Oklahoma Sample Contracts

Employment Agreement (August 20th, 2018)
Servicemaster Global Holdings Inc – CREDIT AGREEMENT Among FRONTDOOR, INC., THE SEVERAL LENDERS FROM TIME TO TIME PARTY HERETO, JPMORGAN CHASE BANK, N.A., as Administrative Agent, Collateral Agent and an Issuing Bank, J.P. MORGAN SECURITIES, LLC, FIRST TENNESSEE BANK NATIONAL ASSOCIATION, CAPITAL ONE, N.A., REGIONS CAPITAL MARKETS, a DIVISION OF REGIONS BANK, GOLDMAN SACHS BANK USA, RBC CAPITAL MARKETS, LLC and CREDIT SUISSE LOAN FUNDING LLC, as Joint Lead Arrangers and Joint Bookrunners, FIRST TENNESSEE BANK NATIONAL ASSOCIATION, CAPITAL ONE, N.A. And REGIONS CAPITAL MARKETS, a DIVISION OF REGIONS BANK, as Co-Syndication Agents (August 20th, 2018)

CREDIT AGREEMENT, dated as of August 16, 2018, among FRONTDOOR, INC., a Delaware corporation (as further defined in subsection 1.1, the Borrower), the Subsidiary Borrowers (as hereinafter defined) from time to time party to this Agreement, the Effective Date Term Loan Lender (as hereinafter defined), the several banks and other financial institutions from time to time party to this Agreement (as further defined in subsection 1.1, the Lenders) and JPMORGAN CHASE BANK, N.A., as administrative agent, collateral agent and issuing bank for the Lenders hereunder (in such capacities, respectively, the Administrative Agent, Collateral Agent and, as further defined in subsection 1.1, an Issuing Bank).

Key Energy Services, Inc. 2016 Equity and Cash Incentive Plan Time-Vested Restricted Stock Unit Award Agreement (August 20th, 2018)
Supplemental Indenture No. 19 From Oklahoma Gas and Electric Company to Bokf, Na Trustee (August 17th, 2018)

SUPPLEMENTAL INDENTURE No. 19, made as of the 15th day of August, 2018 by and between OKLAHOMA GAS AND ELECTRIC COMPANY, a corporation duly organized and existing under the laws of the State of Oklahoma (the "Company"), and BOKF, NA, a national banking association duly organized and existing under the laws of the United States, as successor trustee, registrar and paying agent (the "Trustee"):

Supplemental Indenture No. 19 From Oklahoma Gas and Electric Company to Bokf, Na Trustee (August 17th, 2018)

SUPPLEMENTAL INDENTURE No. 19, made as of the 15th day of August, 2018 by and between OKLAHOMA GAS AND ELECTRIC COMPANY, a corporation duly organized and existing under the laws of the State of Oklahoma (the "Company"), and BOKF, NA, a national banking association duly organized and existing under the laws of the United States, as successor trustee, registrar and paying agent (the "Trustee"):

Riviera Resources, LLC – CREDIT AGREEMENT Dated as of August 10, 2018 Among BLUE MOUNTAIN MIDSTREAM LLC, as Borrower, ROYAL BANK OF CANADA, as Administrative Agent and Issuing Bank, CITIBANK, N.A. And CAPITAL ONE, NATIONAL ASSOCIATION, as Co-Syndication Agents, ABN AMRO CAPITAL USA LLC and PNC BANK NATIONAL ASSOCIATION, as Co-Documentation Agents and the Lenders Party Hereto RBC CAPITAL MARKETS, CITIGROUP GLOBAL MARKETS INC. And CAPITAL ONE SECURITIES, INC., as Joint Lead Arrangers and Joint Bookrunners ABN AMRO CAPITAL USA LLC and PNC CAPITAL MARKETS LLC, as Joint Lead Arrangers (August 16th, 2018)

THIS CREDIT AGREEMENT dated as of August 10, 2018, is among: Blue Mountain Midstream LLC, a Delaware limited liability company (the Borrower), each of the Lenders from time to time party hereto, and Royal Bank of Canada (in its individual capacity, RBC), as administrative agent (in such capacity, together with its successors in such capacity, the Administrative Agent) for the Lenders (as defined below).

