Gibson, Dunn & Crutcher Sample Contracts

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Herbalife – Amended and Restated Employment Agreement (August 3rd, 2010)

This Amended and Restated Employment Agreement (Agreement), dated as of June 1, 2010 is made and entered into by BRETT R. CHAPMAN (Executive) and HERBALIFE INTERNATIONAL OF AMERICA, INC., a California corporation (Company). The parties to this Agreement agree as follows:

Agreement (July 7th, 2010)

This Agreement (this Agreement) is made and entered into as of July 1, 2010 (the Effective Date), by and among BIOLASE Technology, Inc., a Delaware corporation (the Company), Federico Pignatelli (Mr. Pignatelli), and each of David Mulder, George dArbeloff, Robert Anderton, James Largent and Gregory Waller (collectively, the Other Directors, and together with Mr. Pignatelli, the Directors) in each of the Directors respective capacities as an individual and as a director of the Company, and Brett Scott, the Companys Chief Financial Officer, and Michael Carroll, the Companys General Counsel, both in their respective capacities as an individual and officer of the Company (collectively, the Officers). Each of the Company, the Directors and the Officers are referred to herein as a Party, and collectively as the Parties.

Angeles Partners Xi – Purchase and Sale Contract (July 14th, 2009)

THIS PURCHASE AND SALE CONTRACT (this Contract) is entered into as of the 8 th day of July, 2009 (the Effective Date), by and between FOX RUN AP XI, L.P., a South Carolina limited partnership, having an address at 4582 South Ulster Street Parkway, Suite 1100, Denver, Colorado 80237 ( Seller), and ANGELO GORDON REAL ESTATE INC., a Delaware corporation, having a principal address at 245 Park Avenue, 26 h Floor, New York New York 10167 (Purchaser).

Identive Group – Stockholder Agreement (May 4th, 2009)

This Stockholder Agreement (this Agreement) is dated as of December 10, 2008, by and among SCM Microsystems, Inc., a Delaware corporation (Parent), the persons signing under the heading Management Stockholders on the signature page hereto (each a Management Stockholder) and the persons signing under the heading Other Stockholders on the signature page hereto (each an Other Stockholder and together with the Management Stockholders, each a Stockholder).

Identive Group – Limited Guarantee (April 9th, 2009)

This LIMITED GUARANTEE is dated as of the 8th day of April, 2009 (this Guarantee) by SCM Microsystems, Inc., a Delaware corporation (Guarantor), in favor of Secure Keyboards, Ltd., a California limited partnership (Keyboards), and Secure Networks, Ltd., a California limited partnership (Networks and, together with Keyboards, the Guaranteed Parties and, each of them, a Guaranteed Party).

Contract (November 21st, 2006)
Delcath Systems – Contract (October 12th, 2006)

EXECUTION COPY SETTLEMENT AGREEMENT SETTLEMENT AGREEMENT, dated as of October 8, 2006 (this "Agreement"), by and between Delcath Systems, Inc., a Delaware corporation ("Delcath"), on the one hand, and Laddcap Value Partners LP, a Delaware limited partnership, Laddcap Value Advisors LLC, a Delaware limited liability company, Laddcap Value Associates LLC, a Delaware limited liability company, any affiliates (as defined under the Securities Exchange Act of 1934, as amended (the "Exchange Act")) of any of the foregoing, and Mr. Robert B. Ladd ("Ladd"), in his individual capacity (collectively, "Laddcap," and together with Delcath, the "Parties"), on the other hand. WHEREAS, on June 27, 2006, Delcath announced, in response to concerns raised by Delcath stockholders at Delcath's annual stockholders meeting, held on June 13, 2006, plans to, among other things, expand its Board of Directors (the "Board") to add two new independent directors; W

I-Flow Corporation – Contract (October 4th, 2006)
Contract (September 25th, 2006)

PAGE ---- ARTICLE 1 DEFINITIONS Section 1.01. Defined Terms................................................. 1 Section 1.02. Classification of Loans and Borrowings........................ 21 Section 1.03. Terms Generally............................................... 21 Section 1.04. Accounting Terms; GAAP........................................ 22 Section 1.05. Exchange Rates; Currency Equivalents.......................... 22 Section 1.06. Additional Alternative Currencies............................. 22 Section 1.07. Change of Currency............................................ 23 ARTICLE 2 THE CREDITS Section 2.01. Commitments................................................... 24 Section 2.02. Loans and Borrowings..........................................

