Foley & Lardner Sample Contracts

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SL Industries, Inc. – Contract (December 21st, 2006)

Page ---- ARTICLE I PURCHASE AND SALE OF SHARES............................. 1 1.1 Sale of Shares.............................................. 1 1.2 Closing..................................................... 1 1.3 Payment of the Closing Cash Consideration and Escrow Fund... 1 1.4 Working Capital Adjustment.................................. 2 1.5 Additional Closing Deliveries............................... 3 ARTICLE II REPRESENTATIONS AND WARRANTIES OF SELLERS............... 3 2.1 Corporate Organization, Etc................................. 4 2.2 Capitalization of the Company............................... 4 2.3 Subsidiaries............................

Heidrick & Struggles – Contract (September 20th, 2006)

PURCHASE AGREEMENT by and among HUDSON HIGHLAND GROUP, INC., HIGHLAND PARTNERS CO (CANADA), HIGHLAND PARTNERS (AUST) PTY LTD, and HIGHLAND PARTNERS LIMITED and HEIDRICK & STRUGGLES INTERNATIONAL, INC., HEIDRICK & STRUGGLES CANADA, INC., and HEIDRICK & STRUGGLES AUSTRALIA, LTD. Dated as of September 18, 2006 TABLE OF CONTENTS ------------------ ARTICLE I Purchase and Sale of Assets . . . . . . . . . . 1 Section 1.1 Purchased Assets . . . . . . . . . . . . . . . 1 Section 1.2 Excluded Assets . . . . . . . . . . . . . . . . 2 Section 1.3 Assumed Liabilities . . . . . . . . . . . . . . 3 Section 1.4 Excluded Liabilities .

Fidelity National Finl Inc – Contract (June 29th, 2006)

Page ---- ARTICLE I DEFINITIONS.............................................. 2 SECTION 1.1. Definitions.............................................. 2 SECTION 1.2. Other Definitions........................................ 6 ARTICLE II CLOSING TRANSACTIONS..................................... 7 SECTION 2.1. Asset Contribution, Assumption of Liabilities and Delivery of Shares....................................... 7 SECTION 2.2. Closing.................................................. 8 SECTION 2.3. Closing Deliveries....................................... 8 SECTION 2.4. Conversion of FNT Class B Common Stock................... 9 SECTION 2.5. Adjustments.............................................. 9 ARTICLE III REPRESENTATIONS AND WARRANTIES......

Contract (June 29th, 2006)

Page ---- ARTICLE I DEFINITIONS.............................................. 2 SECTION 1.1. Definitions.............................................. 2 SECTION 1.2. Other Definitions........................................ 6 ARTICLE II CLOSING TRANSACTIONS..................................... 7 SECTION 2.1. Asset Contribution, Assumption of Liabilities and Delivery of Shares....................................... 7 SECTION 2.2. Closing.................................................. 8 SECTION 2.3. Closing Deliveries....................................... 8 SECTION 2.4. Conversion of FNT Class B Common Stock................... 9 SECTION 2.5. Adjustments.............................................. 9 ARTICLE III REPRESENTATIONS AND WARRANTIES......

Contract (April 3rd, 2006)

EXHIBIT 10.1 AMENDED AND RESTATED REVOLVING CREDIT AGREEMENT THIS AMENDED AND RESTATED REVOLVING CREDIT AGREEMENT, made this 29th day of March, 2006, by and between ODYSSEY MARINE EXPLORATION, INC., a Nevada corporation, whose address is 5215 West Laurel Street, Tampa, Florida 33607 ("Borrower"), and MERCANTILE BANK, whose address is 2307 West Kennedy Boulevard, Tampa, FL 33609 ("Lender"). W I T N E S S E T H: WHEREAS, Borrower and Lender previously entered into that certain Revolving Credit Agreement dated April 21, 2005 (as it may be amended, supplemented or modified from time to time, the "Original Loan Agreement"), pursuant to which the Lender made a revolving credit loan (the "Original Loan") in the maximum principal amount of $6,000,000.00 to Borrower; and WHEREAS, Borrower and Lender desire to amend and restate in its entirety the Original Loan Agreement pursuant to the terms hereof; and WHEREAS, certain capi

Somanta Pharmaceuticals Inc. – Contract (February 6th, 2006)

