0001144204-18-027624.txt : 20180511 0001144204-18-027624.hdr.sgml : 20180511 20180511160211 ACCESSION NUMBER: 0001144204-18-027624 CONFORMED SUBMISSION TYPE: 1-A PUBLIC DOCUMENT COUNT: 36 FILED AS OF DATE: 20180511 DATE AS OF CHANGE: 20180511 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Building Bits Properties I, LLC CENTRAL INDEX KEY: 0001709981 STANDARD INDUSTRIAL CLASSIFICATION: REAL ESTATE [6500] IRS NUMBER: 820619242 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 1-A SEC ACT: 1933 Act SEC FILE NUMBER: 024-10839 FILM NUMBER: 18826810 BUSINESS ADDRESS: STREET 1: 411 NW PARK AVE., SUITE 402 CITY: PORTLAND STATE: OR ZIP: 97209 BUSINESS PHONE: 503-546-4049 MAIL ADDRESS: STREET 1: 411 NW PARK AVE., SUITE 402 CITY: PORTLAND STATE: OR ZIP: 97209 1-A 1 primary_doc.xml 1-A LIVE 0001709981 XXXXXXXX Building Bits Properties I, LLC DE 2017 0001709981 6510 82-0619242 2 0 425 NW 10th Ave Suite 306 Portland OR 97209 503-546-4049 Andrew Stephenson Other 7936.00 0.00 0.00 0.00 7936.00 0.00 0.00 0.00 7936.00 7936.00 0.00 0.00 0.00 -17064.00 -0.68 -0.68 dbbmckennon Common Bits 25000 000000N/A N/A N/A 0 000000N/A N/A N/A 0 000000N/A N/A true true Tier2 Audited Equity (common or preferred stock) Y N N Y N N 50000000 5000 1.0000 50000000.00 0.00 0.00 0.00 50000000.00 dbbmckennon 11000.00 CrowdCheck Law LLP (f/k/a KHLK LLP) 85000.00 49904000.00 true AL AK AZ AR CA CO CT DE FL GA HI ID IL IN IA KS KY LA ME MD MA MI MN MS MO MT NE NV NH NJ NM NY NC ND OH OK OR PA RI SC SD TN TX UT VT VA WA WV WI WY DC PR A0 A1 A2 A3 A4 A5 A6 A7 A8 A9 B0 Z4 AL AK AZ AR CA CO CT DE FL GA HI ID IL IN IA KS KY LA ME MD MA MI MN MS MO MT NE NV NH NJ NM NY NC ND OH OK OR PA RI SC SD TN TX UT VT VA WA WV WI WY DC PR A0 A1 A2 A3 A4 A5 A6 A7 A8 A9 B0 Z4 Building Bits Properties I, LLC Common Bits 25000 0 25000 Section 4(a)(2) PART II AND III 2 tv493263_partiiandiii.htm PART II AND III

 

PRELIMINARY OFFERING CIRCULAR DATED MAY 11, 2018

 

 

Building Bits Properties I, LLC

 

Up to $2,111,614 of Class Xfinity-Williamsport.PA Common Bits with a minimum of $649,113;

Up to $4,541,504 of Class Hollywood12-Portland.OR Common Bits with a minimum of $1,307,409;

Up to $4,023,631 of Class AT&T-Maplewood.MN Common Bits with a minimum of $1,157,569; and

Up to $3,839,905 of Class Sleep Number-Shenandoah.TX Common Bits with a minimum of $1,103,955.

 

Building Bits Properties I, LLC is a newly organized Delaware limited liability company (the “Company”) formed to acquire and manage a portfolio of commercial real estate. Building Bits Properties I, LLC will acquire the properties through wholly-owned subsidiaries. While we intend to primarily invest in commercial real estate properties, we may acquire other types of properties, depending on the availability of suitable acquisition opportunities. Those will be described in future Supplements to the offering statement of which this offering circular forms a part.

 

We will issue Common Units in the Company, which we call “Bits” as distinct classes, each class being limited liability interests in the Company corresponding to a specific commercial real estate property (each, a “Property”). Each class of Common Bits will be bound by the terms of the Operating Agreement of the Company and its respective Bit Designation (each a “Bit Designation”). The proceeds of the offering of each class of Bits will be used to acquire and manage the identified Property. This offering circular will be amended from time to time to identify additional classes of Common Bits available to investors. Each amendment will reflect additional classes of Common Bits, which must be qualified by the Securities and Exchange Commission before any offers or sales of those additional classes are made. We will identify a minimum and maximum subscription amount for each class of Common Bit. Should we not raise the maximum amount for each class of Bit, we intend to leverage the proceeds of the offering of that class of Bit to finance the acquisition of the identified Property, or may choose to use the available proceeds to acquire a fractional ownership of the identified Property.

 

Each class of Common Bits in this offering will represent ownership of the economic rights of each wholly-owned subsidiary that holds title to the specific Property, with profits and losses of the subsidiary flowing up to Bitholders. As such, in the event that the wholly-owned subsidiary to which the class of Common Bits applies incurs a net loss or net profit, investors in that class of Common Bit will receive their pro rata share of that net loss or net profit for tax purposes. Note that distributions from the wholly-owned subsidiary to Building Bits Properties I, LLC may not occur even upon the event of a net profit if funds are not legally available for distribution as a result of expenses incurred at the Company level, or are set aside for future capital improvement to the property owned by the wholly-owned subsidiary. In that event, no distributions will be made from Building Bits Properties I, LLC to investors. When distributions are made to investors, they will be made in accordance with the operating agreement of Building Bits Properties I, LLC and the respective Bit Designation, included as exhibits to this offering statement of which this offering circular is part. As such, each holder of the respective designated Common Bits is entitled to the Bitholder’s pro rata share of any distribution made by the corresponding wholly-owned subsidiary to Building Bits Properties I, LLC after fees have been deducted. Each subsidiary will be managed by our Manager, BuildingBits Asset Management, LLC. BuildingBits Asset Management, LLC will be entitled to a management fee of 1% of the value of assets under management. This fee may be amended without consent of the holders of our Common Bits.

