{"component": "definition", "props": {"groups": [{"snippet_links": [{"key": "the-shares", "type": "clause", "offset": [0, 10]}, {"key": "bridge-preferred-stock", "type": "definition", "offset": [14, 36]}, {"key": "shares-of-common-stock", "type": "clause", "offset": [64, 86]}, {"key": "conversion-of", "type": "clause", "offset": [140, 153]}, {"key": "securities-issued", "type": "clause", "offset": [194, 211]}, {"key": "with-respect-to", "type": "clause", "offset": [224, 239]}, {"key": "stock-dividend", "type": "clause", "offset": [270, 284]}, {"key": "stock-split", "type": "definition", "offset": [288, 299]}, {"key": "in-connection-with", "type": "clause", "offset": [303, 321]}, {"key": "combination-of-shares", "type": "clause", "offset": [324, 345]}], "size": 3, "samples": [{"hash": "igg2ZAuPgtC", "uri": "/contracts/igg2ZAuPgtC#bridge-securities", "label": "Registration Rights Agreement (Tc Group LLC)", "score": 18.0, "published": true}, {"hash": "f6EsQMIcpeS", "uri": 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identical in form to the securities offered for sale in the PUBLIC OFFERING (\"PRIMARY BRIDGE EQUITY UNITS\"), except that the certificates for the PRIMARY BRIDGE EQUITY UNITS may bear restrictive legends. Each PURCHASER shall receive the number of PRIMARY BRIDGE EQUITY UNITS equal to the principal of such PURCHASER'S BRIDGE NOTE(S) divided by the public offering price of the securities comprising the PRIMARY BRIDGE EQUITY UNIT. The securities issued to PURCHASERS shall have the same CUSIP numbers as the corresponding securities in the PUBLIC OFFERING. If a PUBLIC OFFERING shall not have occurred prior to October 16, 2006, then on October 17, 2006 the COMPANY shall issue to the PURCHASER alternate BRIDGE EQUITY UNITS (\"ALTERNATE BRIDGE EQUITY UNITS\") consisting of that number of shares of common stock of the COMPANY as shall equal the principal amount of the BRIDGE NOTE(S) divided by $3.00 plus an equal number of non-callable warrants exercisable at $3.00 per share for a period of five years from such issuance, and which shall have a cashless exercise feature at any time after October 16, 2007 that the underlying shares of common stock are not covered by an effective registration statement with a current prospectus available. The number of ALTERNATE BRIDGE EQUITY UNITS shall be adjusted, pro rata, on account of any stock splits, reverse stock splits, stock dividends paid on common stock, etc. which occur after the date of issuance of the BRIDGE NOTE(S) and prior to the issuance of the ALTERNATE BRIDGE EQUITY UNITS. PRIMARY BRIDGE EQUITY UNITS and Alternate BRIDGE EQUITY UNITS are sometimes referred to herein as \"BRIDGE EQUITY UNITS.\" The PURCHASERS shall have the right for a period of one year and one month from the issuance of the ALTERNATE BRIDGE EQUITY UNITS to exchange them for PRIMARY BRIDGE EQUITY Units of an equivalent worth issued in a public offering of the COMPANY such that the PURCHASERS will own the same securities as if the public offering had closed on or prior to the six month anniversary of the FIRST CLOSING.", "hash": "665e626d8e620e4c1591f652f5cb4c6e", "id": 3}, {"snippet_links": [{"key": "second-recital", "type": "clause", "offset": [33, 47]}, {"key": "this-agreement", "type": "clause", "offset": [51, 65]}], "size": 1, "samples": [{"hash": "1ODcet16F1M", "uri": "/contracts/1ODcet16F1M#bridge-securities", "label": "Securities Purchase Agreement (Urs Corp /New/)", "score": 18.0, "published": true}], "snippet": "has the meaning set forth in the second recital of this Agreement.", "hash": "44c781075a2ab94e2676e21975eca0b7", "id": 4}, {"snippet_links": [{"key": "series-b-preferred-stock", "type": "clause", "offset": [10, 34]}, {"key": "the-senior-notes", "type": "clause", "offset": [36, 52]}, {"key": "the-warrants", "type": "clause", "offset": [57, 69]}], "size": 