KLX Energy Services Holdings, Inc. – Form of Amended and Restated Employment Agreement (August 15th, 2018)

This Amended and Restated Employment Agreement (this Agreement) is entered as of [*], 2018, by and between KLX Energy Services Holdings, Inc., a Delaware corporation (the Company), and Gary J. Roberts (the Executive).

Agreement and Plan of Merger (August 15th, 2018)
Diamondback Energy Inc. – Agreement and Plan of Merger (August 15th, 2018)
Chaparral Energy, Inc. – Support Agreement (August 14th, 2018)

This Support Agreement, dated August 8, 2018 (this "Agreement"), is by and among Contrarian Capital Management, L.L.C., a Delaware limited liability company, and certain private investment funds directly or indirectly managed by Contrarian Capital Management, L.L.C., as listed on Schedule A hereto (collectively, "Shareholder" and each individually, a "member" of Shareholder), and Chaparral Energy, Inc. (the "Company").

Fullnet Communications Inc – IPv4 NUMBERS PURCHASE AGREEMENT (August 14th, 2018)

THIS PURCHASE AGREEMENT ("Agreement") is made and entered into as of the date of last signature set forth below ("the Effective Date"), between:

Intellectual Property License Agreement (August 13th, 2018)

This Intellectual Property License Agreement (the "License Agreement"), between Travis Clark, individually, and Clark Championship Products LLC, a limited liability company organized under the laws of Oklahoma (collectively "Licensor"), and Famous Dave's of America, Inc., a corporation organized under the laws of Minnesota ("Licensee"), is effective July 18, 2018 (the "Effective Date").

Secured Promissory Note (August 13th, 2018)

FOR VALUE RECEIVED, and subject to the terms and conditions set forth herein, MERCURY BBQ LLC, a Delaware limited liability company (the "Borrower"), hereby unconditionally promises to pay to the order of Famous Dave's of America, Inc., a Minnesota corporation, or its assigns (the "Noteholder", and together with the Borrower, the "Parties"), the principal amount of $1,400,000 (the "Loan") or the aggregate of such amounts the Noteholder has disbursed to the Co-Borrowers pursuant to Section 2.2, together with all accrued interest thereon, as provided in this Promissory Note (the "Note").

Commercial Paper Dealer Agreement 4(a)(2) Program Between: The Williams Companies, Inc., as Issuer and [DEALER], as Dealer Concerning Notes to Be Issued Pursuant to a Commercial Paper Issuing and Paying Agent Agreement Dated as of August 10, 2018 Between the Issuer and Citibank, N.A., as Issuing and Paying Agent Dated as of August 10, 2018 (August 10th, 2018)

This agreement (the Agreement) sets forth the understandings between the Issuer and the Dealer named on the cover page hereof, in connection with the issuance and sale by the Issuer of its short-term promissory notes (the Notes) through the Dealer.

Eton Pharmaceuticals, Inc. – Sales/Marketing Agreement (August 10th, 2018)

THIS SALES/MARKETING AGREEMENT (this "Agreement") dated as of November 17, 2017 (the "Effective Date"), is entered into between AL PHARMA, INC, an Oklahoma corporation ("AL"), with a place of business at 7301 Broadway Extension, Suite 110, Oklahoma City, Oklahoma 73116, SCS NATIONAL, LLC, an Oklahoma limited liability company with a mailing address of P.O. Box 54606, Oklahoma City, OK 73154 ("SCS"), DRY CREEK PROJECT, LLC with a mailing address of 5105 108th Ave., SE, Noble, OK 73068 ("DCP"), and ETON PHARMACEUTICALS, INC., a Delaware corporation ("Eton"), with a place of business at 21925 Field Pkwy, Suite 235, Deer Park, Illinois 60010. The parties hereby agree as follows:

Riviera Resources, LLC – Tax Matters Agreement (August 10th, 2018)
Linn Energy – Tax Matters Agreement (August 10th, 2018)
Supplement 26 to Amended and Restated Master Professional Services Agreement (August 9th, 2018)

This Supplement 26 (this "Supplement") is made and entered into as of June 24, 2018 (the "Supplement Effective Date") by and between Ascension Health ("Ascension Health") and R1 RCM Inc., f/k/a Accretive Health, Inc. ("Supplier") (together, the "Parties"). Capitalized terms used herein and not otherwise defined shall have the meanings ascribed to such terms in the MPSA (as defined below).

Us Xpress Enterprises – CREDIT AGREEMENT Dated as of June 18, 2018 by and Among U.S. XPRESS ENTERPRISES, INC., as the Borrower, CERTAIN SUBSIDIARIES OF THE BORROWER PARTY HERETO, as the Guarantors, BANK OF AMERICA, N.A., as Administrative Agent, Swingline Lender, and L/C Issuer, and THE OTHER LENDERS PARTY HERETO MERRILL LYNCH, PIERCE, FENNER & SMITH INCORPORATED, WELLS FARGO SECURITIES, LLC, and JPMORGAN CHASE BANK, N.A., as Joint Lead Arrangers and Joint Bookrunners (August 9th, 2018)

This CREDIT AGREEMENT is entered into as of June 18, 2018, by and among U.S. XPRESS ENTERPRISES, INC., a Nevada corporation (the "Borrower"), the Guarantors party hereto, the Lenders party hereto, and BANK OF AMERICA, N.A., as Administrative Agent, Swingline Lender, and L/C Issuer.

First Amendment to Credit Agreement (August 9th, 2018)

This First Amendment to Credit Agreement (this "First Amendment") is dated effective as of the 27th day of June, 2018 (the "Effective Date"), among SUPERIOR PIPELINE COMPANY, L.L.C., a Delaware limited liability company (the "Borrower"), BOKF, NA dba Bank of Oklahoma, as Administrative Agent for the Lenders (in such capacity, the "Administrative Agent"), and as a Lender, and the other Lenders signatory hereto. Capitalized terms used but not otherwise defined herein shall have the meaning assigned to such terms in the Credit Agreement (defined below).

Form of Aircraft Dry Lease Agreement (August 8th, 2018)

THIS AIRCRAFT DRY LEASE AGREEMENT (this Agreement) is made and entered into the ___ day of _____________, _____ (the Effective Date) between GH4 Partners LLC, a Delaware limited liability company (Lessor) and Blackstone Administrative Services Partnership L.P., a Delaware limited partnership (Lessee) (collectively the Parties).

Mammoth Energy Services, Inc. – Amendment No. 2 to Master Service Agreement1 (August 8th, 2018)

THIS AMENDMENT NO. 2 TO MASTER SERVICE AGREEMENT (this "Amendment") is entered into effective as of July 1st, 2018 by and between Gulfport Energy Corporation (the "Company") and Stingray Pressure Pumping LLC (the "Contractor").

Form of Aircraft Dry Lease Agreement (August 8th, 2018)

THIS AIRCRAFT DRY LEASE AGREEMENT (this Agreement) is made and entered into effective as of _________________________ (the Effective Date) between XB Partners LLC, a Delaware limited liability company (Lessor) and Blackstone Administrative Services Partnership L.P., a Delaware limited partnership (Lessee) (collectively the Parties).

Form of Aircraft Dry Lease Agreement (August 8th, 2018)

THIS AIRCRAFT DRY LEASE AGREEMENT (this Agreement) is made and entered effective as of ______________________ (the Effective Date) between GBBX Associates LLC, a Delaware limited liability company, WLBX LLC, Delaware limited liability company, together as (Lessor) and Blackstone Administrative Services Partnership L.P., a Delaware limited partnership (Lessee) (collectively the Parties).

