REPRESENTATIONS AND WARRANTIES OF THE. COMPANY Section 3.1 Organization, Standing and Power 24 Section 3.2 Capital Structure 24 Section 3.3 Authority 25 Section 3.4 Consents and Approvals; No Violation 26 Section 3.5 SEC Documents and Other Reports 27 Section 3.6 Registration Statement and Joint Proxy Statement 28 Section 3.7 Absence of Certain Changes or Events 28 Section 3.8 No Existing Violation, Default, Etc. 29 Section 3.9 Licenses and Permits 30 Section 3.10 Environmental Matters 30 Section 3.11 Tax Matters 31 Section 3.12 Actions and Proceedings 31 Section 3.13 Labor Matters 32 Section 3.14 Contracts 32 Section 3.15 ERISA 33 Section 3.16 Liabilities 35 Section 3.17 Opinion of Financial Advisor 35 Section 3.18 State Takeover Statutes; Absence of Stockholder Rights Plan 35 Section 3.19 Pooling of Interests; Reorganization 35 Section 3.20 Brokers 36 Section 3.21 Ownership of Parent Capital Stock 36
Appears in 1 contract
Samples: Merger Agreement (Imc Global Inc)
REPRESENTATIONS AND WARRANTIES OF THE. COMPANY Section 3.1 OrganizationSHAREHOLDERS AND LITMUS 14 4.1 Organization and Qualification 14 4.2 Subsidiaries 14 4.3 Articles of Incorporation, Standing Bylaws and Power 24 Section 3.2 Corporate Records 14 4.4 Authorization; Enforceability 15 4.5 No Violation or Conflict 15 4.6 Governmental Consents and Approvals 16 4.7 Capital Structure 24 Section 3.3 Authority 25 Section 3.4 Consents and Approvals; No Violation 26 Section 3.5 SEC Documents and Other Reports 27 Section 3.6 Registration Statement and Joint Proxy Statement 28 Section 3.7 Absence of Certain Changes or Events 28 Section 3.8 No Existing Violation, Default, Etc. 29 Section 3.9 Licenses and Permits 30 Section 3.10 Environmental Matters 30 Section 3.11 Tax Matters 31 Section 3.12 Actions and Proceedings 31 Section 3.13 Labor Matters 32 Section 3.14 Contracts 32 Section 3.15 ERISA 33 Section 3.16 Liabilities 35 Section 3.17 Opinion of 16 4.8 Financial Advisor 35 Section 3.18 State Takeover StatutesStatements 17 4.9 Conduct in the Ordinary Course; Absence of Stockholder Rights Plan 35 Section 3.19 Pooling Changes 17 4.10 Real Property 17 4.11 Personal Property 18 4.12 Approval of InterestsDirectors 19 4.13 Insurance 19 4.14 Permits 19 4.15 Taxes 20 4.16 Labor Matters 21 4.17 Employees and Related Agreements; Reorganization 35 Section 3.20 ERISA 23 4.18 Environmental and Health/Safety Matters 24 4.19 Certain Interests 27 4.20 Litigation 27 4.21 Intellectual Property and Web Sites 27 4.22. Adknowledge Release Agreement 28 4.23 Receivables 28 4.24 Residency; Investment Sophistication; Background 28 4.25 Brokers 36 Section 3.21 Ownership of Parent 29 4.26 Banks and Brokerage Accounts 29 4.27 Indebtedness and Liabilities 29 4.28 Contracts 30 4.29 Spyware/Adware 31 4.30 Material Information 31 ARTICLE V REPRESENTATIONS AND WARRANTIES OF THK AND LITMUS ACQUISITION SUB 31 5.1 Organization and Qualification 31 5.2 Capital Stock 36Structure 32 5.3 Authorization; Enforceability 32 5.4 No Violation or Conflict 33 5.5 Governmental Consents and Approvals 33 5.6 Litigation 33
Appears in 1 contract
Samples: Merger Agreement (Cgi Holding Corp)
