{"component": "definition", "props": {"groups": [{"size": 4, "samples": [{"hash": "3jQvZZLmTfl", "uri": "/contracts/3jQvZZLmTfl#put-exercise-price", "label": "Joint Venture Agreement", "score": 29.6739380407, "published": true}, {"hash": "51K7n5nISRy", "uri": "/contracts/51K7n5nISRy#put-exercise-price", "label": "Joint Venture Agreement", "score": 29.4562948518, "published": true}, {"hash": "lMcNIp6uoXe", "uri": "/contracts/lMcNIp6uoXe#put-exercise-price", "label": "Joint Venture Agreement", "score": 24.3374401095, "published": true}], "snippet": "has the meaning given in Clause 15.1.1; \"Put Option\" has the meaning given in Clause 15.1.1; \"Regulations Subsidiary\" has the meaning given in Recital (C);", "snippet_links": [{"key": "in-clause", "type": "clause", "offset": [22, 31]}, {"key": "put-option", "type": "definition", "offset": [41, 51]}, {"key": "regulations-subsidiary", "type": "definition", "offset": [94, 116]}], "hash": "5c75313b80039dd9792404fd46f2ee0e", "id": 1}, {"size": 4, "samples": [{"hash": "h4dNqBthBSm", "uri": "/contracts/h4dNqBthBSm#put-exercise-price", "label": "Limited Liability Company Agreement (CVR Partners, Lp)", "score": 34.3305954825, "published": true}, {"hash": "gsMSe7BmOEn", "uri": "/contracts/gsMSe7BmOEn#put-exercise-price", "label": "Limited Liability Company Agreement (CVR Energy Inc)", "score": 34.3305954825, "published": true}], "snippet": "has the meaning given in Section 3.9(a).", "snippet_links": [], "hash": "79972144f21b614391b3bdaa198d207b", "id": 2}, {"size": 2, "samples": [{"hash": "bjaZ71BXKpu", "uri": "/contracts/bjaZ71BXKpu#put-exercise-price", "label": "Put/Call Agreement (Partnerre LTD)", "score": 26.3990417522, "published": true}], "snippet": "means an amount equal to $60,475,000, plus all accumulated but unpaid dividends on the Fund Securities (whether or not earned or declared) to, but excluding, the Put Exercise Date.", "snippet_links": [{"key": "equal-to", "type": "definition", "offset": [16, 24]}, {"key": "unpaid-dividends", "type": "clause", "offset": [63, 79]}, {"key": "fund-securities", "type": "definition", "offset": [87, 102]}, {"key": "but-excluding", "type": "clause", "offset": [143, 156]}, {"key": "put-exercise-date", "type": "definition", "offset": [162, 179]}], "hash": "23ea3c2952a39c63e72f976afbcc05d5", "id": 3}, {"size": 1, "samples": [{"hash": "k1UotcE6HCK", "uri": "/contracts/k1UotcE6HCK#put-exercise-price", "label": "Joint Venture Agreement", "score": 26.3347022587, "published": true}], "snippet": "has the meaning given in Clause 15.1.1;", "snippet_links": [{"key": "in-clause", "type": "clause", "offset": [22, 31]}], "hash": "7befa9b1f7a4dba629517ca6be184420", "id": 4}, {"size": 1, "samples": [{"hash": "b2Ft3ZzQ9BO", "uri": "/contracts/b2Ft3ZzQ9BO#put-exercise-price", "label": "Shareholders Agreement (RSL Communications LTD)", "score": 18.0, "published": true}], "snippet": "the meaning given in Clause 6.1(a).", "snippet_links": [{"key": "in-clause", "type": "clause", "offset": [18, 27]}], "hash": "a5bcc81c55f624f25bdb740f0ede05bb", "id": 5}, {"size": 1, "samples": [{"hash": "7Yx5YMLiHIr", "uri": "https://www.sec.gov/Archives/edgar/data/1028734/000110465905027400/filename1.htm", "label": "www.sec.gov", "score": 13.340862423, "published": false}], "snippet": "means a price per Profits Interest Unit equal to the amount that the holder of one Profits Interest Unit would receive if all of the Company\u2019s assets were sold for 6.25 times the Company\u2019s EBITDA for the 12-month period concluding with the last month ended prior to the date that a Put Notice is given and the Company were liquidated and its assets distributed in accordance with the Operating Agreement.", "snippet_links": [{"key": "price-per", "type": "definition", "offset": [8, 17]}, {"key": "profits-interest-unit", "type": "definition", "offset": [18, 39]}, {"key": "equal-to", "type": "definition", "offset": [40, 48]}, {"key": "the-holder", "type": "clause", "offset": [65, 75]}, {"key": "of-the-company", "type": "clause", "offset": [126, 140]}, {"key": "month-ended", "type": "definition", "offset": [245, 256]}, {"key": "prior-to-the", "type": "clause", "offset": [257, 269]}, {"key": "put-notice", "type": "definition", "offset": [282, 292]}, {"key": "and-the-company", "type": "clause", "offset": [302, 317]}, {"key": "in-accordance-with", "type": "definition", "offset": [361, 379]}, {"key": "the-operating-agreement", "type": "clause", "offset": [380, 403]}], "hash": "38362ef0df9c5981babb5eb936526d7f", "id": 6}, {"size": 1, "samples": [{"hash": "3hzbkRhD27V", "uri": "/contracts/3hzbkRhD27V#put-exercise-price", "label": "Share Purchase Agreement (Willis Lease Finance Corp)", "score": 18.0, "published": true}], "snippet": "is defined in Section 12.1(b).", "snippet_links": [{"key": "defined-in-section", "type": "clause", "offset": [3, 21]}], "hash": "613809cc053c4805f1c0aae43d3ed1f8", "id": 