1, "samples": [{"hash": "hUswrFAC0Sn", "uri": "/contracts/hUswrFAC0Sn#bridge-securities", "label": "Securities Purchase Agreement (Metris Companies Inc)", "score": 18.0, "published": true}], "snippet": "means the Series B Preferred Stock, the Senior Notes and the Warrants.", "hash": "65da15ad6a693db3a660561a548c895d", "id": 5}, {"snippet_links": [{"key": "the-purchase-agreement", "type": "clause", "offset": [29, 51]}], "size": 1, "samples": [{"hash": "bnYWIdJMZFK", "uri": "/contracts/bnYWIdJMZFK#bridge-securities", "label": "Note Purchase Agreement (Satcon Technology Corp)", "score": 18.0, "published": true}], "snippet": "has the meaning specified in the Purchase Agreement.", "hash": "8ca7dedcab0e993cf728d9fcaf2f897c", "id": 6}, {"snippet_links": [{"key": "first-recital", "type": "clause", "offset": [32, 45]}, {"key": "this-agreement", "type": "clause", "offset": [49, 63]}], "size": 1, "samples": [{"hash": "68axUnksQ9e", "uri": "/contracts/68axUnksQ9e#bridge-securities", "label": "Securities Purchase Agreement (Urs Corp /New/)", "score": 18.0, "published": true}], "snippet": "has the meaning given it in the first recital of this Agreement.", "hash": "ca389705c99aa29c7af934238fe3eb6f", "id": 7}, {"snippet_links": [{"key": "issued-to", "type": "definition", "offset": [21, 30]}, {"key": "bridge-financing", "type": "clause", "offset": [56, 72]}, {"key": "including-without-limitation", "type": "clause", "offset": [74, 102]}, {"key": "options-or-rights", "type": "clause", "offset": [119, 136]}, {"key": "securities-of-the-company", "type": "clause", "offset": [160, 185]}], "size": 1, "samples": [{"hash": "bnYWIdJMZFK", "uri": "/contracts/bnYWIdJMZFK#bridge-securities", "label": "Note Purchase Agreement (Satcon Technology Corp)", "score": 18.0, "published": true}], "snippet": "means the securities issued to investors as part of the Bridge Financing, including without limitation any warranties, options or rights to acquired additional securities of the Company or any of its affiliates.", "hash": "0e117024a734c3943b744c314eaf075e", "id": 8}, {"snippet_links": [{"key": "money-market-investments", "type": "definition", "offset": [23, 47]}, {"key": "by-the-general-partner", "type": "clause", "offset": [85, 107]}, {"key": "otherwise-disposed-of", "type": "definition", "offset": [138, 159]}, {"key": "date-of", "type": "clause", "offset": [184, 191]}], "size": 1, "samples": [{"hash": "celL3qdquII", "uri": "/contracts/celL3qdquII#bridge-securities", "label": "Limited Partnership Agreement", "score": 26.6783025325, "published": true}], "snippet": "Securities (other than Money Market Investments) which, when acquired, were expected by the General Partner to be redeemed, liquidated or otherwise disposed of within 12 months of the date of such acquisition.", "hash": "d797f5b06c2d5d63256aa2241116ebe2", "id": 9}, {"snippet_links": [{"key": "bridge-notes", "type": "definition", "offset": [38, 50]}, {"key": "by-the-company", "type": "clause", "offset": [58, 72]}, {"key": "on-december", "type": "clause", "offset": [73, 84]}], "size": 1, "samples": [{"hash": "hYJ2rmwYSHK", "uri": "/contracts/hYJ2rmwYSHK#bridge-securities", "label": "Indenture (CFP Holdings Inc)", "score": 18.0, "published": true}], "snippet": "means the $25,000,000 of subordinated bridge notes issued by the Company on December 31, 1996.", "hash": "f9d6ff9df62c2da84ce55a7e7d9d49c2", "id": 10}], "next_curs": "Cl4SWGoVc35sYXdpbnNpZGVyY29udHJhY3RzcjoLEhpEZWZpbml0aW9uU25pcHBldEdyb3VwX3Y1NiIaYnJpZGdlLXNlY3VyaXRpZXMjMDAwMDAwMGEMogECZW4YACAA", "definition": {"size": 14, "title": "Bridge Securities", "snippet": "The shares of Bridge Preferred Stock, (b) ----------------- the shares of Common Stock and Mezzanine PreferredStock issued or issuable upon conversion of the Bridge Preferred Stock, and (c) any securities issued or issuable with respect to either (a) or (b) by way of a stock dividend or stock split or in connection with a combination of shares, recapitalization, merger, consolidation or reorganization.", "id": "bridge-securities", "examples": ["The <strong>Bridge Securities</strong> would be subordinated in right of payment to any New Debt, would have market coupon and fees, would allow for any interest due prior to maturity to be \u201cpaid in kind\u201d (rather than paid in cash) at the election of the Company, would be prepayable, without any prepayment penalty or prepayment premium, on a pro rata basis at any time, and would otherwise be on market terms (determined such that fair value of the <strong>Bridge Securities</strong> as of the Effective Date is equal to par minus OID).", "The <strong>Bridge Securities</strong> would have a final maturity date, in the case of a note, and a mandatory redemption date, in the case of preferred stock, on the 270th day after the Effective Date, would not require any mandatory interim cash distributions except as contemplated in (i) below, and would yield to the Company on the Closing Date cash proceeds (net of OID) of at least the proceeds from the GGP Backstop Rights Offering that such <strong>Bridge Securities</strong> are intended to replace.", "The Bridge Notes and Bridge Shares are herein called the <strong>Bridge Securities</strong>.", "Following the completion of the sale of <strong>Bridge Securities</strong> pursuant to this Financing Agreement, the Company intends to conduct a secondary public offering (the \u201cSecondary Public Offering\u201d or \u201cSPO\u201d) of its securities in the approximate amount of $8,000,000 with Newbridge Securities Corporation (\u201cNewbridge\u201d) as its managing underwriter.", "Whenever notice is required to be given under this Warrant, unless otherwise provided herein, such notice shall be given in accordance with Section 9(f) of the <strong>Bridge Securities</strong> Purchase Agreement.", "This Warrant and the Warrant Shares may be offered for sale, sold, transferred, pledged or assigned without the consent of the Company, except as may otherwise be required by Section 2(f) of the <strong>Bridge Securities</strong> Purchase Agreement.", "The Company hereby irrevocably waives personal service of process and consents to process being served in any such suit, action or proceeding by mailing a copy thereof to the Company at the address set forth in Section 9(f) of the <strong>Bridge Securities</strong> Purchase Agreement and agrees that such service shall constitute good and sufficient service of process and notice thereof.", "The Company and the Purchasers have entered into that certain <strong>Bridge Securities</strong> Purchase Agreement dated as of June 13, 1997 (the &quot;Initial Purchase Agreement&quot;), as amended by that certain First Amendment to <strong>Bridge Securities</strong> Purchase Agreement and Related Documents (the &quot;First Amendment&quot;) dated as of December 31, 1997.", "From and after the date of the Exchange all of the <strong>Bridge Securities</strong> and any additional shares of Series A Preferred Stock paid as dividends thereon shall be deemed to have been exchanged for the Series B Preferred Stock into which they were exchangeable.", "As such, Lender understands that it may be required to hold the <strong>Bridge Securities</strong> for an indefinite period of time (subject to the maturity provisions of the Secured Promissory Notes)."], "related": [["private-exchange-securities", "Private Exchange Securities", "Private Exchange Securities"], ["exchange-securities", "Exchange Securities", "Exchange Securities"], ["exchange-notes", "Exchange Notes", "Exchange Notes"], ["exchange-security", "Exchange Security", "Exchange Security"], ["nim-securities", "NIM Securities", "NIM 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