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Subscribers | 2003 |
Guarantee
Guarantee (22K)
Doc #393331: Click preview link for longer preview.
GUARANTEE
GUARANTEE dated as of August 27, 2003, by WATER PIK TECHNOLOGIES, INC., a Delaware corporation (the �Guarantor�), in favor of JPMorgan Chase Bank, a New York banking corporation, as administrative and collateral agent (�Agent�) for (i) the Lenders (the �Lenders�) named in Schedule 1.01 of the Amended and Restated Revolving Credit Agreement dated as of the date hereof, among Water Pik, Inc., Laars, Inc. and Water Pik Technologies Canada, Inc. (collectively, the �Borrowers�), the Agent, J.P. Morgan Chase Bank, Toronto Branch, as Canadian Agent, the . . .
393331
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Water Pik
As referenced in this Guarantee:
WATER PIK TECHNOLOGIES, INC –
EX-4.7 9 a03-3102_1ex4d7.htm EX-4.7
Exhibit 4.7
GUARANTEE
GUARANTEE dated as of August 27, 2003, by WATER PIK TECHNOLOGIES, INC ., a Delaware corporation (the Guarantor), in favor of JPMorgan Chase Bank, a New York banking corporation, as administrative and collateral agent (Agent) for (i) the Lenders (the Lenders) named _____________
WATER PIK TECHNOLOGIES, INC – IN WITNESS WHEREOF, the Guarantor has duly executed or caused this Guarantee to be duly executed in the State of New York as of the date first above set forth.
WATER PIK TECHNOLOGIES, INC .
By:
/s/ VICTOR C. STREUFERT
Name:
Victor C. Streufert
Title:
Vice President - Finance
9
_____________
dt 1537701
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JPMorgan Chase
As referenced in this Guarantee:
JPMorgan Chase Bank, – a03-3102_1ex4d7.htm EX-4.7
Exhibit 4.7
GUARANTEE
GUARANTEE dated as of August 27, 2003, by WATER PIK TECHNOLOGIES, INC., a Delaware corporation (the Guarantor), in favor of JPMorgan Chase Bank, a New York banking corporation, as administrative and collateral agent (Agent) for (i) the Lenders (the Lenders) named in Schedule 1.01 of the Amended and Restated Revolving Credit _____________
dt 1017947
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Subscribers | 2003 |
Subsidiary Guarantee
Subsidiary Guarantee (22K)
Doc #393332: Click preview link for longer preview.
SUBSIDIARY GUARANTEE
GUARANTEE dated as of August 27, 2003, by Jandy Industries, Inc., a California corporation (the �Guarantor�), in favor of JPMorgan Chase Bank, a New York banking corporation, as administrative and collateral agent (�Agent�) for (i) the Lenders (the �Lenders�) named in Schedule 1.01 of the Amended and Restated Revolving Credit Agreement dated as of the date hereof, among Water Pik, Inc., Laars, Inc. and Water Pik Technologies Canada, Inc. (collectively, the �Borrowers�), the Agent, JPMorgan Chase Bank, Toronto Branch, as Canadian Agent, the . . .
393332
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JPMorgan Chase
As referenced in this Subsidiary Guarantee:
JPMorgan Chase Bank, – a03-3102_1ex4d8.htm EX-4.8
Exhibit 4.8
SUBSIDIARY GUARANTEE
GUARANTEE dated as of August 27, 2003, by Jandy Industries, Inc., a California corporation (the Guarantor), in favor of JPMorgan Chase Bank, a New York banking corporation, as administrative and collateral agent (Agent) for (i) the Lenders (the Lenders) named in Schedule 1.01 of the Amended and Restated Revolving Credit _____________
JPMorgan Chase Bank, – the Amended and Restated Revolving Credit Agreement dated as of the date hereof, among Water Pik, Inc., Laars, Inc. and Water Pik Technologies Canada, Inc. (collectively, the Borrowers), the Agent, JPMorgan Chase Bank, Toronto Branch, as Canadian Agent, the Canadian Lenders party thereto and the Lenders (as amended, modified or supplemented from time to time in accordance with its terms, the Credit _____________
dt 1017948
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Subscribers | 2003 |
Subsidiary Guarantee
Subsidiary Guarantee (22K)
Doc #393333: Click preview link for longer preview.
SUBSIDIARY GUARANTEE
GUARANTEE dated as of August 27, 2003, by Waterpik International, Inc., a Delaware corporation (the �Guarantor�), in favor of JPMorgan Chase Bank, a New York banking corporation, as administrative and collateral agent (�Agent�) for (i) the Lenders (the �Lenders�) named in Schedule 1.01 of the Amended and Restated Revolving Credit Agreement dated as of the date hereof, among Water Pik, Inc., Laars, Inc. and Water Pik Technologies Canada, Inc. (collectively, the �Borrowers�), the Agent, JPMorgan Chase Bank, Toronto Branch, as Canadian Agent, . . .