Liberty Latin America Ltd. – Aircraft Time Sharing Agreement (August 8th, 2018)

This Aircraft Time Sharing Agreement ("Agreement") is effective as of the ____ day of __________, 20__ ("Effective Date"), by and between LiLAC Communications Inc., with an address of 1550 Wewatta Street, Suite 710, Denver, CO 80202 ("Lessor"), and ___________________________, with an address of __________________________________ ("Lessee").

Global Medical REIT Inc. – Amended and Restated Credit Agreement Dated as of August 7, 2018 Among Global Medical REIT L.P., as Borrower the Guarantors From Time to Time Party Hereto, the Lenders From Time to Time Party Hereto, and BMO Harris Bank N.A., as Administrative Agent BMO Capital Markets, Citizens Bank, N.A., SunTrust Robinson Humphrey, Inc., and KeyBank National Association as Co-Syndication Agents, Joint Lead Arrangers and Joint Book Runners (August 8th, 2018)

This Amended and Restated Credit Agreement (this "Agreement") is entered into as of August 7, 2018 by and among Global Medical REIT L.P., a Delaware limited partnership (the "Borrower"), Global Medical REIT Inc., a Maryland corporation (the "Parent" or "Global Medical REIT"), the certain Subsidiaries from time to time party to this Agreement as Guarantors, the several financial institutions from time to time party to this Agreement, as Lenders, and BMO Harris Bank N.A., as Administrative Agent as provided herein. All capitalized terms used herein without definition shall have the same meanings herein as such terms are defined in Section 5.1 hereof.

National Storage Affiliates Trust – First Amendment to Credit Agreement and Release of Parent Guaranty (August 7th, 2018)

This FIRST AMENDMENT TO CREDIT AGREEMENT AND RELEASE OF GUARANTY (this "First Amendment") is made and entered into as of the 16th day of April, 2018, by and among NSA OP, LP, a Delaware limited partnership (the "Borrower"), certain Subsidiaries of the Borrower party to the Credit Agreement referred to below, NATIONAL STORAGE AFFILIATES TRUST, a Maryland real estate investment trust (the "REIT" and, together with those certain Subsidiaries, collectively, the "Guarantors" and together with the Borrower, collectively, the "Loan Parties"), CAPITAL ONE, NATIONAL ASSOCIATION, as the Administrative Agent (the "Administrative Agent"), and the financial institutions which are a party to the Credit Agreement (defined below) as lenders (collectively, the "Lenders").

National Storage Affiliates Trust – Second Amendment to Credit Agreement (August 7th, 2018)

This Second Amendment to Credit Agreement (this "Agreement"), dated as of June 5, 2018 (the "Second Amendment Effective Date"), is by and among NSA OP, LP, a limited partnership formed under the laws of the State of Delaware (the "Borrower"), certain Subsidiaries of the Borrower party to the Credit Agreement referred to below (collectively, the "Guarantors"), NATIONAL STORAGE AFFILIATES TRUST, a Maryland real estate investment trust ("NSA REIT"), certain existing lenders party hereto (each, an "Existing Lender" and collectively the "Existing Lenders"), the additional lender parties hereto providing a new commitment pursuant to the terms hereof (each, an "Increase Lender" and collectively the "Increase Lenders") and CAPITAL ONE, NATIONAL ASSOCIATION, as Administrative Agent (the "Administrative Agent") for the Lenders (as hereinafter defined). All capitalized terms used herein without definitions shall have the meanings given to such terms in the Credit Agreement (as hereinafter define

MASTER LEASE AND SECURITY AGREEMENT Between the Entities That Are Signatories Hereto as "Landlord", as Landlord and the Entities That Are Signatories Hereto as "Tenant", as Tenant (August 7th, 2018)

This MASTER LEASE AND SECURITY AGREEMENT (this "Lease") is entered into as of April 26, 2018 (the "Effective Date") by and between each of the entities identified on Schedule 1 as a Landlord (individually and collectively, "Landlord"), and each of the entities identified on Schedule 1 as a Tenant (individually and collectively, "Tenant").