EXHIBIT 10.17 - -------------------------------------------------------------------------------- PREFERRED STOCK AND WARRANT PURCHASE AGREEMENT by and among Somanta Pharmaceuticals, Inc. and the parties named herein on Schedule 1, as Purchasers ---------- January 31, 2006 - -------------------------------------------------------------------------------- This PREFERRED STOCK AND WARRANT PURCHASE AGREEMENT is dated as of January 31, 2006 (this "Agreement"), among Somanta Pharmaceuticals, Inc., a Delaware corporation (the "Company"), and the purchasers identified on Schedule 1 hereto, as such schedule may be supplemented pursuant to Section 2.1(c) or Section 6.15 below (each a "Purchaser" and collectively the "Purchasers"). WHEREAS, subject to

American Leisure Hld – Contract (January 12th, 2006)

Exhibit 10.7 LOAN AGREEMENT FOR A LOAN IN THE AMOUNT OF $14,850,000.00 MADE BY AND BETWEEN TIERRA DEL SOL RESORT (PHASE 2), LTD., A FLORIDA LIMITED PARTNERSHIP TDS TOWN HOMES (PHASE 2), LLC, A FLORIDA LIMITED LIABILITY COMPANY COSTA BLANCA II REAL ESTATE, LLC, A FLORIDA LIMITED LIABILITY COMPANY COSTA BLANCA III REAL ESTATE, LLC, A FLORIDA LIMITED LIABILITY COMPANY AND TDS CLUBHOUSE, INC., A FLORIDA CORPORATION 2462 SAND LAKE ROAD ORLANDO, FLORIDA 32809 AND KEYBANK NATIONAL ASSOCIATION, A NATIONAL BANKING ASSOCIATION 200 E. ROBINSON STREET, SUITE 555 ORLANDO, FLORIDA 32803

Contract (December 12th, 2005)

Exhibit 10.1 STOCK PURCHASE AGREEMENT STOCK PURCHASE AGREEMENT THIS STOCK PURCHASE AGREEMENT is entered into this 6th day of December, 2005, by and among Middleby Marshall, Inc. (the "Buyer"), ALKAR HOLDINGS, INC., a Wisconsin corporation (the "Holding Company"), FACILITATOR CAPITAL FUND, LIMITED PARTNERSHIP ("FCF"), Loren Mortenson ("Mortenson"), Adkins Holdings, LLC ("Adkins") (hereinafter, FCF, Mortenson and Adkins are referred to as "Investors"), J. Phillip Hinderaker ("Hinderaker), John Jurkowski ("Jurkowski"), Robert Hanson ("Hanson"), David Smith ("Smith"), Daryl Shackelford ("Shackelford") (hereinafter, Hinderaker, Jurkowski, Hanson, Smith, and Shackelford shall be referred to as the "Managers," and the Managers and Investors shall hereinafter be referred to collectively as the "Sellers"), the Bank of Sun Prairie, as custodian for the J. Phillip Hinderaker-IRA ("Hinderaker IRA Custod

Fidelity National Finl Inc – Contract (October 21st, 2005)
Contract (October 21st, 2005)
Conversion Services International, Inc. – Contract (August 3rd, 2005)

Exhibit 10.2 SUBORDINATED PROMISSORY NOTE US $165,000.00 July 29, 2005 Subject to the terms and conditions of this Subordinated Promissory Note (this "Note"), for value received, the undersigned Conversion Services International, Inc. ("CSI"), a Delaware corporation with an address of 100 Eagle Rock Avenue, East Hanover, New Jersey 07936, hereby promises to pay to ADAM HOCK, an individual residing at 630 First Avenue, Apt. 35C, New York, New York 10016, and LARRY HOCK, an individual residing at 4210 West Beachway Drive Tampa, Florida 33609 (collectively, the "Holder"), the principal amount of One Hundred Sixty-Five Thousand U.S. Dollars (US $165,000.00), with interest thereon, as provided herein. This Note is issued and delivered pursuant to the Agreement and Plan of Merger, dated as of July 28, 2005 (the "Merger Agreement"), by and among CSI, ISI Merger Corp., Integrated Strategies, Inc., IS

Note Purchase Agreement (June 7th, 2005)
Vemco Inc /Mi/ – Contract (April 25th, 2005)

PAGE ---- ARTICLE I DEFINITIONS.................................................... 1 1.1 Definitions................................................... 1 ARTICLE II PURCHASE AND SALE............................................. 10 2.1 Purchased Assets.............................................. 10 2.2 Excluded Assets............................................... 12 2.3 Assumed Liabilities........................................... 13 2.4 Excluded Liabilities.......................................... 13 2.5 Assignments; Cure Amounts..................................... 14 ARTICLE III PURCHASE PRICE............................................... 14 3.1 Purchase Price................................................ 14 3.2 Allocation of Purchase Price..

