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Underwriting Agreement

 

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Title:

Underwriting Agreement

Entities:

Flagstone Securities, LLC; JMP Securities LLC; NovaStar Financial Inc.

Date:

2003

Size:

142KB total

Price:

$65

ID:

#160709

 

 

► Financing ► Underwriting Agreements
► Financial
► Real Estate

 

 

Start of Preview


 

610,000 Shares

 

NovaStar Financial, Inc.

 

Common Stock

 

Underwriting Agreement

 

dated November 6, 2003

 

JMP SECURITIES LLC

FLAGSTONE SECURITIES, LLC


TABLE OF CONTENTS

 

SECTION


        PAGE

SECTION 1.

   REPRESENTATIONS AND WARRANTIES OF THE COMPANY    2

        (a)

   Compliance with Registration Requirements    2

        (b)

   Offering Materials Furnished to the Underwriters    2

        (c)

   Distribution of Offering Material by the Company    3

        (d)

   The Underwriting Agreement    3

        (e)

   Authorization of the Offered Shares    3

        (f)

   No Applicable Registration or Other Similar Rights    3

        (g)

   No Material Adverse Change    3

        (h)

   Independent Accountants    3

        (i)

   Preparation of the Financial Statements    3

        (j)

   Incorporation and Good Standing of the Company and Its Subsidiaries    4

        (k)

   Subsidiaries of the Company    4

        (l)

   No Prohibition on Subsidiaries from Paying Dividends or Making Other Distributions    4

        (m)

   Capitalization and Other Capital Stock Matters    4

        (n)

   Lock-up Agreements    5

        (o)

   Stock Exchange Listing    5

        (p)

   Non-Contravention of Existing Instruments; No Further Authorizations or Approvals Required; No Violation.    5

        (q)

   No Material Actions or Proceedings    6

        (r)

   Labor Matters    6

        (s)

   Intellectual Property Rights    6

        (t)

   All Necessary Permits, etc.    6

        (u)

   Title to Properties    6

        (v)

   Tax Law Compliance    7

        (w)

   No Transfer Taxes or Other Fees    7

        (x)

   Company Not an Investment Company.    7

        (y)

   Exchange Act and Sarbanes-Oxley Act Compliance    7

        (z)

   Insurance    7

        (aa)

   No Price Stabilization or Manipulation    7

        (bb)

   Related Party Transactions    8

        (cc)

   Companys Accounting System    8

        (dd)

   REIT Status    8

 

(i)


TABLE OF CONTENTS

(continued)

 

SECTION


        PAGE

        (ee)

   Qualified REIT Subsidiaries    8

        (ff)

   Additional Subsidiaries    8

        (gg)

   Taxable Mortgage Pool    8

        (hh)

   Investment and Risk-Adjusted Capital Guidelines    8

        (ii)

   No Unlawful Contributions or Other Payments    8

        (jj)

   Compliance with Environmental Laws    8

        (kk)

   No Broker or Finder Fees    9

        (ll)

   Commodities Exchange Act    9

        (mm)

   ERISA Compliance    9

        (nn)

   Sarbanes-Oxley Act Compliance    10

SECTION 2.

   PURCHASE, SALE AND DELIVERY OF THE OFFERED SHARES    10

        (a)

   The Firm Offered Shares    10

        (b)

   The First Closing Date    10

        (c)

   The Optional Offered Shares; the Second Closing Date    11

        (d)

   Public Offering of the Offered Shares    11

        (e)

   Payment for the Offered Shares    11

        (f)

   Delivery of the Offered Shares    12

        (g)

   Delivery of Prospectus to the Underwriters    12

SECTION 3.

   ADDITIONAL COVENANTS OF THE COMPANY    12

        (a)

   Underwriters Review of Proposed Amendments and Supplements    12

        (b)

   Securities Act Compliance    12

        (c)

   Amendments and Supplements to the Prospectus and Other Securities Act Matters    13

        (d)

   Copies of any Amendments and Supplements to the Prospectus    13

        (e)

   Blue Sky Compliance    13

        (f)

   Notice of Subsequent Events Affecting the Market Price of the Common Stock or Offered Shares    14

        (g)

   Use of Proceeds    14

        (h)

   Transfer Agent    14

        (i)

   Earnings Statement    14

        (j)

   Periodic Reporting Obligations    14

        (k)

   Company to Provide Copy of the Prospectus.    14

        (l)

   Agreement Not to Offer or Sell Additional Securities    14

 

(ii)


TABLE OF CONTENTS

(continued)

 

SECTION


        PAGE

        (m)

   Future Reports to the Underwriters    15

        (n)

   Compliance    15

        (o)

   REIT Qualification    15

        (p)

   Investment Company Act    15

        (q)

   Taxable Mortgage Pool    15

        (r)

   Investment and Risk-Adjusted Capital Guidelines    15

SECTION 4.

