Other Information Included in the General Disclosure Package Sample Clauses

Other Information Included in the General Disclosure Package. The following information is also included in the General Disclosure Package:
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Other Information Included in the General Disclosure Package. The following information, conveyed orally, is also included in the General Disclosure Package: Public Offering Price: $14.00 Number of Shares Sold: 31,000,000 XXXXXXXX X XXXX XX XXXXX XXXX & XXXXXXXX LLP OPINION April [15], 2011 Xxxxxx Xxxxxxx & Co. Incorporated Credit Suisse Securities (USA) LLC Xxxxxxx, Sachs & Co. X.X. Xxxxxx Securities LLC Citigroup Global Markets Inc. As Representatives of the Several Underwriters, c/o Morgan Xxxxxxx & Co. Incorporated, 0000 Xxxxxxxx Xxx Xxxx, XX 00000 Ladies and Gentlemen: We have acted as special counsel for Cobalt International Energy, Inc., a Delaware corporation (the “Company”), in connection with the Underwriting Agreement dated April [11], 2011 (the “Underwriting Agreement”) with you and the other several Underwriters named in Schedule A thereto under which you and such other Underwriters have severally agreed to purchase from the Company an aggregate of [·] shares (the “Shares”) of its common stock, par value $0.01 per share. We have examined originals or copies, certified or otherwise identified to our satisfaction, of such documents, corporate records, certificates of public officials and other instruments as we have deemed necessary or advisable for the purpose of rendering this opinion. We have also participated in the preparation of the Company’s registration statement on Form S-3 (File No. 333-171536) (including the documents incorporated by reference therein (the “Incorporated Documents”)) filed with the Securities and Exchange Commission (the “Commission”) pursuant to the provisions of the Securities Act of 1933, as amended (the “Act”), relating to the registration of securities (the “Shelf Securities”) to be issued from time to time by the Company, the preliminary prospectus supplement dated April 5, 2011 relating to the Shares, and the prospectus supplement dated April [11], 2011 relating to the Shares (the “Prospectus Supplement”). To our knowledge, no stop order suspending the effectiveness of the registration statement has been issued. The registration statement became effective under the Act upon the filing of the registration statement with the Commission on January 4, 2011 pursuant to Rule 462(e). The registration statement at the date of the Underwriting Agreement, including the Incorporated Documents and the information deemed to be part of the registration statement at the time of effectiveness pursuant to Rule 430B under the Act, is hereinafter referred to as the “Registration Statement,” ...
Other Information Included in the General Disclosure Package. The following information, conveyed orally, is also included in the General Disclosure Package: Price to Public: Price paid by each investor Number of Securities Sold: 15,000,000 SCHEDULE D LIST OF PERSONS SUBJECT TO LOCK-UP AGREEMENTS PURSUANT TO SECTION 7(H) Xxxxx X. Xxxxxx W. Xxxx Xxxxxxx Xxxx Xxxxxx Blackstone Capital Partners (Cayman) IV X.X. Xxxxxxxxxx Capital Partners (Cayman) IV-A X.X. Xxxxxxxxxx Family Investment Partnership (Cayman) IV-A X.X. Xxxxxxxxxx Participation Partnership (Cayman) IV X.X. Xxxxxxxxxx Family Investment Partnership (Cayman) IV-A SMD X.X. Xxxxxxx Xxxxxx International Partners, X.X. Xxxxxxx Xxxxxx Netherlands International Partners I, C.V. WP-WPIP Investors, X.X. Xxxxxxx Xxxxxx Private Equity VIII, X.X. Xxxxxxx Xxxxxx Netherlands Private Equity VIII I, C.V. WP-WPVIII Investors, L.P. EXHIBIT A FORM OF LOCK-UP AGREEMENT Citigroup Global Markets Inc. 000 Xxxxxxxxx Xxxxxx Xxx Xxxx, Xxx Xxxx 00000 Dear Sirs: The undersigned understands that you propose to enter into an underwriting agreement (the “Underwriting Agreement”) among Kosmos Energy Ltd., a Bermuda exempted company (the “Company), the underwriters named in Schedule B to the Underwriting Agreement (the “Underwriters”) and the selling shareholders named in Schedule A to the Underwriting Agreement (the “Selling Shareholders”), providing for the public offering of common shares, par value $0.01 per share (the “Securities”), of the Company. As an inducement to the Underwriters to execute the Underwriting Agreement, the undersigned hereby agrees that during the period specified in the following paragraph (the “Lock-Up Period”), the undersigned will not offer, sell, contract to sell or otherwise dispose of, directly or indirectly, any Securities or securities convertible into or exchangeable or exercisable for any Securities, enter into a transaction that would have the same effect, or enter into any swap, hedge or other arrangement that transfers, in whole or in part, any of the economic consequences of ownership of the Securities, whether any such aforementioned transaction is to be settled by delivery of the Securities or such other securities, in cash or otherwise, or publicly disclose the intention to make any such offer, sale, pledge or disposition, or to enter into any such transaction, swap, hedge or other arrangement, without, in each case, the prior written consent of the Underwriters. In addition, the undersigned agrees that, without the prior written consent of the Und...
