Nossaman Sample Contracts

Share Cite Term
Link

Embed (HTML)
Sublease (November 12th, 2013)

THIS SUBLEASE (Sublease), dated as of this 29 day of April, 2011, between Clifton Gunderson LLP, a Delaware limited liability partnership, having an office at 8390 East Crescent Parkway, Suite 600, Greenwood Village, Colorado 80111, (herein called Sublandlord), and Century Communities Colorado, LLC, a Colorado limited liability company, having an office at 4949 South Sycamore Street, #320, Denver, Colorado 80237 (herein called Subtenant).

Purchase and Sale Agreement (September 24th, 2013)

day of September, 2013 ("Effective Date") by and between San Jose Mercury News, LLC, a California limited liability company ("Seller") and Super Micro Computer, Inc., a Delaware corporation ("Buyer").

Nrg Yield Inc. – CREDIT AGREEMENT Dated as of July 22, 2013 Among NRG YIELD OPERATING LLC, as the Borrower, NRG YIELD LLC, as Holdings, BANK OF AMERICA, N.A., as Administrative Agent, BANK OF AMERICA, N.A., as L/C Issuer and the Revolving Credit Lenders Party Hereto MERRILL LYNCH, PIERCE, FENNER & SMITH INCORPORATED, GOLDMAN SACHS BANK USA and CITIGROUP GLOBAL MARKETS INC. As Joint Lead Arrangers and Joint Book Runners GOLDMAN SACHS BANK USA and CITIBANK, N.A. As Co-Syndication Agents (July 26th, 2013)

This CREDIT AGREEMENT (Agreement) is entered into as of July 22, 2013, among NRG Yield Operating LLC, a Delaware limited liability company (the Borrower), NRG Yield LLC, a Delaware limited liability company (Holdings), each revolving credit lender from time to time party hereto (collectively, the Revolving Credit Lenders and individually, a Revolving Credit Lender), BANK OF AMERICA, N.A., as Administrative Agent, and BANK OF AMERICA, N.A., as L/C Issuer.

Contract (July 9th, 2012)
Support Agreement (May 21st, 2012)

THIS SUPPORT AGREEMENT (this Agreement), dated as of May 20, 2012, is by and among DAVITA INC., a Delaware corporation (Parent), HEALTHCARE PARTNERS HOLDINGS, LLC, a California limited liability company (the Company), and the undersigned interest holder (the Interest Holder) of the Company.

California Water Service Group Holding – AMENDED AND RESTATED CREDIT AGREEMENT Dated as of June 29, 2011 Among CALIFORNIA WATER SERVICE COMPANY, as Borrower, BANK OF AMERICA, N.A., as Administrative Agent, Swing Line Lender and L/C Issuer, COBANK, ACB, as Syndication Agent, U.S. BANK NATIONAL ASSOCIATION, WELLS FARGO BANK, NATIONAL ASSOCIATION and BANK OF CHINA, LOS ANGELES BRANCH, as Co-Documentation Agents and the Other Lenders Party Hereto MERRILL LYNCH, PIERCE, FENNER & SMITH INCORPORATED, as Sole Lead Arranger and Sole Book Manager (July 1st, 2011)

This AMENDED AND RESTATED CREDIT AGREEMENT (this Agreement) is entered into as of June 29, 2011, among CALIFORNIA WATER SERVICE COMPANY, a California corporation (the Borrower), each lender from time to time party hereto (collectively, the Lenders and individually, a Lender), and BANK OF AMERICA, N.A., as Administrative Agent, Swing Line Lender and L/C Issuer.

OFFICE LEASE LAKESHORE TOWERS LAKESHORE TOWERS LIMITED PARTNERSHIP PHASE I, a California Limited Partnership, as Landlord, and EPICOR SOFTWARE CORPORATION, a Delaware Corporation, as Tenant. (March 14th, 2011)

This Office Lease (the Lease) , dated as of the date set forth in Section 1 of the Summary of Basic Lease Information (the Summary), below, is made by and between LAKESHORE TOWERS LIMITED PARTNERSHIP PHASE I, a California limited partnership (Landlord), and EPICOR SOFTWARE CORPORATION, a Delaware corporation (Tenant).

California Water Service Group Holding – Credit Agreement (November 5th, 2010)

This CREDIT AGREEMENT (this Agreement) is entered into as of October 27, 2009, among CALIFORNIA WATER SERVICE COMPANY, a California corporation (the Borrower), each lender from time to time party hereto (collectively, the Lenders and individually, a Lender), and BANK OF AMERICA, N.A., as Administrative Agent, Swing Line Lender and L/C Issuer.

California Water Service Group Holding – Credit Agreement (October 28th, 2009)

This CREDIT AGREEMENT (this Agreement) is entered into as of October 27, 2009, among CALIFORNIA WATER SERVICE COMPANY, a California corporation (the Borrower), each lender from time to time party hereto (collectively, the Lenders and individually, a Lender), and BANK OF AMERICA, N.A., as Administrative Agent, Swing Line Lender and L/C Issuer.