 

BuildingBits Asset Management, LLC is wholly owned and managed by Building Bits Holdings, LLC, which also operates an online platform www.buildingbits.com (the “BuildingBits Platform”) that allows investors to review offering information and place orders for interests in Building Bits Properties I, LLC and future similar offerings. Building Bits Holdings, LLC holds 25,000 Common Bits of Building Bits Properties I, LLC.

 

We are offering various classes of our Common Bits to the public at $1.00 per Bit. Building Bits Properties I, LLC will be limited to raising up to $50,000,000 in any given 12 month period through the sales of various classes of our Common Bits. The minimum investment in our Common Bits for initial purchases is 1,000 Bits, or $1,000. The per Bit purchase price for our Bits was arbitrarily determined by our Manager. We do not intend to list the Bits for trading on a stock exchange or other trading market. However, investors will be able to communicate with each other about their Bits on the BuildingBits Platform. Should an investor selling its interests reach terms with a buyer, any such transaction would be handled outside of the BuildingBits Platform between the buyer and seller. The change in beneficial ownership of those Bits will be reflected on the books and record of Building Bits Properties I, LLC, and those of our transfer agent, Colonial Stock Transfer Company, Inc.

 

We intend to market the offering of our Common Bits primarily through the BuildingBits Platform. Our Manager, and its officers and directors intend to rely on the exemption from registration as a broker-dealer provided by Rule 3a4-1 of the Securities Exchange Act of 1934. Accordingly, our Common Bits will not be available for purchase for residents of the states of Texas, Florida, Arizona, North Dakota, Nebraska, and any other state that requires the Company to register as a dealer of securities, or requires an officer of the Company to register as an agent following passage of a securities agent examination. In the event the company makes arrangements with a broker-dealer to sell into these states, or registers as an issuer-dealer in any particular state, it will file a post-qualification supplement to the Offering Statement of which this Offering Circular is a part identifying such change.

 

The Common Bits in this offering are speculative securities. Investment in the Common Bits involves significant risk. Investors should purchase these securities online only if they can afford a complete loss of their investment.

 

 i  

 

 

You should consider general risks as well as specific risks when deciding whether to invest. See “Risk Factors” beginning on page 5 to read about the more significant risks investors should consider before buying our Common Bits.

   

Class Xfinity-Williamsport.PA Common Bits  Per Bit   Total Minimum   Total Maximum 
                
Public Offering Price  $1.00   $649,113(1)  $2,111,614 

 

(1)This offering is being made on a best efforts basis and will be made on continuous basis as provided by Rule 241(d)(3)(i)(F) for up to one year following the date of qualification by the Commission.

 

 Class Hollywood12-Portland.OR Common Bits  Per Bit   Total Minimum   Total Maximum 
                
Public Offering Price  $1.00   $1,307,409(1)  $4,541,504 

 

(1)This offering is being made on a best efforts basis and will be made on continuous basis as provided by Rule 241(d)(3)(i)(F) for up to one year following the date of qualification by the Commission.

 

Class AT&T-Maplewood.MN Common Bits  Per Bit   Total Minimum   Total Maximum 
                
Public Offering Price  $1.00   $1,157,569(1)  $4,023,631 
                

(1)This offering is being made on a best efforts basis and will be made on continuous basis as provided by Rule 241(d)(3)(i)(F) for up to one year following the date of qualification by the Commission.

 

Class Sleep Number-Shenandoah.TX Common Bits  Per Bit   Total Minimum   Total Maximum 
                
Public Offering Price  $1.00   $1,103,955(1)  $3,839,905 

 

(1)This offering is being made on a best efforts basis and will be made on continuous basis as provided by Rule 241(d)(3)(i)(F) for up to one year following the date of qualification by the Commission.

 

We will offer our Common Bits on a best efforts basis marketed through the BuildingBits Platform. Neither our Manager nor Building Bits Holdings, LLC are member firms of the Financial Industry Regulatory Authority, Inc., or FINRA, and no person associated with us or our Manager will be deemed to be a broker solely by reason of his or her participation in the sale of our Common Bits.

 

THE UNITED STATES SECURITIES AND EXCHANGE COMMISSION DOES NOT PASS UPON THE MERITS OR GIVE ITS APPROVAL OF ANY SECURITIES OFFERED OR THE TERMS OF THE OFFERING, NOR DOES IT PASS UPON THE ACCURACY OR COMPLETENESS OF ANY OFFERING CIRCULAR OR OTHER SOLICITATION MATERIALS. THESE SECURITIES ARE OFFERED PURSUANT TO AN EXEMPTION FROM REGISTRATION WITH THE COMMISSION; HOWEVER, THE COMMISSION HAS NOT MADE AN INDEPENDENT DETERMINATION THAT THE SECURITIES OFFERED ARE EXEMPT FROM REGISTRATION

 

GENERALLY, NO SALE MAY BE MADE TO YOU IN THIS OFFERING IF THE AGGREGATE PURCHASE PRICE YOU PAY IS MORE THAN 10% OF THE GREATER OF YOUR ANNUAL INCOME OR NET WORTH. DIFFERENT RULES APPLY TO ACCREDITED INVESTORS AND NON-NATURAL PERSONS. BEFORE MAKING ANY REPRESENTATION THAT YOUR INVESTMENT DOES NOT EXCEED APPLICABLE THRESHOLDS, WE ENCOURAGE YOU TO REVIEW RULE 251(d)(2)(i)(C) OF REGULATION A. FOR GENERAL INFORMATION ON INVESTING, WE ENCOURAGE YOU TO REFER TO www.investor.gov.