Other Information Included in the General Disclosure Package a. The following information is also included in the General Disclosure Package: None.
Other Information Included in the General Disclosure Package. The following information is also included in the General Disclosure Package: None ANNEX B-1 Filed pursuant to Rule 433 Relating to Preliminary Prospectus Supplement dated April 30, 2019 to Prospectus dated September 25, 2018 Registration Statement Nos. 000-000000-00 and 333-227514 Aon Corporation TERM SHEET $750,000,000 3.750% SENIOR NOTES DUE 2029 Issuer: Aon Corporation Securities: 3.750% Senior Notes due 2029 Guarantor: Aon plc Legal Format: SEC Registered Amount: $750,000,000 Ranking: Senior Unsecured Expected Ratings*: Xxxxx’x Investors Service: Baa2 Standard & Poor’s: A– Fitch: BBB+ Trade Date: April 30, 2019 Settlement Date (T+2): May 2, 2019 Maturity Date: May 2, 2029 Reference Treasury: 2.625% due February 15, 2029 Reference Treasury Price and Yield: 100-31+; 2.511% Reoffer Spread to Treasury: +125 bps Reoffer Yield: 3.761% Coupon: 3.750% Denominations: $2,000 and multiples of $1,000 Interest Payment Dates: Semi-annually in arrears on May 2 and November 2, beginning on November 2, 2019 Price to Public: 99.909% Proceeds to Issuer (before expenses and underwriting discount): $749,317,500 CUSIP / ISIN: 000000XX0 / US037389BC65 Optional Redemption: Prior to February 2, 2029, we may redeem all of the Notes at any time or some of the Notes from time to time at a redemption price equal to the greater of 100% of the principal amount of the Notes being redeemed and a make whole using a discount rate of the Reference Treasury plus 20 basis points. On or after February 2, 2029 (three months prior to maturity), we may redeem any or all of the Notes at a redemption price equal to 100% of the principal amount of the Notes being redeemed. In the event of certain changes in respect of taxes applicable to the Notes or the Guarantee of the Notes, we may redeem the Notes in whole at any time at a redemption price equal to 100% of the principal amount of the Notes being redeemed. See “Description of the Securities—Optional Redemption” and “Description of the Securities—Optional Tax Redemption” in the preliminary prospectus supplement for more information. Annex B-1-1 Joint Book-Running Managers: Citigroup Global Markets Inc. Barclays Capital Inc. Credit Suisse Securities (USA) LLC Co-Managers: Aon Securities LLC BMO Capital Markets Corp. X.X. Xxxxxx Securities LLC Xxxxxx Xxxxxxx & Co. LLC UniCredit Capital Markets LLC Loop Capital Markets LLC The Xxxxxxxx Capital Group, L.P. Conflicts: Aon Securities LLC is an indirect wholly owned subsidiary of Aon Corporation. Thi...
Other Information Included in the General Disclosure Package. The information contained on the next page as Schedule B-1 is also included in the General Disclosure Package. SCHEDULE B-1 LyondellBasell Industries N.V. Issuer: LyondellBasell Industries N.V. Symbol: LYB (NYSE) Shares offered by the Selling Shareholders: 21,000,000 ordinary shares Price to public: $48.50 per share Trade date: December 5, 2012 Closing date: December 10, 2012 SCHEDULE C-1 Form of Xxxxx Xxxxx L.L.P. Opinion
Other Information Included in the General Disclosure Package. The following information is also included in the General Disclosure Package: [1. The initial price to the public of the Offered Securities.