REPRESENTATIONS AND WARRANTIES OF THE. COMPANY Section 3.1 BUYER AND THE TRANSITORY SUBSIDIARY 28 4.1 Organization, Standing and Power 24 Section 3.2 Capital Structure 24 Section 3.3 Authority 25 Section 3.4 Consents and Approvals28 4.2 Capitalization 29 4.3 Authority; No Violation 26 Section 3.5 Conflict; Required Filings and Consents 29 4.4 SEC Documents and Other Reports 27 Section 3.6 Registration Statement and Joint Proxy Statement 28 Section 3.7 Filings; Financial Statements 30 4.5 Absence of Certain Changes or Events 28 Section 3.8 No Existing Violation, Default, Etc. 29 Section 3.9 Licenses and Permits 30 Section 3.10 Environmental Matters 30 Section 3.11 31 4.6 Tax Matters 31 Section 3.12 Actions 4.7 Litigation 31 4.8 Compliance with Laws 31 4.9 Registration Statement; Proxy Statement/Prospectus 32 4.10 Operations of the Transitory Subsidiary 32 ARTICLE V CONDUCT OF BUSINESS 32 5.1 Covenants of the Company 32 5.2 Cooperation 36 5.3 Confidentiality 36 ARTICLE VI ADDITIONAL AGREEMENTS 36 6.1 No Solicitation 36 6.2 Proxy Statement/Prospectus; Registration Statement 38 6.3 Nasdaq Quotation 39 6.4 Access to Information 39 6.5 Stockholders Meeting 40 6.6 Legal Conditions to the Merger 41 6.7 Public Disclosure 42 6.8 Tax-Free Reorganization 42 6.9 Affiliate Agreements 42 6.10 Nasdaq National Market Listing 43 6.11 Company Stock Plans and Proceedings 31 Section 3.13 Labor the Company Warrants 43 6.12 Stockholder Litigation 44 6.13 Indemnification 44 6.14 Notification of Certain Matters 32 Section 3.14 Contracts 32 Section 3.15 ERISA 33 Section 3.16 Liabilities 35 Section 3.17 Opinion of Financial Advisor 35 Section 3.18 State Takeover Statutes; Absence of Stockholder Rights Plan 35 Section 3.19 Pooling of Interests; Reorganization 35 Section 3.20 Brokers 36 Section 3.21 Ownership of Parent Capital Stock 3644
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REPRESENTATIONS AND WARRANTIES OF THE. COMPANY Section 3.1 Organization, Standing and Power 24 Section 3.2 SELLER PARTIES 5 2.1 Organization of the Seller Parties 5 2.2 Capital Structure 24 Section of the Company 6 2.3 Subsidiaries 7 2.4 Authority 8 2.5 No Conflict 8 2.6 Governmental Consents 9 2.7 No Changes 9 2.8 Brokers’ Fees 9 2.9 Transactions with Affiliates 9 2.10 No Newco Operations 10 2.11 Exclusivity of Representations 10 ARTICLE III REPRESENTATION AND WARRANTIES OF SOLERA 10 3.1 Organization 10 3.2 Authority 11 3.3 Authority 25 Section No Conflict 11 3.4 Governmental Consents and Approvals11 3.5 Brokers’ Fees 12 3.6 Availability of Funds 12 3.7 Independent Investigation 12 3.8 Solera SEC Filings; Financial Condition 13 3.9 Investment Representations 13 ARTICLE IV COVENANTS AND AGREEMENTS 14 4.1 Conduct of Business of the Company 14 4.2 No Violation 26 Section 3.5 SEC Documents and Other Reports 27 Section 3.6 Registration Statement and Joint Proxy Statement 28 Section 3.7 Absence Solicitation 17 4.3 Access to Information 18 4.4 Public Disclosure 18 4.5 Reasonable Best Efforts 19 4.6 Antitrust Filings 19 4.7 Notification of Certain Changes or Events 28 Section 3.8 No Existing Violation, Default, Etc. 29 Section 3.9 Licenses and Permits 30 Section 3.10 Environmental Matters 30 Section 3.11 Tax Matters 31 Section 3.12 Actions and Proceedings 31 Section 3.13 Labor Matters 32 Section 3.14 Contracts 32 Section 3.15 ERISA 33 Section 3.16 Liabilities 35 Section 3.17 Opinion 22 4.8 WCAS SRS Contribution 22 4.9 Formation of Financial Advisor 35 Section 3.18 State Takeover StatutesNewco; Absence the Newco Contribution 22 4.10 Delayed Potential IR Transactions 22 4.11 Unpaid Transaction Expenses 23 ‑i‑ TABLE OF CONTENTS (Continued) Page 4.12 Redemption of Stockholder Rights Plan 35 Section 3.19 Pooling of Interests; Reorganization 35 Section 3.20 Brokers 36 Section 3.21 Ownership of Parent Capital Stock 362018 Notes 23 ARTICLE V