Motient – Contract (August 21st, 2006)

Exhibit 10.1 PURCHASE AGREEMENT (this "Agreement"), dated as of August 21, 2006, by and between TerreStar Networks Inc., a Delaware corporation ("TerreStar"), and Motient Ventures Holding Inc., a Delaware corporation (the "Purchaser"). --------------------------------------------------------------- INTRODUCTION ------------ WHEREAS, the Purchaser purchased from TerreStar 8,190,008 shares of TerreStar Common Stock pursuant to that certain Purchase Agreement dated as of May 11, 2005; WHEREAS, the necessary parties to the Stockholders Agreement (as defined in Article VI) have taken all actions necessary to waive any rights thereunder that would impede the consummation of the transactions contemplated by this Agreement and have consented thereunder to the consummation of the transactions contemplated by this Agreement; WHEREAS, pursuant to the terms and subj

CSK Auto Corporation – Contract (July 7th, 2006)

Page ---- ARTICLE I DEFINITIONS.................................................... 1 SECTION 1.01. Defined Terms........................................... 1 SECTION 1.02. Classification of Loans and Borrowings.................. 17 SECTION 1.03. Terms Generally......................................... 17 SECTION 1.04. Accounting Terms; GAAP.................................. 17 ARTICLE II THE CREDITS................................................... 18 SECTION 2.01. Commitments............................................. 18 SECTION 2.02. Loans and Borrowings.................................... 18 SECTION 2.03. Requests for Borrowings................................. 18 SECTION 2.04. Repayment of Loans/Put Rights........................... 19 SECTION 2.05. Optional Prepayment...

Calamp – Contract (June 2nd, 2006)

EXHIBIT 10.1 CREDIT AGREEMENT DATED AS OF MAY 26, 2006, AMONG CALAMP CORP., THE GUARANTORS FROM TIME TO TIME PARTIES HERETO, THE LENDERS FROM TIME TO TIME PARTIES HERETO, AND BANK OF MONTREAL, as Administrative Agent HARRIS NESBITT, Sole Lead Arranger and Sole Bookrunner TABLE OF CONTENTS SECTION HEADING PAGE SECTION 1. THE CREDIT FACILITIES 1 Section 1.1. Term Loan Commitments 1 Section 1.2. Revolving Credit Commitments 1 Section 1.3. Letters of C

Contract (May 25th, 2006)

EXHIBIT 10.1 ================================================================================ REGISTRATION RIGHTS AGREEMENT DATED MAY 22, 2006 AMONG THE GREENBRIER COMPANIES, INC., THE GUARANTORS LISTED ON THE SIGNATURE PAGES HEREOF, AND BEAR, STEARNS & CO. INC. AND BANC OF AMERICA SECURITIES LLC ================================================================================ THE GREENBRIER COMPANIES, INC. 2.375% CONVERTIBLE SENIOR NOTES REGISTRATION RIGHTS AGREEMENT May 22, 2006 BEAR, STEARNS & CO. INC. BANC OF AMERICA SECURITIES LLC c/o Bear, Stearns & Co. Inc. 383

Principal Amount Initial Purchasers of Notes - ------------------ ---------------- Bear, Stearns & Co. Inc. ................................ $55,250,000 Banc of America Securities LLC .......................... $29,750,000 ----------- Total ................................................ $85,000,000 =========== (May 18th, 2006)

Name Position - ---- -------- William A. Furman President, Chief Executive Officer and Director Robin D. Bisson Senior Vice President Marketing and Sales and President of Greenbrier Railcar LLC Linda M. Olinger Vice President and Corporate Controller Mark J. Rittenbaum Senior Vice President and Treasurer James T. Sharp President of Greenbrier Leasing Company LLC Timothy A. Stuckey President of Gunderson Rail Services LLC Norriss M. Webb Executive Vice President and General Counsel Joseph K. Wilsted Senior Vice President and Chief Financial Officer L. Clark Wood President of Manufacturing Operations Victor G. Atiyeh Director Duane C. McDougall Director A. Daniel O'Neal Director Charles J. Swindells Director C. Bruce Ward Director Donald A. Washburn Director Benjamin R. Whiteley Chairman of the Board of Directors

