Richards, Layton & Finger Sample Contracts

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Loral Space And Communications – Contract (October 19th, 2006)

Page ---- ARTICLE 1 DEFINITIONS........................................... 1 ARTICLE 2 PURCHASE AND SALE OF SECURITIES; CLOSING.............. 10 Section 2.01. Authorization of Securities........................... 10 Section 2.02. Sale and Purchase of Series A Preferred Stock and Series B Preferred Stock.............................. 11 Section 2.03. Closing; Delivery..................................... 11 ARTICLE 3 REPRESENTATIONS AND WARRANTIES........................ 11 Section 3.01. Representations and Warranties of the Corporation..... 11 Section 3.02. Representations and Warranties of the Investors....... 18 ARTICLE 4 CONDITIONS TO OBLIGATIONS............................. 19 Section 4.01. Conditions to Each Party's Ob

American Mortgage Acceptance Company – Contract (August 21st, 2006)

Exhibit 10.1 Execution Copy SECURITIES PURCHASE AGREEMENT BY AND AMONG CHARTERMAC, CHARTER MAC CORPORATION, CM ARCAP INVESTORS LLC, THE COMMON MEMBERS LISTED ON SCHEDULE I HERETO, THE PREFERRED MEMBERS LISTED ON SCHEDULE I HERETO, ARCAP INVESTORS, L.L.C. ARCAP REIT, INC. AND AI SELLERS REPRESENTATIVE, L.L.C. August 15, 2006 SECURITIES PURCHASE AGREEMENT THIS SECURITIES PURCHASE AGREEMENT (this "Agreement") is made this 15th day of August, 2006, by and among the members of ARCap Investors, L.L.C., a Delaware limited liab

Contract (April 11th, 2006)

Exhibit 10.4 ================================================================================ PURCHASE AGREEMENT among PREMIUM FINANCE LLC, MULBERRY FINANCE CO., INC., and DLJMB IV FIRST MERGER LLC, MERRILL LYNCH INTERNATIONAL and FIRST TENNESSEE BANK NATIONAL ASSOCIATION ---------------- Dated as of March 7, 2006 ---------------- ================================================================================ PURCHASE AGREEMENT ($100,000,000 Trust Preferred Securities) THIS PURCHASE AGREEMENT, dated as of March 7, 2006 (this "PURCHASE AGREEMEN

Four Oaks Fincorp Inc. – Contract (April 5th, 2006)

Exhibit 10.1 ====================================== AMENDED AND RESTATED DECLARATION OF TRUST by and among WILMINGTON TRUST COMPANY, as Delaware Trustee, WILMINGTON TRUST COMPANY, as Institutional Trustee, FOUR OAKS FINCORP, INC., as Sponsor, and AYDEN R. LEE, JR., NANCY S. WISE and WANDA J. BLOW, as Administrators, Dated as of March 30, 2006 ====================================== TABLE OF CONTENTS -----------------

MortgageIT Holdings, Inc. – Placement Agreement (March 28th, 2006)
Reckson Associates Realty – Contract (December 6th, 2005)

Exhibit 10.1 AMENDED AND RESTATED OPERATING AGREEMENT OF ONE COURT SQUARE HOLDINGS LLC By and Between One Court Square Member LLC and One Court Square Investor, LLC Dated as of November 30, 2005 AMENDED AND RESTATED OPERATING AGREEMENT OF ONE COURT SQUARE HOLDINGS LLC THIS AMENDED AND RESTATED OPERATING AGREEMENT of One Court Square Holdings LLC (the "LLC") is entered into as of November 30, 2005, between ONE COURT SQUARE MEMBER LLC, a Delaware limited liability company, having an office c/o Reckson Associates, 225 Broadhollow Road, Melville, New York 11747 (t

Concurrent Computer Corporation – Contract (August 25th, 2005)