   CONDITIONS OF THE OBLIGATIONS OF THE UNDERWRITERS    15

        (a)

   Accountants Original Comfort Letter    16

        (b)

   Accountants Bring-down Comfort Letter    16

        (c)

   Compliance with Registration Requirements; No Stop Order; No Objection from the NASD    17

        (d)

   No Material Adverse Change or Ratings Agency Change    17

        (e)

   Opinion of Counsel to the Company    17

        (f)

   Opinion of Tax Counsel to the Company    18

        (g)

   Opinion of Counsel for the Underwriters    18

        (h)

   Officers Certificate    18

        (i)

   Lock-Up Agreement from Certain Securityholders of the Company    19

        (j)

   Additional Documents    19

SECTION 5.

   PAYMENT OF EXPENSES    19

SECTION 6.

   REIMBURSEMENT OF THE UNDERWRITERS EXPENSES    20

SECTION 7.

   EFFECTIVENESS OF THIS AGREEMENT    20

SECTION 8.

   INDEMNIFICATION    20

        (a)

   Indemnification of the Underwriters    20

        (b)

   Indemnification of the Company and Its Directors and Officers    21

        (c)

   Information Provided by the Underwriters    22

        (d)

   Notifications and Other Indemnification Procedures    22

        (e)

   Settlements    23

SECTION 9.

   CONTRIBUTION    23

SECTION 10.

   DEFAULT OF ONE OR MORE OF THE SEVERAL UNDERWRITERS    24

SECTION 11.

   TERMINATION OF THIS AGREEMENT    25

SECTION 12.

   REPRESENTATIONS AND INDEMNITIES TO SURVIVE DELIVERY    25

SECTION 13.

   NOTICES    26

 

(iii)


TABLE OF CONTENTS

(continued)

 

SECTION


        PAGE

SECTION 14.

  

SUCCESSORS

   26

SECTION 15.

  

PARTIAL UNENFORCEABILITY

   27

SECTION 16.

  

GOVERNING LAW PROVISIONS

   27

        (a)

  

Choice of Law

   27

        (b)

  

Consent to Jurisdiction

   27

SECTION 17.

  

GENERAL PROVISIONS

   27

 

LIST OF SCHEDULES

 

SCHEDULE A         LIST OF THE UNDERWRITERS

 

LIST OF EXHIBITS

 

EXHIBIT A         FORM OF LOCK-UP AGREEMENT

EXHIBIT B         FORM OF LEGAL OPINION OF COUNSEL TO THE COMPANY

EXHIBIT C         FORM OF LEGAL OPINION OF TAX COUNSEL TO THE COMPANY

 

(iv)


Underwriting Agreement

 

November 6, 2003

 

JMP Securities LLC

Flagstone Securities, LLC

c/o JMP Securities LLC

One Embarcadero Center, Suite 2100

San Francisco, California 94111

 

Ladies and Gentlemen:

 

Introductory. NovaStar Financial, Inc., a Maryland corporation (the Company), proposes to issue and sell to the several underwriters named in Schedule A (the List of the Underwriters) attached hereto (collectively, the Underwriters) an aggregate of 610,000 Shares (the Firm Offered Shares) of its Common Stock, par value $0.01 per share (the Common Stock) in accordance with the terms and conditions set forth in this Underwriting Agreement (the Agreement). In addition, the Company has granted to the Underwriters an option to purchase up to an additional 91,500 shares (or up to 183,000 shares in the event the option closes after the Stock Split Record Date, as defined below) (the Optional Offered Shares) of Common Stock, as provided in Section 2 (the Purchase, Sale, and Delivery of the Offered Shares). The Firm Offered Shares and, if and to the extent such option is exercised, the Optional Offered Shares are collectively called the Offered Shares.