Cooper-Standard Holdings Inc. – Contract (December 8th, 2005)

ITT FHS - GERMANY The social insurance is regulated by the "Sozialversicherungsrecht" laws, which include: 1) Health Insurance, 2) Pension Insurance, 3) Unemployment Insurance and 4) Nurse Care Insurance. The Non-Tariff-Contracted employees are covered with additional Life Insurance and Group Accident Insurance. Pension Plan (Employer/Works Council Agreement - Betriebsvereinbarung): Only for the employees of ITT FHS Business Center and Plant Marsberg. Deferred compensation schemes exist at all German plants. See German collective bargaining agreements listed on Schedule 4.15. ITT FHS - FRANCE In addition to the compulsory unemployment insurance and Social Security insurance, the following benefits arrangements exist at Creutzwald: pension insurance and sickness and accident insurance. This insurance is paid monthly, 1/3 by the employee and 2/3 by the employer. 50 SCHE

Contract (December 1st, 2005)

AGGREGATE PRINCIPAL AMOUNT OF NOTES TO BE INITIAL PURCHASERS PURCHASED - ------------------ ----------- Banc of America Securities LLC ................................... $30,000,000 Bear, Stearns & Co. Inc. ......................................... 30,000,000 Total ......................................................... $60,000,000

Adept – Contract (November 8th, 2005)

Exhibit 10.1 INDEMNIFICATION AGREEMENT dated as of __________________________, 2005 between Adept Technology, Inc. (the "Company"), and _______________________________ ("Indemnitee") WHEREAS, the Board of Directors has determined that the inability to attract and retain qualified persons as directors and officers is detrimental to the best interests of the Company's stockholders and that the Company should act to assure such persons that there will be adequate certainty of protection through insurance and indemnification against risks of claims and actions against them arising out of their service to and activities on behalf of the Company; and WHEREAS, the Company has adopted provisions in its By-laws providing for indemnification of its officers and directors to the fullest extent permitted by applicable law, and the Company wishes to clarify and enhance the rights and obligations of the Company and Ind

Contract (October 25th, 2005)

EXHIBIT 10 Execution Copy PURCHASE AGREEMENT BETWEEN LEVEL 3 FINANCING, INC. AND INFOCROSSING, INC. DATED AS OF OCTOBER 24, 2005 TABLE OF CONTENTS Page Section 1.DEFINITIONS..........................................................1 - ---------------------- Section 2.PURCHASE AND SALE OF INTERESTS.......................................8 - ----------------------------------------- Section 3.PURCHASE PRICE ADJUSTMENT...........................................11 - ------------------------------------ Section 3.1 Purchase Price Adjustment..........................11

Contract (October 17th, 2005)
La Jolla Pharmaceutical Company – Contract (October 7th, 2005)

Shares under Closing Shares under Closing Warrant (if Share Warrant (if Share Number of Shares under Authorization Authorization Approval Shares Contingent Approval received not received prior to Aggregate Purchaser Name and Address Purchased Warrant prior to Closing) Closing) Purchase Price - -------------------------- ---------- ------------ -------------------- ---------------------- -------------- Essex Woodlands Health Ventures 33,333,334 1,404,407 8,333,334 Warrant A: See Ft. 1 $25,000,000 Fund VI, L.P. Warrant B: See Ft. 2 10001 Woodloch Forest Drive Waterway Plaza Tw

Contract (June 15th, 2005)

EXECUTION COPY COMMERCIALIZATION AGREEMENT by and among P-NEWCO and TECHNOLOGY PROPERTIES LIMITED and PATRIOT SCIENTIFIC CORPORATION TABLE OF CONTENTS Page ARTICLE I GRANT..........................................................1 ARTICLE II COMMERCIALIZATION..............................................2 ARTICLE III COVENANTS......................................................3 ARTICLE IV PAYMENT........................................................4 ARTICLE V TERM...........................................................5 ARTICLE VI TERMINATION....................................................