Exhibit 10.1 EXECUTION COPY ================================================================================ AGREEMENT AND PLAN OF MERGER BY AND AMONG CONCURRENT COMPUTER CORPORATION (THE PURCHASER), STREAM ACQUISITION, INC. (NEWCO), EVERSTREAM HOLDINGS, INC. (THE COMPANY) CERTAIN SELLING SHAREHOLDERS OF THE COMPANY (THE SELLERS) AS OF AUGUST 19, 2005 ================================================================================

Equity Inns – Contract (June 23rd, 2005)
Contract (May 20th, 2005)

EXHIBIT 10.1 Execution Copy ================================================================================ PURCHASE AGREEMENT among AMERICAN HOME MORTGAGE INVESTMENT CORP., BAYLIS TRUST I and MERRILL LYNCH INTERNATIONAL ---------------- Dated as of May 13, 2005 ---------------- ================================================================================ PURCHASE AGREEMENT ($50,000,000 Trust Preferred Securities) THIS PURCHASE AGREEMENT, dated as of May 13, 2005 (this "Purchase Agreement"), is entered into among American Home Mortgage Investment Corp., a Mar

Contract (December 28th, 2004)
Contract (December 15th, 2004)
Vornado Operating Co – Contract (December 1st, 2004)
Firstfed Bancorp Inc – Contract (June 18th, 2004)

Exhibit 10.1 FIRSTFED BANCORP, INC. 6,000 Capital Securities Floating Rate Capital Securities (Liquidation Amount $1,000.00 per Capital Security) PLACEMENT AGREEMENT ---------- June 7, 2004 FTN Financial Capital Markets 845 Crossover Lane, Suite 150 Memphis, Tennessee 38117 Keefe, Bruyette & Woods, Inc. 787 7th Avenue 4th Floor New York, New York 10019 Ladies and Gentlemen: FirstFed Bancorp, Inc., a Delaware corporation (the "Company"), and its financing subsidiary, FirstFed Statutory Trust I, a Delaware statutory trust (the "Trust," and hereinafter together with the Company, the "Offerors"), hereby confirm their agreement (this "Agreement") with you as placement agents (the "Placement Agents"), as follows: Section 1. Issuance and Sale of Secu

Contract (September 9th, 2003)

Exhibit 10.1 IN THE COURT OF CHANCERY OF THE STATE OF DELAWARE IN AND FOR NEW CASTLE COUNTY IN RE LEXENT INC. ) Cons. C.A. No. 20177 SHAREHOLDERS LITIGATION ) AMENDED STIPULATION OF SETTLEMENT The parties to the above-captioned action, by and through their respective attorneys, have entered into the following Amended Stipulation of Settlement (the "Stipulation") subject to the approval of the Court of Chancery of the State of Delaware in and for New Castle County (the "Court"): WHEREAS, A. Defendant Lexent Inc. ("Lexent") is a Delaware corporation with its principal place of business in New York, New York. B. Defendants Hugh J. O'Kane, Jr. and Kevin M. O'Kane (together, the "Individual Defendants" or the "O'Kanes") are directors of Lexent. C. On February 18, 2003, Lexent announced that it had received an offer from a management group (the "Buying Group

Contract (August 12th, 2003)

Exhibit 10.1 IN THE COURT OF CHANCERY OF THE STATE OF DELAWARE IN AND FOR NEW CASTLE COUNTY IN RE LEXENT INC. ) Cons. C.A. No. 20177 SHAREHOLDERS LITIGATION ) STIPULATION OF SETTLEMENT The parties to the above-captioned action, by and through their respective attorneys, have entered into the following Stipulation of Settlement (the "Stipulation") subject to the approval of the Court of Chancery of the State of Delaware in and for New Castle County (the "Court"): WHEREAS, A. Defendant Lexent Inc. ("Lexent") is a Delaware corporation with its principal place of business in New York, New York. B. Defendants Hugh J. O'Kane, Jr. and Kevin M. O'Kane (together, the "Individual Defendants" or the "O'Kanes") are directors of Lexent. C. On February 18, 2003, Lexent announced that it had received an offer from a management group (the "Buying Group") to purchase

Capital One Auto Finance Trust 2003-A – Contract (June 16th, 2003)