7}, {"size": 1, "samples": [{"hash": "5aSxaXYR2QW", "uri": "/contracts/5aSxaXYR2QW#put-exercise-price", "label": "Equity Joint Venture Contract (Unifi Inc)", "score": 21.0, "published": true}], "snippet": "Section 5.7(c)", "snippet_links": [], "hash": "62f67bc28346d9379c0121428612cf45", "id": 8}, {"size": 1, "samples": [{"hash": "drqkfKMuP01", "uri": "/contracts/drqkfKMuP01#put-exercise-price", "label": "Stockholders' Agreement (Mac-Gray Corp)", "score": 18.0, "published": true}], "snippet": "shall have the meaning set forth in Section 5.1.2.", "snippet_links": [], "hash": "08c5d577b1e5b50a96a4da9aff2f1d75", "id": 9}, {"size": 1, "samples": [{"hash": "j3fKdhQOkdx", "uri": "/contracts/j3fKdhQOkdx#put-exercise-price", "label": "Warrant Agreement (Smith C D Drug Co)", "score": 18.0, "published": true}], "snippet": "shall have the meaning assigned to it in Section 7.01(c) ------------------ hereof.", "snippet_links": [], "hash": "c16433bfe34abed1982796dfec5e377b", "id": 10}], "next_curs": "Cl8SWWoVc35sYXdpbnNpZGVyY29udHJhY3RzcjsLEhpEZWZpbml0aW9uU25pcHBldEdyb3VwX3Y1NiIbcHV0LWV4ZXJjaXNlLXByaWNlIzAwMDAwMDBhDKIBAmVuGAAgAA==", "definition": {"size": 21, "snippet": "has the meaning given in Clause 15.1.1; \"Put Option\" has the meaning given in Clause 15.1.1; \"Regulations Subsidiary\" has the meaning given in Recital (C);", "title": "Put Exercise Price", "id": "put-exercise-price", "examples": ["Pursuant to each of the Put Options, if the related Put Option is exercised, the Put Option Provider is obligated to purchase the related group of Financed Student Loans for the related <strong>Put Exercise Price</strong> on the Distribution Date in [ ] [ ].", "The transfer of FMO&#x27;s Shares following the exercise of the Put Option pursuant to Clause 15.1 (Put Option exercise) shall occur as soon as reasonably possible after the <strong>Put Exercise Price</strong> has been determined in accordance with Clause 15.1 (Put Option exercise).", "The Group Companies, considered as a single integrated financial enterprise, and assuming full exercise of the Achari Put Options and payment of the <strong>Put Exercise Price</strong>, are and will be, following such payments, solvent.", "Upon receipt of the Achari Put Shares, the Company shall deliver the <strong>Put Exercise Price</strong> to the DTC account of the Achari Put Holder listed below, or another banking institution designated by such Achari Put Holder in writing to the Company, each in accordance with the terms of the Put Option Agreement.", "The Valuation Firm shall, acting as experts in valuation and not as arbitrators, determine, on a basis consistent with the requirements of this Agreement, and only with respect to the unresolved matters so submitted, whether and to what extent the Call Exercise Price Notice or <strong>Put Exercise Price</strong> Notice, as applicable, requires adjustment to the Exercise Price.", "The exercise price per share is $_______ for an aggregate sales price of $_______ (the &quot;Aggregate <strong>Put Exercise Price</strong>&quot;).", "Following the delivery of a Put Exercise Notice, Citi shall have the right on the Put Exercise Date set forth in such Put Exercise Notice to tender the Fund Securities to the Company for purchase on such Put Exercise Date, and the Company agrees to purchase the Fund Securities on such Put Exercise Date, at the <strong>Put Exercise Price</strong> therefor.", "If the greater of (i) the simple average closing price of GSME Shares for the 90 trading days preceding November 25, 2011 (the \u201cAdjustment Period\u201d) and (ii) the volume weighted average closing price of GSME Shares for the Adjustment Period is equal to or greater than US$10, the Call Exercise Price shall adjust to US$12 and the <strong>Put Exercise Price</strong> shall adjust to US$8.", "Such Option Shares shall be sold at the applicable <strong>Put Exercise Price</strong>.", "For the purposes of this Clause 6, the value of a Parent Share used to pay any portion of the <strong>Put Exercise Price</strong> in respect of any exercise of the Metro Put shall equal the average closing price (or, if no closing sale price is reported, the last reported sale price) of one Parent Share as reported by The NASDAQ National Market for the 30 trading days immediately preceding the Put Completion Date (as defined in Clause 6.4(a)) for such exercise of the Metro Put."], "related": [["warrant-exercise-price", "Warrant Exercise Price", "Warrant Exercise Price"], ["exercise-price", "Exercise Price", "Exercise Price"], ["initial-exercise-price", "Initial Exercise Price", "Initial Exercise Price"], ["option-exercise-price", "Option Exercise Price", "Option Exercise Price"], ["total-exercise-price", "Total Exercise Price", "Total Exercise Price"]], "related_snippets": [], "updated": "2025-07-07T00:16:46+00:00"}, "json": true, "cursor": ""}}