Appears in 1 contract
Samples: Recapitalization Agreement
REPRESENTATIONS AND WARRANTIES OF THE. COMPANY Section PARENT AND MERGERCO 20 3.1 Organization, Standing Qualification and Corporate Power 20 3.2 Capitalization 21 3.3 Authorization of Transaction 21 3.4 Noncontravention 22 3.5 Subsidiaries 22 3.6 Exchange Act Reports 23 3.7 Compliance with Laws 23 3.8 Financial Statements 24 Section 3.2 Capital Structure 24 Section 3.3 Authority 25 Section 3.4 Consents and Approvals; No Violation 26 Section 3.5 SEC Documents and Other Reports 27 Section 3.6 Registration Statement and Joint Proxy Statement 28 Section 3.7 3.9 Absence of Certain Changes or Events 24 3.10 Undisclosed Liabilities 24 3.11 Off-Balance Sheet Arrangements 24 3.12 Tax Matters 24 3.13 Assets 25 3.14 Owned Real Property 26 3.15 Real Property Leases 26 3.16 Contracts 26 3.17 Accounts Receivable 27 3.18 Powers of Attorney 27 3.19 Insurance 27 3.20 Warranties 28 Section 3.8 No Existing Violation, Default, Etc. 29 Section 3.9 Licenses and Permits 30 Section 3.10 3.21 Litigation 28 3.22 Employees 28 3.23 Employee Benefits 28 3.24 Environmental Matters 30 Section 3.11 Tax Matters 28 3.25 Permits 29 3.26 Certain Business Relationships with Affiliates 29 3.27 Tax-Free Reorganization 29 3.34 Minute Books 31 Section 3.12 Actions 3.35 Board Action 31 ARTICLE IV COVENANTS 31 4.1 Closing Efforts 31 4.2 Governmental and Proceedings Thirty Party Notices and Consents 31 Section 3.13 Labor Matters 4.3 Form 8-K 31 4.4 Operation of Company Business 32 Section 3.14 Contracts 32 Section 3.15 ERISA 4.5 Access to Company Information 33 Section 3.16 Liabilities 35 Section 3.17 Opinion of Financial Advisor 35 Section 3.18 State Takeover Statutes; Absence of Stockholder Rights Plan 35 Section 3.19 Pooling of Interests; Reorganization 35 Section 3.20 Brokers 36 Section 3.21 Ownership 4.6 Operation of Parent Capital Stock Business 34 4.7 Access to Parent Information 35 4.8 Expenses 36 4.9 Post-Closing Operation of Company Business 4.11 Name Change 36
Appears in 1 contract
REPRESENTATIONS AND WARRANTIES OF THE. COMPANY Section 3.1 Organization, Standing KM PARTIES 12 4.1 Organization and Power 24 Section 3.2 Capital Structure 24 Section 3.3 Authority 25 Section 3.4 Consents and ApprovalsExistence 13 4.2 Authority; Binding Effect 13 4.3 SEC Filings 13 4.4 Financial Statements 13 4.5 Information Supplied 14 4.6 No Violation 26 Section 3.5 SEC Documents and Other Reports 27 Section 3.6 Registration Statement and Joint Proxy Statement 28 Section 3.7 Absence of Certain Changes or Events 28 Section 3.8 Material Adverse Change 14 4.7 No Existing Violation, Default, Etc. 29 Section 3.9 Licenses and Permits 30 Section 3.10 Environmental Matters 30 Section 3.11 Tax Matters 31 Section 3.12 Actions and Proceedings 31 Section 3.13 Labor Matters 32 