0001193125-19-007349 Sample Contracts

COLFAX CORPORATION Underwriting Agreement
Underwriting Agreement • January 11th, 2019 • Colfax CORP • Pumps & pumping equipment • New York

Each Security has a stated amount of $100.00 (the “Stated Amount”) and consists of (1) a prepaid stock purchase contract (each, a “Purchase Contract”) under which the holder has purchased and the Company will agree to deliver not later than January 15, 2022, subject to postponement in certain circumstances and subject to any early settlement or redemption of such Purchase Contract pursuant to the provisions thereof and of the purchase contract agreement (the “Purchase Contract Agreement”), to be dated as of the Closing Date (as defined herein), among the Company, U.S. Bank National Association, as purchase contract agent (the “Purchase Contract Agent”) and attorney-in-fact for the holders of the Purchase Contracts from time to time, and U.S. Bank National Association, as trustee (the “Trustee”), a number of shares of common stock of the Company, par value $0.001 per share (the “Common Stock”), determined pursuant to the terms of the Purchase Contracts and the Purchase Contract Agreemen

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PURCHASE CONTRACT AGREEMENT Dated as of January 11, 2019 between COLFAX CORPORATION and U.S. BANK NATIONAL ASSOCIATION, as Purchase Contract Agent, as Attorney-in-Fact for the Holders from time to time as provided herein and as Trustee under the...
Purchase Contract Agreement • January 11th, 2019 • Colfax CORP • Pumps & pumping equipment • New York

PURCHASE CONTRACT AGREEMENT, dated as of January 11, 2019 between COLFAX CORPORATION, a Delaware corporation (the “Company”) and U.S. BANK NATIONAL ASSOCIATION, a national banking association acting as purchase contract agent and attorney-in-fact for the Holders of Purchase Contracts (as defined herein) from time to time (the “Purchase Contract Agent”) and as trustee under the Indenture (as defined herein).

COLFAX CORPORATION, as Issuer, AND U.S. BANK NATIONAL ASSOCIATION, as Trustee First Supplemental Indenture Dated as of January 11, 2019 to the Indenture Dated as of January 11, 2019 6.50% Senior Amortizing Notes due 2022
First Supplemental Indenture • January 11th, 2019 • Colfax CORP • Pumps & pumping equipment • New York

FIRST SUPPLEMENTAL INDENTURE dated as of January 11, 2019 (this “Supplemental Indenture”) between COLFAX CORPORATION, a Delaware corporation (the “Company”), and U.S. BANK NATIONAL ASSOCIATION, a national banking association, as trustee (the “Trustee”), supplementing the Indenture dated as of January 11, 2019 between the Company and the Trustee (the “Base Indenture”).

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