National Storage Affiliates Trust – Fourth Amendment to Credit Agreement (August 7th, 2018)

This FOURTH AMENDMENT TO CREDIT AGREEMENT (this "Fourth Amendment") is made and entered into as of the 31st day of May, 2018, by and among NSA OP, LP, a Delaware limited partnership (the "Borrower"), certain Subsidiaries of the Borrower party to the Credit Agreement referred to below (collectively, the "Guarantors" and together with the Borrower, collectively, the "Loan Parties"), certain existing lenders party hereto from time to time, NATIONAL STORAGE AFFILIATES TRUST, a Maryland real estate investment trust ("NSA REIT"), KEYBANK NATIONAL ASSOCIATION, as the Administrative Agent (the "Administrative Agent"), and the financial institutions which are a party to the Credit Agreement (defined below) as lenders (collectively, the "Lenders").

Servicemaster Global Holdings Inc – CREDIT AGREEMENT Among THE SERVICEMASTER COMPANY, LLC, THE SEVERAL LENDERS FROM TIME TO TIME PARTY HERETO and JPMORGAN CHASE BANK, N.A. As Administrative Agent Dated as of August 1, 2018 (August 7th, 2018)

CREDIT AGREEMENT, dated as of August 1, 2018, among THE SERVICEMASTER COMPANY, LLC, a Delaware limited liability company (as further defined in subsection 1.1, the Borrower), the several banks and other financial institutions from time to time party to this Agreement (as further defined in subsection 1.1, the Lenders) and JPMORGAN CHASE BANK, N.A., as administrative agent for the Lenders hereunder (in such capacities, respectively, the Administrative Agent).

National Storage Affiliates Trust – Third Amendment to Credit Agreement and Release of Parent Guaranty (August 7th, 2018)

This THIRD AMENDMENT TO CREDIT AGREEMENT AND RELEASE OF GUARANTY (this "Third Amendment") is made and entered into as of the 16th day of April, 2018, by and among NSA OP, LP, a Delaware limited partnership (the "Borrower"), certain Subsidiaries of the Borrower party to the Credit Agreement referred to below, NATIONAL STORAGE AFFILIATES TRUST, a Maryland real estate investment trust (the "REIT" and, together with those certain Subsidiaries, collectively, the "Guarantors" and together with the Borrower, collectively, the "Loan Parties"), KEYBANK NATIONAL ASSOCIATION, as the Administrative Agent (the "Administrative Agent"), and the financial institutions which are a party to the Credit Agreement (defined below) as lenders (collectively, the "Lenders").

Lucas Energy – First Amendment to Asset Purchase Agreement (August 7th, 2018)

This First Amendment to Asset Purchase Agreement (this "Agreement") is made and entered into on the 2nd day of August 2018 (the "Effective Date"), by and between N&B Energy, LLC, a Texas limited liability company ("Purchaser"), and Camber Energy, Inc., a Nevada corporation ("Seller"), each a "Party" and collectively the "Parties."

Restricted Stock Award Agreement Continental Resources, Inc. (August 7th, 2018)

THIS RESTRICTED STOCK AWARD AGREEMENT (the "Award Agreement"), is entered into as of (the "Date of Grant") by and between (the "Participant") and CONTINENTAL RESOURCES, INC. (the "Company"):

Restricted Stock Award Agreement Continental Resources, Inc. (August 7th, 2018)

THIS RESTRICTED STOCK AWARD AGREEMENT (the "Award Agreement"), is entered into as of (the "Date of Grant") by and between (the "Participant") and CONTINENTAL RESOURCES, INC. (the "Company"):