Fidelity National Finl Inc – Contract (March 15th, 2005)

PAGE ---- ARTICLE 1 DEFINITIONS AND ACCOUNTING TERMS Section 1.01. Defined Terms........................................... 1 Section 1.02. Other Interpretive Provisions........................... 38 Section 1.03. Accounting Terms........................................ 39 Section 1.04. Rounding................................................ 40 Section 1.05. References to Agreements and Laws....................... 40 Section 1.06. Times of Day............................................ 40 Section 1.07. Timing of Payment or Performance........................ 40 ARTICLE 2 THE COMMITMENTS AND CREDIT EXTENSIONS Section 2.01. The Loans......................................

Contract (February 16th, 2005)
Patriot Transportation Holding, Inc. – Contract (November 16th, 2004)

Exhibit 10.1 AMENDED AND RESTATED REVOLVING CREDIT AGREEMENT dated as of November 10, 2004 among PATRIOT TRANSPORTATION HOLDING, INC. as Borrower THE LENDERS FROM TIME TO TIME PARTY HERETO and WACHOVIA BANK, NATIONAL ASSOCIATION as Administrative Agent TABLE OF CONTENTS

Intermet – Contract (October 28th, 2004)

Page No. -------- Section 1. DEFINITIONS................................................................................. 2 1.1 Certain Defined Terms....................................................................... 2 1.2 Accounting Terms; Utilization of GAAP for Purposes of Calculations Under Agreement.......... 38 1.3 Other Definitional Provisions and Rules of Construction..................................... 38 Section 2. AMOUNTS AND TERMS OF COMMITMENTS AND LOANS.................................................. 39 2.1 Commitments; Making of Revolving Loans; the Register; Optional Notes........................ 39 2.2 Interest on the Revolving Loans............

Contract (August 20th, 2004)

EXHIBIT 10.4 THESE SECURITIES HAVE NOT BEEN REGISTERED FOR OFFER OR SALE UNDER THE SECURITIES ACT OF 1933 OR ANY STATE SECURITIES LAWS. THEY MAY NOT BE SOLD OR OFFERED FOR SALE EXCEPT PURSUANT TO AN EFFECTIVE REGISTRATION STATEMENT UNDER SAID ACT AND ANY APPLICABLE STATE SECURITIES LAW OR AN APPLICABLE EXEMPTION FROM SUCH REGISTRATION REQUIREMENTS. NOTE EXCHANGE AGREEMENT NOTE EXCHANGE AGREEMENT (this "Agreement") dated as of July 29, 2004, by and among Liquidmetal Technologies, Inc., a Delaware corporation (the "Company"), and each person or entity listed as a Noteholder on Schedule I attached to this Agreement (collectively and individually, the "Noteholders"). Capitalized terms used herein and not otherwise defined shall have the meanings set forth in the Exchange Notes (as defined below). W I T N E S S E T H: WHEREAS, the Company sold and issued to the Noteholders 6% Senior Convertib

Contract (July 2nd, 2004)

EXHIBIT 10.8 REGISTRATION RIGHTS AGREEMENT This Registration Rights Agreement ("AGREEMENT") is entered into as of March 1, 2004, between Liquidmetal Technologies, Inc., a Delaware corporation with offices at 25800 Commercentre Dr., Suite 100, Lake Forest, California 92630 (the "COMPANY") and each of the parties listed under "Purchasers" hereto (collectively and individually, the "PURCHASER"). W I T N E S S E T H: WHEREAS, pursuant to that certain Securities Purchase Agreement, dated on or about the date hereof, by and between the Company and the Purchaser (the "PURCHASE AGREEMENT"), the Company has agreed to sell and issue to the Purchaser, and the Purchaser has agreed to purchase from the Company, a 6% Senior Convertible Note in the principal amount of up to six million five hundred thousand United States dollars ("Dollars") ($6,500,000) (the "NOTE") and Warrants (the "WARRANTS") to purchase shares of the Co

Contract (June 29th, 2004)