Section 3.14 Contracts 32 Section 3.15 ERISA 33 Section 3.16 Liabilities 35 Section 3.17 Conflict 14 4.8 No Default 15 4.9 Copies Complete 15 4.10 Brokerage Arrangements 15 4.11 Opinion of Financial Advisor 35 Section 3.18 State Takeover Statutes15 4.12 Purchaser Common Units 15 ARTICLE V - ADDITIONAL AGREEMENTS, COVENANTS, RIGHTS AND OBLIGATIONS 16 5.1 Access to Information 16 5.2 Conduct of Business 16 (a) Ordinary Course 16 (b) Restrictions on Trading Partnership and Operating Partnership 16 (c) General Business 18 (d) Employees of SF General Partner 19 (e) Restrictions on Purchaser 19 5.3 Certain Filings 20 5.4 SF Unit Holders' Meeting 21 5.5 KM Unit Holders' Meeting 21 5.6 Affiliates 21 5.7 First Mortgage Notes; Absence Credit Agreement 21 5.8 Other Consents 22 5.9 No Solicitation 22 5.10 Permitted Actions 22 5.11 Indemnified Debt 23 5.12 Transfer 24 5.13 Further Action; Reasonable Best Efforts 24 5.14 Notification of Stockholder Rights Plan 35 Section 3.19 Pooling Certain Matters 25 5.15 Certain Indebtedness 25 5.16 Financial Statements 25 5.17 Merger of Interests; Reorganization 35 Section 3.20 Brokers 36 Section 3.21 Ownership of Parent Capital Stock 36New LP 26 5.18 No Public Announcement 26 5.19 Expenses 26 5.20 NYSE Listing 27 5.21 Consistent Tax Reporting 27
Appears in 1 contract
Samples: Purchase Agreement (Santa Fe Pacific Pipeline Partners Lp)
REPRESENTATIONS AND WARRANTIES OF THE. COMPANY Section CONTRIBUTING PARTIES 12 3.1 Organization, Standing Organization 12 3.2 Authority and Power 24 Section 3.2 Approval 12 3.3 No Conflict; Consents 13 3.4 Capitalization; Title to Subject Interest 14 3.5 Financial Statements; Undisclosed Liabilities 14 3.6 Working Capital Structure 24 Section 3.3 Authority 25 Section 3.4 Consents and ApprovalsSemCrude Pipeline Assets 15 3.7 Title to Assets 15 3.8 Litigation; Laws and Regulations 16 3.9 No Violation 26 Section 3.5 SEC Documents and Other Reports 27 Section 3.6 Registration Statement and Joint Proxy Statement 28 Section 3.7 Absence of Certain Adverse Changes or Events 28 Section 3.8 No Existing Violation, Default, Etc. 29 Section 3.9 Licenses and Permits 30 Section 16 3.10 Taxes 17 3.11 Environmental Matters 30 Section 3.11 Tax Matters 31 Section 17 3.12 Actions Licenses; Permits 18 3.13 Employees and Proceedings 31 Section 3.13 Labor Matters 32 Section Employee Benefits 19 3.14 Contracts 32 Section 20 3.15 ERISA 33 Section Transactions with Affiliates 21 3.16 Liabilities 35 Section Investment Company Act; FERC 21 3.17 Opinion of Financial Advisor 35 Section Brokerage Arrangements 21 3.18 State Takeover StatutesCapital Commitments 21 3.19 Investment Intent 21 3.20 Conflicts Committee Matters 22 3.21 Waivers and Disclaimers 23 ARTICLE IV REPRESENTATIONS AND WARRANTIES OF THE PARTNERSHIP PARTIES 23 4.1 Organization and Existence 23 4.2 Authority and Approval 24 4.3 No Conflict; Absence of Stockholder Rights Plan 35 Section 3.19 Pooling of InterestsConsents 25 4.4 Brokerage Arrangements 25 4.5 Litigation 25 4.6 Valid Issuance; Reorganization 35 Section 3.20 Brokers 36 Section 3.21 Ownership of Parent Capital Stock 36Listing; Authorization 26 4.7 SEC Filings 26 4.8 Investment Intent 27 4.9 Waivers and Disclaimers 27
Appears in 1 contract
Samples: Contribution Agreement