 

AN OFFERING STATEMENT PURSUANT TO REGULATION A RELATING TO THESE SECURITIES HAS BEEN FILED WITH THE SECURITIES AND EXCHANGE COMMISSION. INFORMATION CONTAINED IN THIS PRELIMINARY OFFERING CIRCULAR IS SUBJECT TO COMPLETION OR AMENDMENT. THESE SECURITIES MAY NOT BE SOLD NOR MAY OFFERS TO BUY BE ACCEPTED BEFORE THE OFFERING STATEMENT FILED WITH THE COMMISSION IS QUALIFIED. THIS PRELIMINARY OFFERING CIRCULAR SHALL NOT CONSTITUTE AN OFFER TO SELL OR THE SOLICITATION OF AN OFFER TO BUY NOR MAY THERE BE ANY SALES OF THESE SECURITIES IN ANY STATE IN WHICH SUCH OFFER, SOLICITATION OR SALE WOULD BE UNLAWFUL BEFORE REGISTRATION OR QUALIFICATION UNDER THE LAWS OF SUCH STATE. THE COMPANY MAY ELECT TO SATISFY ITS OBLIGATION TO DELIVER A FINAL OFFERING CIRCULAR BY SENDING YOU A NOTICE WITHIN TWO BUSINESS DAYS AFTER THE COMPLETION OF THE COMPANY’S SALE TO YOU THAT CONTAINS THE URL WHERE THE FINAL OFFERING CIRCULAR OR THE OFFERING STATEMENT IN WHICH SUCH FINAL OFFERING CIRCULAR WAS FILED MAY BE OBTAINED.

 

This Offering Circular follows the Offering Circular Format

 

 ii  

 

 

IMPORTANT INFORMATION ABOUT THIS OFFERING CIRCULAR

 

Please carefully read the information in this offering circular and any accompanying offering circular amendments and supplements, which we refer to collectively as the offering circular. You should rely only on the information contained in this offering circular. We have not authorized anyone to provide you with different information. This offering circular may only be used where it is legal to sell these securities. You should not assume that the information contained in this offering circular is accurate as of any date later than the date hereof or such other dates as are stated herein or as of the respective dates of any documents or other information incorporated herein by reference.

 

This offering circular is part of an offering statement that we filed with the SEC, using a continuous offering process. Periodically, as we identify additional properties to acquire, and authorize additional classes of Common Bits, we will provide an offering circular amendment or supplement that may add, update or change information contained in this offering circular. Any statement that we make in this offering circular will be modified or superseded by any inconsistent statement made by us in a subsequent offering circular amendment or supplement. The offering statement we filed with the SEC includes exhibits that provide more detailed descriptions of the matters discussed in this offering circular. You should read this offering circular and the related exhibits filed with the SEC and any offering circular supplement, together with additional information contained in our annual reports, semi-annual reports and other reports and information statements that we will file periodically with the SEC. See the section entitled “Additional Information” below for more details.

 

The offering circular and all supplements and reports that we have filed or will file in the future can be read at the SEC website, www.sec.gov, or on the BuildingBits Platform website, www.buildingbits.com. The contents of the BuildingBits Platform website (other than the offering statement, this offering circular and the appendices and exhibits thereto) are not incorporated by reference in or otherwise a part of this offering circular.

 

Our Manager and those selling Bits on our behalf in this offering will be permitted to make a determination that the purchasers of Bits in this offering are “qualified purchasers” in reliance on the information and representations provided by the investors regarding the investor’s financial situation. Before making any representation that an investment does not exceed applicable thresholds, we encourage investors to review Rule 251(d)(2)(i)(C) of Regulation A. For general information on investing, we encourage investors to refer to www.investor.gov.

 

 iii  

 

 

TABLE OF CONTENTS

 

IMPORTANT INFORMATION ABOUT THIS OFFERING CIRCULAR iii
   
TABLE OF CONTENTS iv
   
OFFERING SUMMARY 1
   
RISK FACTORS 5
   
DILUTION 15
   
PLAN OF DISTRIBUTION AND SELLING SECURITYHOLDERS 16
   
DESCRIPTION OF THE COMPANY’S BUSINESS 18
   
PROPERTY DESCRIPTION AND USE OF PROCEEDS 19
   
MANAGEMENT 41
   
COMPENSATION OF OUR MANAGER AND AFFILIATES 45
   
SECURITY OWNERSHIP OF MANAGEMENT AND CERTAIN SECURITY HOLDERS 47
   
INTEREST OF MANAGEMENT AND OTHERS IN CERTAIN TRANSACTIONS 48
   
MANAGEMENT’S DISCUSSION AND ANALYSIS 49
   
PRIOR PERFORMANCE SUMMARY 51
   
SECURITIES BEING OFFERED 52
   
U.S. FEDERAL INCOME TAX CONSIDERATIONS 54
   
ERISA CONSIDERATIONS 55
   
FINANCIAL STATEMENTS 58

 

In this offering circular, Building Bits Properties I, LLC is referred to as “us” or “the Company”. Building Bits Asset Management, LLC is referred to as our “Manager”.

 

THIS OFFERING CIRCULAR MAY CONTAIN FORWARD-LOOKING STATEMENTS AND INFORMATION RELATING TO, AMONG OTHER THINGS, THE COMPANY, ITS BUSINESS PLAN AND STRATEGY, AND ITS INDUSTRY. THESE FORWARD-LOOKING STATEMENTS ARE BASED ON THE BELIEFS OF, ASSUMPTIONS MADE BY, AND INFORMATION CURRENTLY AVAILABLE TO THE COMPANY’S MANAGEMENT. WHEN USED IN THE OFFERING MATERIALS, THE WORDS “ESTIMATE,” “PROJECT,” “BELIEVE,” “ANTICIPATE,” “INTEND,” “EXPECT” AND SIMILAR EXPRESSIONS ARE INTENDED TO IDENTIFY FORWARD-LOOKING STATEMENTS, WHICH CONSTITUTE FORWARD LOOKING STATEMENTS. THESE STATEMENTS REFLECT MANAGEMENT’S CURRENT VIEWS WITH RESPECT TO FUTURE EVENTS AND ARE SUBJECT TO RISKS AND UNCERTAINTIES THAT COULD CAUSE THE COMPANY’S ACTUAL RESULTS TO DIFFER MATERIALLY FROM THOSE CONTAINED IN THE FORWARD-LOOKING STATEMENTS. INVESTORS ARE CAUTIONED NOT TO PLACE UNDUE RELIANCE ON THESE FORWARD-LOOKING STATEMENTS, WHICH SPEAK ONLY AS OF THE DATE ON WHICH THEY ARE MADE. THE COMPANY DOES NOT UNDERTAKE ANY OBLIGATION TO REVISE OR UPDATE THESE FORWARD-LOOKING STATEMENTS TO REFLECT EVENTS OR CIRCUMSTANCES AFTER SUCH DATE OR TO REFLECT THE OCCURRENCE OF UNANTICIPATED EVENTS.