EXHIBIT 10.1 REVOLVING CREDIT AGREEMENT THIS REVOLVING CREDIT AGREEMENT, made this 24th day of June, 2004, by and between ODYSSEY MARINE EXPLORATION, INC., a Nevada corporation, whose address is 3604 Swann Avenue, Tampa, Florida 33609 ("Borrower"), and THE BANK OF TAMPA, whose address is 4355 Henderson Boulevard, Tampa, Florida 33629 ("Lender"). W I T N E S S E T H: WHEREAS, Borrower desires to borrow money for business purposes, and Borrower has requested a line of credit from Lender, and Lender is willing to loan certain sums to Borrower from time to time on the terms set forth herein; and WHEREAS, certain capitalized terms used in this Agreement are defined in Section 10 hereof; NOW, THEREFORE, it is agreed as follows: 1. Revolving Credit Loan. (a) Revolving Credit Commitment. Subject to the terms and conditions hereof, Lender agrees to make Advances to Borrower against Eligible Co

Contract (November 13th, 2003)

Execution Copy SECURITIES PURCHASE AGREEMENT This SECURITIES PURCHASE AGREEMENT (this "Agreement"), dated as of November 11, 2003 (the "Effective Date"), is made by and among FARO Technologies, Inc., a Florida corporation (the "Company"), with headquarters located at 125 Technology Park, Lake Mary, Florida 32746, the investors named on the signature pages to this Agreement (each of whom is referred to as the "Investor" and all of whom collectively are referred to as the "Investors") and Xenon Research, Inc., a Florida corporation, and Gregory A. Fraser, a Florida resident (each of Xenon Research, Inc. and Gregory A. Fraser are referred to as the "Selling Shareholder" and both of whom collectively are referred to as the "Selling Shareholders"). Capitalized terms used herein and not otherwise defined have the meanings given them in Article IX. RECITALS: A. The Company, the Selling Sharehol

Vemco Inc /Mi/ – Contract (September 26th, 2003)
Vemco Inc /Mi/ – Contract (September 26th, 2003)

Article I DEFINITIONS............................................................................................2 Section 1.1 Definitions.......................................................................................2 Article II CONTRIBUTION OF ASSETS...............................................................................10 Section 2.1 Contribution of Equity Interests and Transferred Assets..........................................10 Article III ASSUMPTION OF LIABILITIES...........................................................................10 Section 3.1 Assumed Liabilities..............................................................................10 Article IV CONSIDERATION AND PAYMENT............................................................................11 Section 4.1 Consideration....................................................................................11 Article V RECEIVABLES..................................................

TechTeam Akela – Contract (April 9th, 2003)
Castle Dental Centers Inc – Contract (August 5th, 2002)

Page ---- ARTICLE I Definitions and Accounting Matters ............................. 2 Section 1.01 Terms Defined Above .................................... 2 Section 1.02 Certain Defined Terms .................................. 2 Section 1.03 Accounting Terms and Determinations .................... 15 ARTICLE II Loans ......................................................... 15 Section 2.01 Restructure, Modification and Continuation of Prior Debt ........................................... 15 Section 2.02 Fees ................................................... 15 Section 2.03 Notes .................................................. 16 ARTICLE III Payments of Principal and Interest ........................... 16 Section 3.01 Optional Prepayments of Loans ......

Midwest Air Group – LIST OF INVESTORS AND SHARES TO BE ISSUED - ------------------------------------ -------------------------------------------- ----------------- ------------------ Name Address Taxpayer I.D. Number of Number Shares - ------------------------------------ -------------------------------------------- ----------------- ------------------ - ------------------------------------ -------------------------------------------- ----------------- ------------------ - ------------------------------------ -------------------------------------------- ----------------- ------------------ - --------------------- (June 20th, 2002)
American Medical Security Gp – Underwriting Agreement (June 19th, 2002)
Stock Purchase Agreement (March 26th, 2002)
Credit Agreement (February 19th, 2002)
American Medical Security Gp – Agreement (February 5th, 2002)
Inland Real Estate Corporation – Employment Agreement (June 25th, 2001)
Shareholders Agreement (January 8th, 2001)
ImmunoGen, Inc. – - ----------------------------------------------------------------------------- ------------------------------------------- Details Comments Duration --------- ------------------------------------------------------------------------------- ---------------------------- Country Serial Number Filing Date Patent Number Issue Date Status ------------------------------------------------------------- ------------------------------------------------------- [________] [________] [________] [________] [________] [________] ----------------------------------- -------------------------------------------------- (October 10th, 2000)
Waxman Industries – Voting Trust Agreement (July 17th, 2000)
Powerbrief Inc – Contract (February 11th, 2000)

EXHIBIT NUMBER DESCRIPTION - ------- ----------- 1.2 - Purchased Assets 1.3 - Assumed Liabilities and Obligations 2.3 - Allocation of Consideration 3.2 - Buyer's Release 3.3 - Seller's Release