Page ---- I DEFINITIONS ............................................................... 1 II REPRESENTATIONS, WARRANTIES AND COVENANTS ................................. 9 Section 2.01. Representation and Warranties of the COAF Companies ......... 9 Section 2.02. Affirmative Covenants of the COAF Companies ................. 13 Section 2.03. Negative Covenants of the COAF Companies .................... 18 Section 2.04. Representation and Covenants of Indenture Trustee ........... 18 Section 2.05. Representations, Warranties and Covenants of the Issuer ..... 19 Section 2.06. Representations and Warranties of Ambac ..................... 19 Section 2.07. Covenant of Note Insurer .................................... 20 III THE POLICIES; REIMBURSEMENT ...................

Contract (April 14th, 2003)
Capital One Auto Finance Trust 2002-C – Page ARTICLE I DEFINITIONS..................................................... ...................1 ARTICLE II REPRESENTATIONS, WARRANTIES AND COVENANTS Section 2.01. Representation and Warranties of the COAF Companies................9 Section 2.02. Affirmative Covenants of the COAF Companies.......................12 Section 2.03. Negative Covenants of the COAF Companies..........................18 Section 2.04. Representation and Covenants of Indenture Trustee.................19 Section 2.05. Representations, Warranties and Covenants of the Owner Trustee....19 ARTICLE III THE POLICIES; REIMBU (December 20th, 2002)

ii INSURANCE AGREEMENT This INSURANCE AGREEMENT (this "Insurance Agreement") is dated as of December 17, 2002 by and among MBIA INSURANCE CORPORATION (the "Note Insurer"), CAPITAL ONE AUTO FINANCE, INC., in its individual capacity and as the Servicer (the "Servicer"), CAPITAL ONE AUTO FINANCE, INC., as Transferor (the "Transferor"), CAPITAL ONE AUTO RECEIVABLES, LLC, as Seller (the "Seller"), WILMINGTON TRUST COMPANY, not in its individual capacity but solely in its capacity as owner trustee for Capital One Auto Finance Trust 2002-C (the "Owner Trustee") and JPMORGAN CHASE BANK in its capacity as indenture trustee (the "Indenture Trustee"). WHEREAS, the Indenture Trustee is authenticating $800,000,000 principal amount of the Capital One Auto Finance Trust 2002-C, Asset Backed Notes, Series 2002-C, Class A-1 Notes, Class A-2 Notes, Class A-3-A Notes, Class A-3-B Notes and Class A-4 Notes, pursuant to an Indenture as more specifically defined belo

Wfs Receivables Corp – Contract (December 4th, 2002)
Wfs Receivables Corp – Contract (June 10th, 2002)
Agreement of Compromise and Settlement (June 7th, 2002)
Securities Purchase Agreement (April 9th, 2002)
Cybernet Internet Services International Inc – Contract (March 28th, 2002)

NUMBER AND/OR PLEDGOR DESCRIPTION OF SHARE CAPITAL - ---------------------------------------------- -------------------------------------------------------------------- Cybernet Internet Services International, Inc. All of the issued and outstanding share capital and/or capital stock Cybernet Internet Services International, Inc. All of the issued and outstanding share capital and/or capital stock Cybernet Internet Services International, Inc. All of the issued and outstanding share capital and/or capital stock Cybernet Internet Services International, Inc. All of the issued and outstanding share capital and/or capital stock Cybernet Internet Services International, Inc. All of the issued and outstanding share capital and/or capital stock Cybernet Internet Services International, Inc. All of the issued and outstanding share capital and/or capital stock Cybernet Intern

Credit Agreement (March 14th, 2002)
Gensym Corp – Contract (November 21st, 2001)