 

 iv  

 

 

OFFERING SUMMARY

 

This offering summary highlights information contained elsewhere and does not contain all of the information that investors should consider in making their investment decisions. Before investing in the Company’s Common Bits, investors should carefully read this entire offering circular, including the Company’s financial statements and related notes. Investors should also consider, among other information, the matters described under “Risk Factors” and “Management’s Discussion and Analysis of Financial Condition and Results of Operations”.

 

Building Bits Properties I, LLC

 

General

 

Building Bits Properties I, LLC is a newly organized Delaware limited liability company formed to acquire and manage a portfolio of real properties. The day-to-day operation of each property will be overseen by BuildingBits Asset Management, LLC, our Manager, which is wholly owned by Building Bits Holdings, LLC. Our office is located at 425 NW 10th Ave, Suite 306, Portland, OR, 97209. Information regarding the Company is also available on our web site at www.buildingbits.com.

 

The Platform

 

Information regarding the purchase of our Common Bits in this offering will be available through the online platform located at www.buildingbits.com (the “BuildingBits Platform”). The BuildingBits Platform is owned and operated by Building Bits Holdings, LLC, an affiliated entity that currently owns all of our undesignated Common Bits.

 

Our Wholly-Owned Subsidiaries

 

Each property acquired by Building Bits Properties I, LLC will be owned by a wholly-owned subsidiary of Building Bits Properties I, LLC. These subsidiaries will be structured as limited liability companies organized in the State of Delaware (each a “Property LLC”). This structure is standard within the real estate industry to limit the liabilities of each property from the liabilities of other properties ultimately owned by Building Bits Properties I, LLC. Each Property LLC will also be managed by our Manager, BuildingBits Asset Management, LLC.

 

Organizational Chart

 

For ease of understanding our business structure, we are including an organizational chart below:

 

 1 

 

 

 

Our Common Bits

 

Investors in this offering have the opportunity to purchase Common Bits of Building Bits Properties I, LLC that are classified based on the acquisition of specific properties. The terms of each class of Bits will be covered in a designation (each a “Bit Designation”) corresponding to special economic rights related to the Property LLC that holds title to the specific property. These special economic rights include the right to receive distributions from the wholly-owned subsidiary that flow upwards to Building Bits Properties I, LLC. Additionally, should we dispose of an asset covered by the Bit Designation, each Bitholder will receive their pro rata share of the net proceeds received by Building Bits Properties I, LLC. Upon that event, the class of Bits authorized by that Bit Designation will cease to exist by operation of the Bit Designation.

 

The class of Bits included in this offering circular are our Class Xfinity-Williamsport.PA Common Bits, Class Hollywood12-Portland.OR Common Bits, Class AT&T-Maplewood.MN Common Bits, and Class Sleep Number-Shenandoah.TX Common Bits.

 

Distributions

 

We intend to make distributions to investors of the funds legally available for distribution. Investors may incur their pro rata share of net losses or net gains for tax purposes, even if no funds are legally available for distributions. Distributions will occur when we receive distributions from the wholly-owned subsidiaries that are the Property LLCs relating to a particular class of Bits. Whether a Property LLC is able to distribute funds to us will depend on its current financial situation, including such factors as its generation of revenues greater than expenses, and any capital expenditure requirements. Note that distributions from the Property LLC to Building Bits Properties I, LLC may not occur upon the event of a net profit if funds are not legally available for distribution or are set aside for future capital improvement to the property. In that event, no distributions will be made from Building Bits Properties I, LLC to investors. The determination of whether any funds are available to distribute by the Property LLC is in the complete discretion of the Property LLC manager, BuildingBits Asset Management, LLC. When distributions are made to investors, they will be made in accordance with the operating agreement of Building Bits Properties I, LLC and the respective Bit Designation, included as exhibits to this offering circular. As such, each holder of designated Common Bits is entitled to the holder’s pro rata share of any distribution made by the corresponding wholly-owned subsidiary to Building Bits Properties I, LLC after fees have been deducted.

 

Acquisition Strategy

 

We intend to acquire and operate existing, income-producing properties and newly constructed leased properties. Some newly constructed properties may not yet have tenants. We may acquire each property in its entirety, or a fractional share. Our focus will be to acquire properties that present significant opportunities for current or future income production. We may also acquire properties that present opportunities for capital appreciation, such as in markets with high growth potential. We will use the proceeds from the offering of our Common Bits to acquire each property. Should the amount raised from the sale of Common Bits exceed the minimum investment threshold but not be sufficient to acquire the property outright, we intend to leverage those proceeds and finance the acquisition through the use of non-recourse loans with each Property LLC as the named borrower, and/or acquire a fractional interest in the property. In the event we acquire a fractional interest in the property, we will require that the seller grant to the Manager the right to manage the operations and disposition of the underlying property.

 

 2 

 

 

While we intend that Building Bits Properties I, LLC will hold a diverse portfolio of real estate assets, investors will only hold Common Bits bearing Bit Designations covering specific assets, and would need to acquire Common Bits of various Bit Designations if they wished to diversify their portfolio.

 

Market Opportunities

 

Our Manager will select properties among properties submitted to the company by real estate brokers and independent property owners. The selection criteria for properties are as follows:

 

  · Properties must be commercial properties; no single-family residential or low-unit residential (e.g. 1-4 units). Large, multi-unit apartment properties will be considered.

 

  · Properties must be currently income-producing, with multi-year leases in place.

  

  · Properties may not be “value-add” properties that require extensive repair or refurbishing.

  

Our Manager

 

BuildingBits Asset Management, LLC, our Manager, manages our day-to-day operations. The decisions of the Manager will be made by Alexander Aginsky and Andrei Zverev, who each have authority to act for our Manager. BuildingBits Asset Management, LLC is wholly owned and managed by Building Bits Holdings, LLC.  