 

The Company has prepared and filed with the Securities and Exchange Commission (the Commission) a registration statement on Form S-3 (File No. 333-74538) which contains a form of prospectus, subject to completion, to be used in connection with the public offering and sale of the Offered Shares. Such registration statement, as amended, including the financial statements, exhibits, and schedules thereto, in the form in which it was declared effective by the Commission under the Securities Act of 1933, as amended, and the rules and regulations promulgated thereunder (collectively, the Securities Act), including all documents incorporated or deemed to be incorporated by reference therein and any information deemed to be a part thereof at the time of effectiveness pursuant to Rule 430A or Rule 434 under the Securities Act, is called the Registration Statement. Any registration statement filed by the Company pursuant to Rule 462(b) under the Securities Act is called the Rule 462(b) Registration Statement, and from and after the date and time of filing of the Rule 462(b) Registration Statement, the term Registration Statement shall include the Rule 462(b) Registration Statement. Such prospectus, in the form first used by the Underwriters to confirm sales of the Offered Shares, as amended or supplemented to reflect the terms of the offering of the Offered Shares, is called the Prospectus; provided, however, if the Company has, with the consent of JMP Securities LLC (JMP), elected to rely upon Rule 434 under the Securities Act, the term Prospectus shall include the Companys prospectus subject to completion dated December 4, 2001 (each, a preliminary prospectus), together with the applicable term sheet (the Term Sheet) prepared and filed by the Company with the Commission under Rules 434 and 424(b) under the Securities Act and all references in this Agreement to the date of the Prospectus shall mean the date of the Term Sheet. All references in this Agreement to the Registration Statement, the Rule 462(b) Registration Statement, a preliminary prospectus, the Prospectus or the Term Sheet, or any amendments or supplements to any of the foregoing, shall include any copy thereof filed with the Commission pursuant to its Electronic Data Gathering, Analysis and Retrieval System (EDGAR). All references in this Agreement to financial statements and

 

1


schedules and other information which is contained, included, or stated in the Registration Statement or the Prospectus (and all other references of like import) shall be deemed to mean and include all such financial statements and schedules and other information which is or is deemed to be incorporated by reference in the Registration Statement or the Prospectus, as the case may be; and all references in this Agreement to amendments or supplements to the Registration Statement or the Prospectus shall be deemed to mean and include the filing of any document under the Securities Exchange Act of 1934, as amended, and the rules and regulations promulgated thereunder (collectively, the Exchange Act) which is or is deemed to be incorporated by reference in the Registration Statement or the Prospectus, as the case may be.

 

The Company hereby confirms its agreements with the Underwriters as follows:

 

Section 1. Representations and Warranties of the Company. The Company hereby represents, warrants, and covenants to each Underwriter as follows:

 

(a) Compliance with Registration Requirements. The Registration Statement and any Rule 462(b) Registration Statement have been declared effective by the Commission under the Securities Act. The Company has complied to the Commissions satisfaction with all requests of the Commission for additional or supplemental information. No stop order suspending the effectiveness of the Registration Statement or any Rule 462(b) Registration Statement is in effect and no proceedings for such purpose have been instituted or are pending or, to the best knowledge of the Company, are contemplated or threatened by the Commission.

 

Each preliminary prospectus and the Prospectus, when filed, complied in all material respects with the Securities Act and, if filed by electronic transmission pursuant to EDGAR (except as may be permitted by Regulation S-T under the Securities Act), was identical to the copy thereof delivered to the Underwriters for use in connection with the offer and sale of the Offered Shares. Each of the Registration Statement, any Rule 462(b) Registration Statement and any post-effective amendment thereto, at the time it became effective and at all subsequent times, complied and will comply in all material respects with the Securities Act and did not and will not contain any untrue statement of a material fact or omit to state a material fact required to be stated therein or necessary to make the statements therein not misleading. Each preliminary prospectus, as of its date and at all subsequent times, and the Prospectus, as amended or supplemented, as of its date and at all subsequent times, did not and will not contain any untrue statement of a material fact or omit to state a material fact required to be stated therein or necessary to make the statements therein, in light of the circumstances under which they were made, not misleading. The representations and warranties set forth in the two immediately preceding sentences do not apply to statements in or omissions from the Registration Statement, any Rule 462(b) Registration Statement, or any post-effective amendment thereto, the preliminary prospectus, the Prospectus, or any amendments or supplements thereto, made in reliance upon and in conformity with information relating to any Underwriter furnished to the Company in writing by the Underwriters expressly for use therein. There are no contracts or other documents required to be described in the Prospectus or to be filed as exhibits to the Registration Statement which have not been described or filed as required.

 


 

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