393333
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JPMorgan Chase
As referenced in this Subsidiary Guarantee:
JPMorgan Chase Bank, – a03-3102_1ex4d9.htm EX-4.9
Exhibit 4.9
SUBSIDIARY GUARANTEE
GUARANTEE dated as of August 27, 2003, by Waterpik International, Inc., a Delaware corporation (the Guarantor), in favor of JPMorgan Chase Bank, a New York banking corporation, as administrative and collateral agent (Agent) for (i) the Lenders (the Lenders) named in Schedule 1.01 of the Amended and Restated Revolving Credit _____________
JPMorgan Chase Bank, – the Amended and Restated Revolving Credit Agreement dated as of the date hereof, among Water Pik, Inc., Laars, Inc. and Water Pik Technologies Canada, Inc. (collectively, the Borrowers), the Agent, JPMorgan Chase Bank, Toronto Branch, as Canadian Agent, the Canadian Lenders party thereto and the Lenders (as amended, modified or supplemented from time to time in accordance with its terms, the Credit _____________
dt 1017949
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Subscribers | 2005 |
Preferred Securities Guarantee Agreement
Preferred Securities Guarantee Agreement (60K)
Doc #1083821: Click preview link for longer preview.
PREFERRED SECURITIES GUARANTEE AGREEMENT
Between
The Stanley Works
(as Guarantor)
and
HSBC Bank USA, National Association
(as Trustee)
dated as of
November 22, 2005
<PAGE>
CROSS-REFERENCE TABLE*
SECTION OF GUARANTEE AGREEMENT
TRUST . . .
1083821
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Stanley Works
As referenced in this Preferred Securities Guarantee Agreement:
Stanley Works
–
EX-4
4
psga.txt
EXHIBIT 4.8 - GUARANTEE AGREEMENT
Exhibit 4.8
PREFERRED SECURITIES GUARANTEE AGREEMENT
Between
The Stanley Works
(as Guarantor)
and
HSBC Bank USA, National Association
(as Trustee)
dated as of
November 22, 2005
CROSS-REFERENCE TABLE*
SECTION OF GUARANTEE AGREEMENT
TRUST INDENTURE ACT SECTION OF _____________
STANLEY WORKS, – Governing Law...............................................16
SECTION 9.07. Counterparts................................................17
ii
PREFERRED SECURITIES GUARANTEE AGREEMENT
This PREFERRED SECURITIES GUARANTEE AGREEMENT ("Guarantee
Agreement"), dated as of November 22, 2005, is between THE STANLEY WORKS, a
Connecticut corporation (the "Company"), as guarantor (the "Guarantor"), and
HSBC Bank USA, National Association, a national banking association, as trustee
(the "Trustee"), for the benefit of the Holders ( _____________
Stanley Works
– a national banking association, as trustee
(the "Trustee"), for the benefit of the Holders (as defined herein) from time
to time of the Preferred Securities (as defined herein) of The Stanley Works
Capital Trust I, a Delaware statutory business trust (the "Trust").
WHEREAS, pursuant to an Amended and Restated Declaration of Trust
(the "Declaration of Trust"), dated as of November 22, 2005, _____________
Stanley Works
– b) if given to the Guarantor, to the address set forth below or such
other address as the Guarantor may give notice of to the Trustee and the
Holders:
The Stanley Works
1000 Stanley Drive
New Britain, Connecticut 06053
Attention: Treasurer
Telecopy: (860) 827-3886
(c) if given to the Trust, in care of the Trustee, or to the Trustee
at _____________
Stanley Works – the Trust's (and the Trustee's) address set forth below or such other
address as the Trustee on behalf of the Trust may give notice to the Holders:
The Stanley Works Capital Trust I
c/o The Stanley Works
1000 Stanley Drive
New Britain, Connecticut 06053
Attention: Treasurer and Corporate
Secretary
Telecopy: (860) 827-3886
with a copy, in the case _____________
dt 1722505
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Subscribers | 2006 |
Guarantee Agreement
Guarantee Agreement (51K)
Doc #2559784: Click preview link for longer preview.
GUARANTEE AGREEMENT
dated as of
May 2, 2006
among
LONE STAR MERGER CORP. (to be merged with, and into, Activant Solutions Holdings Inc., which, in turn, will be merged with, and into, Activant Solutions Inc.),
LONE STAR HOLDING CORP.,
CERTAIN OTHER SUBSIDIARIES OF LONE STAR MERGER CORP. IDENTIFIED HEREIN
and
DEUTSCHE BANK TRUST COMPANY AMERICAS,
as Administrative Agent
Table of Contents
Page
ARTICLE I Definitions
. . .
