TSR INC Business Finance Contracts & Agreements
7 Contracts & Agreements
- Loan Agreements (1 contract)
- Note Agreements (1)
- Repurchase Agreements (1)
- Stock Agreements (3)
- Term Sheets (1)
- Second Amendment to Amended & Restated Rights Agreement, dated as of March 31, 2021, between the Company and Continental Stock Transfer & Trust Company as Rights Agent (Filed With SEC on April 1, 2021)
- First Amendment to Amended and Restated Rights Agreement, dated as of February 4, 2021 between the Company and Continental Stock Transfer & Trust Company as Rights Agent (Filed With SEC on February 4, 2021)
- Form of Restricted Stock Grant Notice and Restricted Stock Purchase Agreement (Filed With SEC on February 1, 2021)
- Note, dated as of April 8, 2020, by and between JPMorgan Chase Bank, N.A. and TSR, Inc (Filed With SEC on April 17, 2020)
- Term Sheet, dated as of April 1, 2020, by and between Zeff Capital, L.P. and TSR, Inc (Filed With SEC on April 6, 2020)
- Loan and Security Agreement dated November 27, 2019 by and among Access Capital, Inc., TSR, Inc., TSR Consulting Services, Inc., Logixtech Solutions, LLC and Eurologix S.A.R.L (Filed With SEC on December 2, 2019)
- Share Repurchase Agreement, dated as of August 30, 2019, by and among TSR, Inc., Christopher Hughes, Zeff Capital, L.P., Zeff Holding Company, LLC, Daniel Zeff, QAR Industries,... (Filed With SEC on September 3, 2019)