Contract (May 11th, 2005)

AGGREGATE PRINCIPAL AMOUNT OF NOTES TO BE INITIAL PURCHASERS PURCHASED - ---------------------------------- ---------------- Banc of America Securities LLC ... $ 87,500,000 Bear, Stearns & Co. Inc........... 87,500,000 ---------------- Total.................... $ 175,000,000 ----------------

American Color Graphics Inc – Contract (May 6th, 2005)

Section Page - ------- ---- ARTICLE I DEFINITIONS AND ACCOUNTING TERMS........................................................................1 1.01 Defined Terms...................................................................................1 1.02 Other Interpretive Provisions..................................................................24 1.03 Accounting Terms...............................................................................25 1.04 Rounding.......................................................................................26 1.05 Times of Day..................................................

Contract (February 16th, 2005)
Contract (December 23rd, 2004)

EXHIBIT 10.2 ================================================================================ STOCKHOLDERS AGREEMENT Dated as of December 22, 2004 By and Among AMH HOLDINGS II, INC. and THE STOCKHOLDERS SIGNATORY HERETO ================================================================================ STOCKHOLDERS AGREEMENT This STOCKHOLDERS AGREEMENT (this "Agreement"), dated as of December 22, 2004, by and among AMH Holdings II, Inc., a Delaware corporation (the "Company"), Harvest Partners III, L.P., a Delaware limited partnership, Harvest Partners III Beteiligungsgesellschaft Burgerlichen Rechts (mit Haftungsbeschrankung), a German limited liability partnership, Harvest Partners IV, L.P., a Delaware limited partnership, and Harvest Partners IV GmbH & Co. K

Amh Holdings, Llc – Contract (December 23rd, 2004)

EXHIBIT 10.1 RESTRUCTURING AGREEMENT ----------------------- This RESTRUCTURING AGREEMENT (this "Agreement") is entered into as of December 22, 2004, by and among amH HOLDINGS, Inc., a Delaware corporation (the "Company"), AMH HOLDINGS II, Inc., a Delaware corporation ("Holdings"), HARVEST PARTNERS III, L.P., ("HPIII LP"), HARVEST PARTNERS III, GbR, ("HPIII GBR"), HARVEST PARTNERS IV GmbH & CO. KG, ("HPIV GMBH"), HARVEST PARTNERS IV, L.P., ("HPIV LP" and collectively with HPIII LP, HPIII GBR and HPIV GMBH the "Harvest Funds" and individually each a "Harvest Fund"), BANCBOSTON CAPITAL INC. ("BancBoston"), PRIVATE EQUITY PORTFOLIO FUND II, LLC ("PEPF"), GE CAPITAL EQUITY CAPITAL GROUP, INC. ("GE"), NATIONAL CITY EQUITY PARTNERS, INC. ("National"), GREAT LAKES CAPITAL INVESTMENTS IV, LLC ("Great Lakes"), LIBERTY MUTUAL INSURANCE COMPANY ("Liberty"), OLD HICKORY FUND I, LLC ("Old Hickory"), PPM AMERICA PRIVATE EQUITY

Amh Holdings, Llc – Contract (December 22nd, 2004)

EXHIBIT 10.1 RESTRUCTURING AGREEMENT ----------------------- This RESTRUCTURING AGREEMENT (this "Agreement") is entered into as of December 22, 2004, by and among amH HOLDINGS, Inc., a Delaware corporation (the "Company"), AMH HOLDINGS II, Inc., a Delaware corporation ("Holdings"), HARVEST PARTNERS III, L.P., ("HPIII LP"), HARVEST PARTNERS III, GbR, ("HPIII GBR"), HARVEST PARTNERS IV GmbH & CO. KG, ("HPIV GMBH"), HARVEST PARTNERS IV, L.P., ("HPIV LP" and collectively with HPIII LP, HPIII GBR and HPIV GMBH the "Harvest Funds" and individually each a "Harvest Fund"), BANCBOSTON CAPITAL INC. ("BancBoston"), PRIVATE EQUITY PORTFOLIO FUND II, LLC ("PEPF"), GE CAPITAL EQUITY CAPITAL GROUP, INC. ("GE"), NATIONAL CITY EQUITY PARTNERS, INC. ("National"), GREAT LAKES CAPITAL INVESTMENTS IV, LLC ("Great Lakes"), LIBERTY MUTUAL INSURANCE COMPANY ("Liberty"), OLD HICKORY FUND I, LLC ("Old Hickory"), PPM AMERICA PRIVATE EQUITY