2559784
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DB Trust
As referenced in this Guarantee Agreement:
DEUTSCHE BANK TRUST CO – Solutions Holdings Inc., which, in turn, will be merged with, and into,
Activant Solutions Inc.),
LONE STAR HOLDING CORP.,
CERTAIN OTHER SUBSIDIARIES OF LONE STAR MERGER CORP.
IDENTIFIED HEREIN
and
DEUTSCHE BANK TRUST CO MPANY AMERICAS,
as Administrative Agent
Table of Contents
Page
ARTICLE I Definitions
2
Section 1.01. Credit Agreement
2
Section 1.02. Other Defined Terms
3
ARTICLE II Guarantee
3
_____________
DEUTSCHE BANK TRUST CO – which, in turn, will be merged with, and into, Activant Solutions Inc., Merger Sub), LONE STAR HOLDING CORP., a Delaware corporation (Holdings), the Subsidiaries of the Borrower identified herein and DEUTSCHE BANK TRUST CO MPANY AMERICAS, as Administrative Agent.
Reference is made to the Credit Agreement, dated as of May 2, 2006 (as amended, restated, supplemented and/or otherwise modified from time to time, _____________
Deutsche Bank Trust Co – made to the Credit Agreement, dated as of May 2, 2006 (as amended, restated, supplemented and/or otherwise modified from time to time, the Credit Agreement), among the Borrower, Holdings, Deutsche Bank Trust Co mpany Americas, as Administrative Agent, Swing Line Lender and an L/C Issuer, each Lender from time to time party thereto, JPMorgan Chase Bank, N.A., as Syndication Agent, and _____________
DEUTSCHE BANK TRUST CO – TRADE SERVICE SYSTEMS, INC.
By:
Name:
Title:
-32-
TRIAD DATA CORPORATION
By:
Name:
Title:
-33-
TRIAD SYSTEMS CORPORATION
By:
Name:
Title:
-34-
TRIAD SYSTEMS FINANCIAL CORPORATION
By:
Name:
Title:
-35-
DEUTSCHE BANK TRUST CO MPANY AMERICAS, as Administrative Agent
By:
Name:
Title:
By:
Name:
Title:
-36-
SCHEDULE I to the
Guarantee Agreement
SUBSIDIARY PARTIES
EXHIBIT I to the
Guarantee Agreement
SUPPLEMENT NO. ___ dated _____________
DEUTSCHE BANK TRUST CO – LONE STAR HOLDING CORP., a Delaware corporation (Holdings), ACTIVANT SOLUTIONS INC. (f/k/a Lone Star Merger Corp.), a Delaware Corporation (the Borrower) the Subsidiaries of Holdings identified therein and DEUTSCHE BANK TRUST CO MPANY AMERICAS, as Collateral Agent for the Secured Parties (as defined below).
A. Reference is made to (i) the Credit Agreement dated as of May 2, 2006 (as amended, restated, _____________
dt 1654187
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JPMorgan Chase
As referenced in this Guarantee Agreement:
JPMorgan Chase Bank, – Credit Agreement), among the Borrower, Holdings, Deutsche Bank Trust Company Americas, as Administrative Agent, Swing Line Lender and an L/C Issuer, each Lender from time to time party thereto, JPMorgan Chase Bank, N.A., as Syndication Agent, and Lehman Commercial Paper Inc. as Documentation Agent.
The Lenders have agreed to extend credit to the Borrower subject to the terms and conditions _____________
JPMorgan Chase Bank, – Credit Agreement), among Holdings, the Borrower, Deutsche Bank Trust Company Americas, as Administrative Agent, Swing Line Lender and an L/C Issuer, each Lender from time to time party thereto, JPMorgan Chase Bank, N.A., as Syndication Agent and and Lehman Commercial Paper Inc., as Documentation Agent, (ii) each Secured Hedge Agreement (as defined in the Credit Agreement) and (iii) the Cash _____________
dt 1695975
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LCPI
As referenced in this Guarantee Agreement:
Lehman Commercial Paper Inc – Company Americas, as Administrative Agent, Swing Line Lender and an L/C Issuer, each Lender from time to time party thereto, JPMorgan Chase Bank, N.A., as Syndication Agent, and Lehman Commercial Paper Inc . as Documentation Agent.
The Lenders have agreed to extend credit to the Borrower subject to the terms and conditions set forth in the Credit Agreement, the Hedge Banks have _____________
Lehman Commercial Paper Inc – Americas, as Administrative Agent, Swing Line Lender and an L/C Issuer, each Lender from time to time party thereto, JPMorgan Chase Bank, N.A., as Syndication Agent and and Lehman Commercial Paper Inc ., as Documentation Agent, (ii) each Secured Hedge Agreement (as defined in the Credit Agreement) and (iii) the Cash Management Obligations (as defined in the Credit Agreement).
B. Capitalized terms _____________
dt 1652327
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