ RESOURCES, INC. (formerly BPZ Energy, Inc.), a corporation organized and existing under the laws of the State of Texas (the Borrower); and INTERNATIONAL FINANCE CORPORATION, an international organization established by Articles of Agreement among its member countries including the United States of America and the Republic of Peru (IFC).

Stock Purchase Agreement (May 9th, 2007)

This STOCK PURCHASE AGREEMENT (this Agreement), dated May 4, 2007, is made by and among BPZ Energy, Inc., a Colorado corporation (the Company), and the Investors named on Schedule 1.1 hereto (the Investors).

Chattem – Contract (April 17th, 2007)

EXHIBIT 10.1 ------------ EXECUTION COPY CHATTEM, INC. 1.625% CONVERTIBLE SENIOR NOTES DUE 2014 INDENTURE DATED AS OF APRIL 11, 2007 U.S. BANK, NATIONAL ASSOCIATION AS TRUSTEE TABLE OF CONTENTS Page ARTICLE 1 DEFINITIONS AND INCORPORATION BY REFERENCE..........................1 Section 1.01. Definitions..............................................1 Section 1.02. Other Definitions........................................8 Section 1.03. Trust Indenture Act Provisions...........................9 Section 1.04. Rule

Subscription Agreement by and Among BPZ ENERGY, INC. And INTERNATIONAL FINANCE CORPORATION Dated December 18, 2006 (December 22nd, 2006)

This SUBSCRIPTION AGREEMENT (this Agreement), dated December 18, 2006, is made by and between BPZ Energy, Inc., a Colorado corporation (the Company), and International Finance Corporation, an international organization established by Articles of Agreement among its member countries, including the United States (IFC).

Pacer Health – Promissory Note (November 21st, 2006)

WHEREAS, the Parties and Southpark Community Hospital, L.L.C., a Louisiana limited liability company (the "Company"), have, simultaneously upon the execution of this Promissory Note, entered into that certain Agreement (the "Agreement") pursuant to which the Purchaser acquired all of Pacer's Membership Interests in the Company, in exchange for, among other things, the issuance by the Purchaser to Pacer of this Promissory Note; and

Earnest Money Contract for Design/Build Project (November 3rd, 2006)

This Earnest Money Contract for Design/Build Project (Contract) is entered into as of the Effective Date, as herein defined, between GSL CONSTRUCTORS, LTD., as Seller (Seller), and CYTOGENIX, INC., a Nevada corporation (Employer ID: 76-0484097), as Buyer (Buyer), and is on the following terms and conditions of agreement between Seller and Buyer:

TWO RIVERS WATER & FARMING Co – Contract (July 13th, 2006)

EXHIBIT 10.1 THE SECURITIES REPRESENTED BY THIS WARRANT AND THE COMMON STOCK ISSUABLE THEREBY HAVE NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE "SECURITIES ACT), OR ANY OTHER APPLICABLE SECURITIES LAW AND, ACCORDINGLY, THE SECURITIES REPRESENTED BY THIS WARRANT MAY NOT BE RESOLD, PLEDGED, OR OTHERWISE TRANSFERRED, EXCEPT PURSUANT TO AN EFFECTIVE REGISTRATION STATEMENT UNDER, OR IN A TRANSACTION EXEMPT FROM REGISTRATION UNDER, THE SECURITIES ACT AND IN ACCORDANCE WITH ANY OTHER APPLICABLE SECURITIES LAWS. WARRANT To Purchase 1,000,000 Shares of Common Stock of BPZ ENERGY, INC. (formerly Navidec, Inc.) Issue Dale: March 21, 2005 (Pursuant to Agreement dated July 8, 2004) Exercise Price: $2.00 per share, subject to adjustment as provided below. This Common Stock Purchase Warrant (the "Warrant") certifies that for value received, Navidec Financial

Stock Purchase Agreement (July 6th, 2006)

This STOCK PURCHASE AGREEMENT (this Agreement), dated June 30, 2006, is made by and among BPZ Energy, Inc., a Colorado corporation (the Company), and the Investors named on Schedule 1.1 hereto (the Investors).

Contract (May 17th, 2006)
Suncoast Bancorp Inc – Employment Agreement (May 15th, 2006)

This EMPLOYMENT AGREEMENT (the Agreement) is hereby entered into as of the 16th day of March, 2006 (the Effective Date), between SunCoast Bank, a Florida state-chartered bank (SunCoast) (and Cadence Bank, N.A. (Cadence) to the extent it is the surviving entity in the Merger described below) (SunCoast and Cadence, as the surviving entity of the contemplated Merger, collectively and as applicable, the Bank) and William F. Gnerre (the Employee).

Suncoast Bancorp Inc – Employment Agreement (May 15th, 2006)

This EMPLOYMENT AGREEMENT (the Agreement) is hereby entered into as of the 16th day of March, 2006 (the Effective Date), between SunCoast Bank, a Florida state-chartered bank (SunCoast) (and Cadence Bank, N.A. (Cadence) to the extent it is the surviving entity in the Merger described below) (SunCoast and Cadence, as the surviving entity of the contemplated Merger, collectively and as applicable, the Bank) and John S. Wilks (the Employee).

Stock Purchase Agreement (March 14th, 2006)

This STOCK PURCHASE AGREEMENT (this Agreement), dated March 8, 2006, is made by and among BPZ Energy, Inc., a Colorado corporation (the Company), and the Investors named on Schedule 1.1 hereto (the Investors).

Delek US Holdings – Contract (February 8th, 2006)

PAGE ---- ARTICLE 1 DEFINITIONS.................................................... 1 Section 1.1 Certain Defined Terms..................................... 1 Section 1.2 References, Gender, Number................................ 1 Section 1.3 Interpretation............................................ 2 ARTICLE 2 SALE AND PURCHASE OF ASSETS AND NEWCO SHARES................... 3 Section 2.1 Sale and Purchase......................................... 3 ARTICLE 3 PURCHASE PRICE AND PAYMENT..................................... 3 Section 3.1 Purchase Price............................................ 3 Section 3.2 Earnest Money Deposit and Closing Payment................. 3 Section 3.3 Purchase Price for Inventory.............................. 4 Section 3.4 Prepayments............