Contract (December 22nd, 2004)

EXHIBIT 10.2 ================================================================================ STOCKHOLDERS AGREEMENT Dated as of December 22, 2004 By and Among AMH HOLDINGS II, INC. and THE STOCKHOLDERS SIGNATORY HERETO ================================================================================ STOCKHOLDERS AGREEMENT This STOCKHOLDERS AGREEMENT (this "Agreement"), dated as of December 22, 2004, by and among AMH Holdings II, Inc., a Delaware corporation (the "Company"), Harvest Partners III, L.P., a Delaware limited partnership, Harvest Partners III Beteiligungsgesellschaft Burgerlichen Rechts (mit Haftungsbeschrankung), a German limited liability partnership, Harvest Partners IV, L.P., a Delaware limited partnership, and Harvest Partners IV GmbH & Co. K

K&F Industries Inc – Contract (November 23rd, 2004)
Contract (June 15th, 2004)

Section of the Act Section of Indenture ------------------ -------------------- 310(a)(1) and (2)...................................... 8.9 310(a)(3) and (4)...................................... N.A.** 310(b)................................................. 8.8 and 8.10(b) and (d) 310(c)................................................. N.A. 311(a)................................................. 8.13 311(b)................................................. 8.13 311(c)................................................. N.A. 312(a)................................................. 6.1 and 6.2(a) 312(b)................................................. 6.2(b) 312(c).................................................

Windsor Woodmont Black Hawk Resort Corp – Contract (June 8th, 2004)

EXHIBIT 10.1 ASSET PURCHASE AGREEMENT By and Between Windsor Woodmont Black Hawk Resort Corp. and Ameristar Casinos, Inc. Dated as of May 28, 2004 TABLE OF CONTENTS ARTICLE I DEFINITIONS.........................................................1 1.1 Definitions.................................................1 ARTICLE II TRANSACTION........................................................7 2.1 Acquired Assets.............................................7 2.2 Excluded Assets.............................................9 2.3 Assumption of Liabilities...................................10 2.4 Cure Amounts................................................11 2.5 Consideration..

Ameristar Casinos – Contract (June 2nd, 2004)
Contract (November 26th, 2003)

Exhibit 10.1 PURCHASE AGREEMENT THIS PURCHASE AGREEMENT, dated as of November 24, 2003 (this "Agreement"), is made and entered into by and among Coeur d'Alene Mines Corporation, an Idaho corporation (the "Company"), and each of the other persons signatory hereto as set forth on the signature pages hereof (collectively, the "Purchasers" and each, a "Purchaser"). RECITALS WHEREAS, the Company has filed with the Securities and Exchange Commission (the "SEC") a Registration Statement on Form S-3 (No. 333-101434) (as supplemented, amended and otherwise updated through the date hereof and from time to time thereafter, the "Registration Statement") registering under the Securities Act of 1933, as amended (the "Securities Act"), the offer and sale of certain securities of the Company; WHEREAS, the Company and each Purchaser desire, on the terms and conditions set forth herein, that each Purchaser shall pu

I-Flow Corporation – Name(s) of Assignee(s) Address No. Of Warrant Shares - ---------------------- ------- --------------------- (September 3rd, 2003)
Dave & Buster'S Inc – NAME OF BUYERS PRINCIPAL AMOUNT OF NOTES NUMBER OF WARRANTS --------------------------------- ------------------------- ------------------ 1. [Name of Buyer] $ [Contact Information for Buyer] (August 7th, 2003)