 

Fees and Related Expenses

 

Under our operating agreement, we will pay BuildingBits Asset Management, LLC a management fee equal to 1% of the value of the assets currently owned by the Company on an annualized basis. The asset value will be determined by reference to the purchase price asset value, the value based on an annual appraisal, or the value determined by secondary trading of securities on the BuildingBits Platform in accordance with our operating agreement. 

 

BuildingBits Asset Management, LLC is also entitled to a disposition fee of 2.50% of the gross proceeds from the liquidation of any of the properties we have acquired. Each investor’s pro rata portion of the proceeds of any liquidation of specific properties will be based on the net proceeds after the deduction of the disposition fee to BuildingBits Asset Management, LLC and any other obligations of the Property LLC.

 

These fees may be amended at any time without consent of the holders of our Common Bits.

 

Summary Risk Factors Applicable to this Offering

  

  We depend on our Manager to select acquisition opportunities brought to the Company by independent real estate brokers and owners and conduct our operations. Our Manager will earn fees based on the value of the assets held by the Company. The Company and Manager are both owned by Building Bits Holdings, LLC. Fees and expenses set out in this agreement were not determined on an arm’s length basis, and therefore we do not have the benefit of arm’s length negotiations of the type normally conducted between unrelated parties. These fees increase investor risk of loss.

 

  We have no operating history, and as of the date of this offering circular, our total assets consist of a nominal amount of cash. There is no assurance that we will achieve our business objectives.

  

  Our Manager’s executive officers are also officers, directors, managers and/or key professionals of our affiliates. As a result, they will face conflicts of interest, including time constraints and conflicts created by our Manager’s compensation arrangements with us and other affiliates. See “Interest of Management and Other in Certain Transactions” for additional information.

 

  Our Manager may also manage to-be-formed entities with similar business plans to ours, and our Manager does not have an exclusive management arrangement with us.

 

  If we raise substantially less than the maximum offering amount for any particular class of Bits, we may not be able to acquire outright the Properties identified in this offering circular.

 

 3 

 

 

  We may be required to use debt financing to acquire Properties identified in this offering circular. Properties that have been acquired with debt financing will experience greater expenses than those that are not as we will be required to service the loan.

  

  We do not expect to be able to distribute profits to investors until the proceeds from the offering of Bits have been used to acquire Properties and such Properties are generating positive cash flow.

    

  Investors will not be able to communicate with other users about resale of their Bits on the BuildingBits Platform until the offering for the particular class of Common Bit has terminated and the property has been acquired. Even after the offering has terminated, there is no guarantee that any secondary market for our Common Bits will develop.  

 

  Real estate investments are subject to general downturns in the industry as well as downturns in specific geographic areas. We cannot predict what the occupancy level or performance will be for any particular Property. We also cannot predict the future value of our Properties. Accordingly, we cannot guarantee that investors will receive profits from the operations of any particular property.

 

  The Properties we intend to acquire will be subject to risks relating to the volatility in the value of the underlying real estate, default on underlying income streams, fluctuations in interest rates, and other risks associated with the operation of real estate generally.

   

  Investors will be acquiring a class or classes of Common Bits that correspond to the profits and losses from the operation of specific Properties. While Building Bits Properties I, LLC intends to acquire and operate a diverse portfolio of Properties, investor interests in each Bit Designation will not be diversified.

 

  The profits and losses from the Properties owned by us will flow through to investors. Investors are strongly advised to consult their financial and tax advisers to determine if an investment in us makes sense for their specific situation.

 

 4 

 

 

RISK FACTORS

 

An investment in our Common Bits involves substantial risks. Investors should carefully consider the following risk factors in addition to the other information contained in this offering circular before purchasing Bits. The occurrence of any of the following risks might cause investors to lose a significant part of their investment. The risks and uncertainties discussed below are not the only ones we face, but do represent those risks and uncertainties that we believe are most significant to our business, operating results, prospects and financial condition. Some statements in this offering circular, including statements in the following risk factors, constitute forward-looking statements. Please refer to “Statements Regarding Forward-Looking Information” above.

 

We are still subject to all the same risks that all companies in our business, and all companies in the economy, are exposed to. These include risks relating to economic downturns, political and economic events and technological developments (such as hacking and the ability to prevent hacking).

 

Risks Related to an Investment in Building Bits Properties I, LLC

 

We are a brand new company with no prior operating history.

 

Building Bits Properties I, LLC was formed in February 2017 and has no operating history as of the date of this offering circular. While we have a plan for our future operations, there is no track record we can point to for investors to understand our prior performance.

 

Our affiliated entities have no prior performance record.

 

Just as Building Bits Properties I, LLC is a new entrant in the market, the affiliates of Building Bits Holdings, LLC do not have a meaningful track record of involvement in commercial real estate that investors may assess. Even if our affiliates did have such prior experience, that experience would not be indicative of our future performance.

 

Investors purchasing our Common Bits will not be purchasing a diversified portfolio of real estate assets.

 

Investors will be purchasing Common Bits bearing Bit Designations that are tied to the performance of specific real estate assets. While we intend that Building Bits Properties I, LLC will hold a diverse portfolio of assets, investors will not benefit from that diversification in our portfolio.

 

We do not currently own any assets identified in this offering circular.

 

Our business plan requires that we acquire commercial real estate assets. Each asset will be held by a wholly-owned subsidiary of the Company. Investors will purchase Common Bits bearing a Bit Designation related to specific properties. If there is insufficient investor interest in any specific property, then the acquisition will not proceed and investor funds will be released.

 

We may utilize other sources of financing to acquire real estate assets in addition to the funds from this offering.

 

In the sole determination of the Manager, the Company may proceed to acquire a real estate asset using sources of financing other than investor funds in this offering so long as the Company has reached its minimum target amount for any particular class of its Common Bits. Such financing terms may be unfavorable to investors and include high interest rates that reduce the funds available for distribution, as well as holding first position on any liens, reducing the funds available to redeem Common Bits following the disposition of any real estate asset.

 

We may only be able to acquire a fractional interest in an identified property.

 

In the event that we have received more than the minimum investment, we may be faced with the decision to acquire a property outright by leveraging proceeds from the offering with debt, or only acquiring a fractional interest with or without debt financing. While we will require sellers to grant us the right to manage and control the disposition of the property, in the event that we only acquire a fractional interest, we may encounter challenges to our ability to manage the operations of that property.