PRODUCT COMPANY PURCHASE DATE CSS EXP. DATE LICENSE # ------- ------- ------------- ------------- --------- NetSleuth for NT, 500 nodes TLC Companies 20-Oct-00 31-Oct-01 00-10-3165-1 NetSleuth for NT, 500 nodes MARCH Air Reserve Base 14-Dec-00 31-Dec-01 00-12-3187-1 NetSleuth for NT, 500 nodes US Army 19-Dec-00 31-Dec-01 96-09-1963-36 NetSleuth for NT, 500 nodes ACS Desktop Solutions, 19-Dec-00 31-Dec-01 00-12-3188-1 Inc. NetSleuth for NT, 500 nodes Scientific Research 27-Dec-00 31-Dec-01 97-08-2257-5 Corporation NetSleuth for NT, 500 nodes Scientific Research

Management Owner Purchase Agreement (November 15th, 2001)
Finova Group – Contract (June 22nd, 2001)
Franklin Receivables Llc – Contract (January 26th, 2001)

Original Principal Investor Investor Security Balance $ Price % Price $ Price % Price $ Rate % - -------- --------- ------- ------- ------- ------- ------ Class A-1 Notes $87,000,000 99.999586% $86,999,639.82 99.714586% $86,751,689.82 5.386% Class A-2 Notes $52,081,000 99.998718% $52,080,332.32 99.502718% $51,822,010.56 5.857% Total Price to Public: $139,079,972.14 Total Price to Seller: $138,573,700.38 Underwriting Discounts and Commissions: $ 506,271.76

Registration Rights Agreement (July 5th, 2000)
Preferred Securities Purchase Agreement (May 11th, 2000)
Franklin Receivables Llc – Contract (April 10th, 2000)

SCHEDULE II Original Principal Investor Investor Security Balance $ Price % Price $ Price % Price $ Rate % -------- --------- ------- ------- ------- ------- ------ Class A-1 Notes $76,000,000 99.995370% $75,996,481.20 99.695370% $75,768,481.20 7.02% Class A-2 Notes $47,002,000 99.433475% $46,735,721.92 98.871780% $46,471,714.04 7.25%

Cygnus – Asset Purchase Agreement (December 30th, 1999)
Ps Group Holdings Inc – Contract (December 22nd, 1999)

Page ---- ARTICLE 1 DEFINITIONS............................................... 1 1.1 Definitions............................................... 1 1.2 Other Definitional Provisions............................. 13 1.3 Accounting Terms and Determinations....................... 13 ARTICLE 2 THE LOAN.................................................. 13 2.1 The Loan.................................................. 13 2.2 The Note.................................................. 13 2.3 Disbursement; Use of Proceeds............................. 14 2.4 Interest.................................................. 14 2.5 Principal................................................. 15 2.6 Payments.................................................. 1

Contract (August 13th, 1999)

TOTAL SCHEDULED PRINCIPAL UNDERWRITING FINAL FINAL AMOUNT OF PRICE TO DISCOUNTS AND PROCEEDS TO DISTRIBUTION TERMINATION CLASS PUBLIC COMMISSIONS TRUST DATE DATE --------------- --------------- ------------- --------------- ------------ ----------- PER CLASS A-1 $108,500,000.00 99.97799% .24046% 99.73753% 3/15/01 3/15/03 CERTIFICATE PER CLASS A-2 $170,609,837.00 99.97574% .35000% 99.62574% 9/15/03 9/15/05 CERTIFICATE PER CLASS A-3 $103,390,163.00 99.97469% .43000% 99.54469% 3/15/05 3/15/07 CERTIFICATE

White Mountains Insurance Group, Ltd. – Contract (July 7th, 1999)

Page ARTICLE I DEFINITIONS................................................................................1 SECTION 1.01. Certain Defined Terms............................................................1 ARTICLE II PURCHASE AND SALE OF SHARES...............................................................8 SECTION 2.01. Purchase of Shares...............................................................8 SECTION 2.02. Purchase Price...................................................................9 SECTION 2.03. Closing.........................................................................13 SECTION 2.04. Payment of Principal and Interest on the Closing Note...........................13 ARTICLE III REPRESENTATIONS AND WARRANTIES OF THE SELLER............................................14 SECTION 3.01. Incorporation and Authority of the Seller...........