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Other Information Included in the General Disclosure Package. The following information is also included in the General Disclosure Package: Oral confirmation of the price and size of the offering. SCHEDULE C Lock-up Signatories Rxxxxx Xxxxxxx Jxxxx Xxxxxx Axxxxxx Xxxx Jxxxxxx Xxxxx Dxxxxx Xxxxxx Axxxx Xxxx Hxxxx Xxxx Mxxxxxx X. Xxxxxx, Ph. D Pxxxx Xxxxxxx Zhang Jingguo Rxxxxx Xxxxxxx Dx. Xxxxxx Xxxxx Lxxx Xxxxxxx Zxxxx Xxxxx ZH USA, LLC SCHEDULE D SUBSIDIARIES Global Medical REIT L.P. Global Medical REIT GP LLC GMR Albertville, LLC GMR Altoona, LLC GMR Amarillo, LLC GMR Asheville, LLC GMR Austin, LLC GMR Belpre, LLC GMR Bountiful, LLC GMR Brockport, LLC GMR Bxxxx, LLC GMR Canton, LLC GMR Cape Coral, LLC GMR Cxxxxx City, LLC GMR Cincinnati Beechmeont, LLC GMR Clermont, LLC GMR Corona, LLC GMR Derby, LLC GMR East Dallas Hospital, LLC GMR East Dallas Land, LLC GMR East Orange, LLC GMR Ellijay, LLC GMR Flower Mound, LLC GMR Fort Worth, LLC GMR Fremont, LLC GMR Gainesville, LLC GMR Germantown, LLC GMR Great Bend, LLC GMR Indianapolis, LLC GMR Las Cruces, LLC GMR Lxx'x Summit, LLC GMR Lewisburg, LLC GMR Lubbock, LLC GMR McAllen, LLC GMR Mechanicsburg, LLC GMR Melbourne, LLC GMR Melbourne Pine, LLC GMR Memphis Exeter, LLC GMR Memphis, LLC GMR Mesa, LLC GMR Moline, LLC GMR Oklahoma City, LLC GMR Omaha, LLC GMR Orlando, LLC GMR Palestine, LLC GMR Pittsburgh, LLC GMR Plano, LLC GMR Prescott, LLC GMR Reading, LLC GMR Saint Gxxxxx, LLC GMR Sandusky, LLC GMR Sxxxxxx, LLC GMR Silvis, LLC GMR Southern IL, LLC GMR Southern IL Carbondale, LLC GMR Southern IL Shiloh 1191, LLC GMR Southern IL Shiloh 1197, LLC GMR Vxxxxx, LLC GMR Vxxxxx Keynote, LLC GMR Watertown, LLC GMR Westland, LLC GMR Wyomissing, LLC ANNEX I FORM OF LOCK-UP AGREEMENT December 12, 2018 Sxxxxx, Xxxxxxxx & Company, Incorporated Oxx Xxxxx Xxxxxx, 00xx Xxxxx Xxxxxxxxx, XX 00000 BMO Capital Markets Corp. 3 Xxxxx Xxxxxx, 00xx Xxxxx Xxx Xxxx, XX 00000 Re: Global Medical REIT Inc. – Lock-Up Agreement Ladies and Gentlemen: The undersigned understands that you, as representatives (the “Representatives”), propose to enter into an Underwriting Agreement (the “Underwriting Agreement”) on behalf of the several Underwriters named in Schedule A to such agreement (collectively, the “Underwriters”), with Global Medical REIT Inc., a Maryland corporation (the “Company”), Global Medical REIT L.P., a Delaware limited partnership, and Inter-American Management LLC, a Delaware limited liability company, providing for a public offering (the “Public Offering”) of shares of common stock, par ...
Other Information Included in the General Disclosure Package. 1. The International Offering Price is HK$80.88.
Other Information Included in the General Disclosure Package. The information contained on the next page as Schedule B-1 is also included in the General Disclosure Package. SCHEDULE B-1 The price paid by the applicable purchaser. SCHEDULE C-1 Form of De Brauw Blackstone Westbroek N.V. Opinion,
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