 

The underlying value and performance of any real estate asset will fluctuate with general and local economic conditions.

 

The successful operation of any real estate asset is significantly related to general and local economic conditions. Periods of economic slowdown or recession, significantly rising interest rates, declining employment levels, decreasing demand for real estate, declining real estate values, or the public perception that any of these events may occur, can result in reductions in the underlying value of any asset and result in poor economic performance. In such cases, investors may lose the full value of their investment, or may not experience any distributions from the real estate asset.

 

 5 

 

 

We will rely on our Manager, BuildingBits Asset Management, LLC to also manage each property.

 

Following the acquisition of any Property, the Property will be managed by our Manager, BuildingBits Asset Management, LLC. BuildingBits Asset Management, LLC will be entitled to certain fees in exchange for its day-to-day operations of each Property. Any compensation arrangements will be determined by Building Bits Holdings, LLC sitting on both sides of the table and will not be an arm’s length transaction.

   

Our ability to implement business strategy will depend on our ability to attract investors for our Common Bits through the BuildingBits Platform.

 

We will market this offering primarily through the BuildingBits Platform, which is owned by Building Bits Holdings, LLC. To date, we have not marketed any securities through the BuildingBits Platform. The success of this offering, and our ability to implement our business strategy, is dependent upon our ability to attract investors for our Common Bits through the BuildingBits Platform. If we do not raise sufficient funds, we may not be able to acquire the Property identified in this offering circular. Alternatively, we may acquire the Property by utilizing debt financing for a portion of the financing of the Property, which may include terms detrimental to investors, or acquire a fraction of the property.

 

If we do not successfully dispose of real estate assets, you may have to hold your investment for an indefinite period.

 

While we intend for investors to place notices for the resale of their Bits through the BuildingBits Platform, there is no guarantee that there will be any buyers for those Bits in secondary transactions. The only other means for investors to liquidate their Bits into cash is through the disposition of a Property. The determination of whether to dispose of Property is entirely in the discretion of our Manager. Even if our Manager decides to dispose of Property, we cannot guarantee that we will be able to dispose of the Property at a favorable price to investors.

 

We have minimal operating capital, no significant assets and no revenue from operations.

 

We have minimal operating capital and for the foreseeable future will be dependent upon our ability to finance our planned operations from the sale of securities or other financing alternatives. There can be no assurance that we will be able to successfully raise operating capital in this or other offerings of securities. The failure to successfully raise operating capital could result in our inability to undertake our business plan and potentially lead to bankruptcy or other events, which would have a material adverse effect on us and our investors. We have no significant assets or financial resources and the value of Common Bits derives only from specific cash flows, so such adverse event could put investor dollars at significant risk.

 

The market in which we participate is competitive and, if we do not compete effectively, our operating results could be harmed.

 

We compete with many other entities engaged in real estate acquisition and operating activities, including but not limited to individuals, corporations, bank and insurance company investment accounts, real estate investment trusts, and private real estate funds. This market is competitive and rapidly changing. We expect competition to persist and intensify in the future, which could harm our ability to acquire properties on terms that investors find to be reasonable.

 

If Building Bits Holdings, LLC or our Manager fails to retain its key personnel, we may not be able to achieve our anticipated level of growth and our business could suffer.

 

Our future depends, in part, on Building Bits Holdings, LLC’s and our Manager’s ability to attract and retain key personnel. Our future also depends on the continued contributions of the executive officers and other key personnel of our Manager, each of whom would be difficult to replace. In particular, Mr. Alexander Aginsky, who is the Chief Executive Officer of Building Bits Holdings, LLC, is critical to the management of our business and operations and the development of our strategic direction. The loss of the services of Mr. Alexander Aginsky or other executive officers or key personnel of Building Bits Holdings, LLC and the process to replace any of those key personnel would involve significant time and expense and may significantly delay or prevent the achievement of our business objectives.

 

We may experience liability at the Building Bits Properties I, LLC entity level that could jeopardize the operations of the company.

 

While debt service obligations, property expenses, and legal liabilities will be the responsibility of each Property LLC, there may be circumstances in which Building Bits Properties I, LLC incurs expenses or becomes a named party to a legal proceeding initiated against a Property LLC. In that event, Building Bits Properties I, LLC may be found liable to creditors or plaintiffs, impacting the company’s ability to continue operations. Such liability at the Building Bits Properties I, LLC entity level would impact holders of all classes of Bits if it prevents us from making distributions to investors in accordance with our Operating Agreement and respective Bit Designations. Further, if Building Bits Properties I, LLC is no longer able to continue operations investors will be harmed.

 

 6 

 

 

Risks Related to Building Bits Holdings, LLC and the BuildingBits Platform

 

Building Bits Holdings, LLC is a development stage company with limited operating history. As a company in the early stages of development, Building Bits Holdings, LLC faces increased risks, uncertainties, expenses and difficulties.

  

Building Bits Holdings, LLC has a limited operating history. For Building Bits Holdings, LLC to be successful, the volume of properties acquired by the Company and managed by BuildingBits Asset Management, LLC will need to increase. The Company intends for current information about offerings and the performance of properties to be available on the BuildingBits Platform, which is operated by Building Bits Holdings, LLC. For the BuildingBits Platform to operate, Building Bits Holdings, LLC will be responsible for maintaining its software and website, expand its customer support services and retain an appropriate number of employees to maintain the operations of the BuildingBits Platform. If our business grows substantially, Building Bits Holdings, LLC may need to make significant new investments in personnel and infrastructure to support that growth. If Building Bits Holdings, LLC is unable to increase the capacity of the BuildingBits Platform and maintain the necessary infrastructure, or if Building Bits Holdings, LLC is unable to make significant investments on a timely basis or at reasonable costs, investors may experience delays in receipt of current information on our Common Bits, periodic downtime of the BuildingBits Platform, or other disruptions to our business and operations.

 

Building Bits Holdings, LLC will need to raise substantial additional capital to fund its operations, and if it fails to obtain additional funding, it may be unable to continue operations.