KBS Real Estate Investment Trust, Inc. – Purchase and Sale Agreement and Joint Escrow Instructions (July 3rd, 2007)

THIS PURCHASE AND SALE AGREEMENT AND JOINT ESCROW INSTRUCTIONS (this Agreement), dated as of June 12, 2007 (the Effective Date), is made by and among SC BRIDGEWAY, INC., a California corporation (the Seller), and KBS CAPITAL ADVISORS LLC, a Delaware limited liability company (the Purchaser), and CHICAGO TITLE INSURANCE COMPANY, a Missouri corporation (the Escrow Holder or the Title Company). Capitalized terms used herein shall have the meanings ascribed to such words in this Agreement.

Vsource – Inducement Agreement (August 9th, 2005)

This INDUCEMENT AGREEMENT (the "Agreement"), dated as of July 29, 2005, is by and between Vsource, Inc., a Delaware corporation ("Vsource") and Clinicis, Inc., a California corporation ("Clinicis").

Nuevo Energy Co – Mineral Payment and Performance Agreement Well Abandonment and Oil Field Accommodation Program and Operator/Nuevo Improvements (March 10th, 2004)

This Payment and Performance Agreement (Agreement or PAPA) is made this 28th day of February, 2003, by and between NUEVO ENERGY COMPANY, a Delaware corporation (Nuevo) and BLACKSAND PARTNERS, L.P., a Texas Limited Partnership (Operator). Such entities are hereinafter individually or collectively referred to as a Party or the Parties.

Nuevo Energy Co – Purchase and Sale Agreement (March 10th, 2004)

THIS PURCHASE AND SALE AGREEMENT (PSA or Agreement) is made this 8th day of December, 2003, by and between NUEVO ENERGY COMPANY, a Delaware corporation (Nuevo or Seller), and TONNER HILLS SSP, LLC, a Delaware limited liability company (Shea) and TONNER HILLS 680 LLC, a Delaware limited liability company (TH 680) (collectively and individually, Buyer), upon the following terms and conditions:

United Surgical Partners International – SECOND AMENDED AND RESTATED CREDIT AGREEMENT Dated as of November 7, 2002, (Amending and Restating the Amended and Restated Credit Agreement, Dated as of December 19, 2001, Which Amended and Restated the Credit Agreement, Dated as of June 13, 2001) Among USP DOMESTIC HOLDINGS, INC., as the US Borrower, USPE HOLDINGS LIMITED, as the UK Borrower, VARIOUS FINANCIAL INSTITUTIONS FROM TIME TO TIME PARTIES HERETO, as the Lenders, SUNTRUST BANK, as the Administrative Agent for the Lenders, LEHMAN COMMERCIAL PAPER INC., as the Syndication Agent, CREDIT SUISSE FIRST BOSTON, as the Documentation Agent. (November 8th, 2002)

THIS SECOND AMENDED AND RESTATED CREDIT AGREEMENT, dated as of November 7, 2002, is among USP DOMESTIC HOLDINGS, INC., a Delaware corporation (the "US Borrower"), USPE HOLDINGS LIMITED, a company incorporated in England and Wales (the "UK Borrower", and together with the US Borrower, collectively the "Borrowers" and each individually a "Borrower"), the various financial institutions and other Persons from time to time parties hereto (the "Lenders"), SUNTRUST BANK ("SunTrust"), as administrative agent (in such capacity, the "Administrative Agent") for the Lenders, LEHMAN COMMERCIAL PAPER INC. ("Lehman"), as syndication agent (in such capacity, the "Syndication Agent") for the Lenders, and CREDIT SUISSE FIRST BOSTON ("CSFB"), as documentation agent (in such capacity, the "Documentation Agent") for the Lenders.

United Surgical Partners International – CREDIT AGREEMENT, Dated as of June 13, 2001, Among USP DOMESTIC HOLDINGS, INC., as the Borrower, VARIOUS FINANCIAL INSTITUTIONS FROM TIME TO TIME PARTIES HERETO, as the Lenders, CREDIT SUISSE FIRST BOSTON, as the Administrative Agent for the Lenders, LEHMAN COMMERCIAL PAPER INC., as the Syndication Agent for the Lenders, and SOCIETE GENERALE, as the Documentation Agent for the Lenders. (August 14th, 2001)

ARTICLE II COMMITMENTS, BORROWING AND ISSUANCE PROCEDURES, NOTES AND LETTERS OF CREDIT 2.1. Commitments 2.1.1. Revolving Loan Commitment 2.1.2. Letter of Credit Commitment 2.2. Reduction of the Commitment Amounts 2.2.1. Optional 2.2.2. Mandatory 2.3. Borrowing Procedures 2.4. Continuation and Conversion Elections 2.5. Funding 2.6. Issuance Procedures 2.6.1. Other Lenders Participation 2.6.2. Disbursements 2.6.3. Reimbursement 2.6.4. Deemed Disbursements 2.6.5. Nature of Reimbursement Obligations 2.7. Revolving Notes