 

At this early stage in its development, Building Bits Holdings, LLC’s operations have been funded with proceeds from private financings from individual investors. To continue the development of the BuildingBits Platform, Building Bits Holdings, LLC will require substantial additional funds. To meet its financing requirements in the future, either it may raise funds through equity offerings, debt financings or strategic alliances. Raising additional funds may involve agreements or covenants that restrict Building Bits Holdings, LLC’s business activities and options. Additional funding may not be available to it on favorable terms, or at all. If Building Bits Holdings, LLC is unable to obtain additional funds, it may be forced to reduce or terminate its operations. Any inability for Building Bits Holdings, LLC to fund operations could have a substantial and deleterious effect on the viability and operations of the Company.

 

Building Bits Holdings, LLC has incurred net losses in the past and expects to incur net losses in the future.

 

Building Bits Holdings, LLC has incurred net losses in the past and expects to incur net losses in the future. Its failure to become profitable could impair the operations of the BuildingBits Platform by limiting its access to working capital to operate the platform. In addition, it expects its operating expenses to increase in the future as it expands its operations. If Building Bits Holdings, LLC’s operating expenses exceed its expectations, its financial performance could be adversely affected. If its revenue does not grow to offset these increased expenses, it may never become profitable. In future periods, Building Bits Holdings, LLC may not have any revenue growth, or its revenue could decline.

 

 7 

 

 

If Building Bits Holdings, LLC were to enter bankruptcy proceedings, the operation of the BuildingBits Platform and the activities with respect to our operations and business would be interrupted.

 

If Building Bits Holdings, LLC were to enter bankruptcy proceedings or were to cease operations, we may be required to find other persons to manage the operations and business of the Company. Additionally, were Building Bits Holdings, LLC to enter bankruptcy proceedings or cease operations while the Company is still operating, we would be required to find alternatives to the BuildingBits Platform as a mechanism to provide current financial and performance information regarding the Company’s operations.

 

If the security of our investors’ confidential information stored in BuildingBits Platform systems is breached or otherwise subjected to unauthorized access, investors’ secure information may be stolen.

 

The BuildingBits Platform may store investors’ personally-identifiable sensitive data. The BuildingBits Platform is hosted in data centers provided by Microsoft Azure service that are compliant with industry security standards and the website uses daily security monitoring services provided by third party vendors. However, any accidental or willful security breach or other unauthorized access could cause investors’ secure information to be stolen and used for criminal purposes, and investors would be subject to increased risk of fraud or identity theft. Because techniques used to obtain unauthorized access or to sabotage systems change frequently and generally are not recognized until they are launched against a target, the BuildingBits Platform and its third-party hosting facilities may be unable to anticipate these techniques or to implement adequate preventative measures. In addition, many states have enacted laws requiring companies to notify individuals of data security breaches involving their personal data. These mandatory disclosures regarding a security breach are costly to implement and often lead to widespread negative publicity, which may cause our platform users to lose confidence in the effectiveness of our data security measures. Any security breach, whether actual or perceived, would harm our reputation, we could lose investors, and the value of investments in us could be adversely affected. 

 

Any significant disruption in service on the BuildingBits Platform or in its computer systems could reduce the attractiveness of the online platform and result in a loss of users.

 

If a catastrophic event resulted in a platform outage and physical data loss, the BuildingBits Platform’s ability to perform its obligations would be materially and adversely affected. The satisfactory performance, reliability, and availability of the BuildingBits Platform technology and its underlying hosting services infrastructure are critical to our ability to share information, provide customer service, positive reputation and ability to attract new investment opportunities, new investors, and retain existing investors.

  

Risks Related to Conflicts of Interest

 

There are conflicts of interest between us, our Manager and its affiliates.

 

Our Manager’s executive officers, including our Manager’s Chief Executive Officer, Mr. Alexander Aginksy, are principals in the Manager’s parent company, Building Bits Holdings, LLC, which is the parent company of BuildingBits Asset Management, LLC, which provides property management and other services to us. Fees for services of the Manager and affiliates to the Company are not the result of arm’s length negotiations. Some of the conflicts inherent in the Company’s transactions with Building Bits Holdings, LLC and its affiliates, and the limitations on such parties adopted to address these conflicts, are described below. The Company, Building Bits Holdings, LLC and their affiliates will try to balance our interests with their own. However, to the extent that such parties take actions that are more favorable to other entities than us, these actions could have negative impact on our financial performance and, consequently, on distributions to holders of our Common Bits.

 

We have agreed to limit remedies available to us and our investors for actions by our Manager that might otherwise constitute a breach of duty.

 

Our Manager maintains a contractual, as opposed to a fiduciary relationship, with us and our investors. Accordingly, we and our investors will only have recourse and be able to seek remedies against our Manager to the extent it breaches its obligations pursuant to our operating agreement. Furthermore, we have agreed in the operating agreement to limit the liability of our Manager and to indemnify our Manager against certain liabilities. These provisions are detrimental to investors because they restrict the remedies available to them for actions that without those limitations might constitute breaches of duty, including fiduciary duties. By purchasing our Common Bits, investors will be treated as having consented to the provisions set forth in the operating agreement. In addition, we may choose not to enforce, or to enforce less vigorously, our rights under the operating agreement because of our desire to maintain our ongoing relationship with our Manager.

 

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Risks Related to Our Investments

 

Our real estate and real estate-related assets will be subject to the risks typically associated with real estate.

 

The properties we acquire will be subject to the risks typically associated with real estate. The value of real estate may be adversely affected by a number of risks, including:

 

  · natural disasters such as hurricanes, earthquakes and floods;

 

  · acts of war or terrorism, including the consequences of terrorist attacks;

 

  · adverse changes in national and local economic and real estate conditions;

 

  · an oversupply of (or a reduction in demand for) space in the areas where particular properties are located and the attractiveness of particular properties to prospective tenants;

 

  · changes in governmental laws and regulations, fiscal policies and zoning ordinances and the related costs of compliance therewith and the potential for liability under applicable laws;

 

  · costs of remediation and liabilities associated with environmental conditions affecting properties; and

 

  · the potential for uninsured or underinsured property losses.

 

The value of each property is directly related to its ability to generate cash flow and net income, which in turn depends on the amount of rental or other income that can be generated net of expenses required to be incurred with respect to the property. Many expenditures associated with properties (such as operating expenses and capital expenditures) cannot be reduced when there is a reduction in income from the properties.

  

The actual revenues we receive for each Property may be less than estimated, and we may experience a decline in realized revenues from time to time, which could adversely affect the economic performance of our Common Bits.

 

Any particular Property we acquire may not achieve the revenues that we anticipate based on its prior performance and local market. Revenues are tied to the rental rate for each Property. As a result, the economic performance of the Common Bits bearing the Bit Designation for that property could be negatively affected. The potential factors leading to reduced revenues include competitive pricing pressure in the local markets of the real estate assets we acquire as well as general economic downturn and the desirability of our properties compared to other properties. Depending on market rental rates at any given time as compared to expiring leases on each Property, from time to time rental rates for expiring leases may be higher than starting rental rates for new leases. If we are unable to obtain sufficient rental rates for each Property, then our ability to generate cash flow growth will be negatively impacted.

  

We may not be able to rebuild an existing Property to its existing specifications if we experience a substantial or comprehensive loss of a Property.

 

In the event that we experience a substantial or comprehensive loss of one Property, we may not be able to rebuild that Property to its existing specifications. Further, reconstruction or improvement of the Property would likely require significant upgrades to meet zoning and building code requirements. Environmental and legal restrictions could also restrict the rebuilding of a Property.

 

 9 

 

 

A Property that has significant vacancies could be difficult to sell, which could diminish the return on these properties and the related Bits.

 

A Property may incur vacancies either by the expiration of tenant leases or the continued default of tenants under their leases. If vacancies continue for a long period of time, we may suffer reduced revenues resulting in less cash available for distribution to our investors. In addition, the resale value of the Property could be diminished because the market value of each Property will depend principally upon the value of the cash flow generated by the leases associated with that Property. Such a reduction in the resale value of a property could also reduce the value of investor interests.

 

Further, a decline in general economic conditions in the markets in which each Property is located or in the United States generally could lead to an increase in tenant defaults, lower rental rates and less demand for commercial real estate space in those markets. As a result of these trends, we may be more inclined to provide leasing incentives to our tenants in order to compete in a more competitive leasing environment. Such trends may result in reduced revenue and lower resale value of properties, which may reduce your return.

  

We depend on tenants for our revenue, and lease defaults or terminations could reduce our net income and limit our ability to make distributions to our Bitholders.

  

The success of each Property materially depends on the financial stability of our tenants. A default or termination by a tenant on its lease payments to us would cause us to lose the revenue associated with such lease and may require us to find an alternative source of revenue to meet mortgage payments and prevent a foreclosure, if the Property is subject to a mortgage. In the event of a tenant default or bankruptcy, we may experience delays in enforcing our rights as landlord and may incur substantial costs re-leasing the Property. If a tenant defaults on or terminates a lease, we may be unable to lease the Property for the rent previously received or sell the Property without incurring a loss. These events could cause us to reduce the amount of distributions to investors.

 

To the extent we acquire retail properties, our revenue will be significantly impacted by the success and economic viability of our retail anchor tenants. Our reliance on a single tenant or significant tenants in certain buildings may decrease our ability to lease vacated space and adversely affect the returns on our Bitholders’ investment.

 

In the retail sector, a tenant occupying all or a large portion of the gross leasable area of a retail center, commonly referred to as an anchor tenant, may become insolvent, may suffer a downturn in business and default on or terminate its lease, or may decide not to renew its lease. Any of these events would result in a reduction or cessation in rental payments to us from that tenant and would adversely affect our financial condition. A lease termination by an anchor tenant could result in lease terminations or reductions in rent by other tenants whose leases may permit cancellation or rent reduction if an anchor tenant’s lease is terminated. In such event, we may be unable to re-lease the vacated space. Similarly, the leases of some anchor tenants may permit the anchor tenant to transfer its lease to another retailer. The transfer to a new anchor tenant could cause customer traffic in the retail center to decrease and thereby reduce the income generated by that retail center. A lease transfer to a new anchor tenant could also allow other tenants, under the terms of their respective leases, to make reduced rental payments or to terminate their leases. In the event that we are unable to re-lease the vacated space to a new anchor tenant, we may incur additional expenses in order to renovate and subdivide the space to be able to re-lease the space to more than one tenant.

  

Costs imposed pursuant to governmental laws and regulations may reduce our net income and the cash available for distributions to our investors.

 

Real property and the operations conducted on real property are subject to federal, state and local laws and regulations relating to protection of the environment and human health. We could be subject to liability in the form of fines, penalties or damages for noncompliance with these laws and regulations. These laws and regulations generally govern wastewater discharges, air emissions, the operation and removal of underground and above-ground storage tanks, the use, storage, treatment, transportation and disposal of solid and hazardous materials, the remediation of contamination associated with the release or disposal of solid and hazardous materials, the presence of toxic building materials and other health and safety-related concerns. Some of these laws and regulations may impose joint and several liability on the tenants, owners or operators of real property for the costs to investigate or remediate contaminated properties, regardless of fault, whether the contamination occurred prior to purchase, or whether the acts causing the contamination were legal. Activities of our tenants, the condition of properties at the time we buy them, operations in the vicinity of our properties, such as the presence of underground storage tanks, or activities of unrelated third parties may affect our properties. The presence of hazardous substances, or the failure to properly manage or remediate these substances, may hinder our ability to sell, rent or pledge such property as collateral for future borrowings. Any material expenditures, fines, penalties or damages we must pay will reduce our ability to make distributions and may reduce the value of your investment.

 

 10 

 

 

The costs of defending against claims of environmental liability, of complying with environmental regulatory requirements, of remediating any contaminated property or of paying personal injury or other damage claims could reduce the amounts available for distribution to our investors.

 

Under various federal, state and local environmental laws, ordinances and regulations, a current or previous real property owner or operator may be liable for the cost of removing or remediating hazardous or toxic substances on, under or in such property. These costs could be substantial. Such laws often impose liability whether or not the owner or operator knew of, or was responsible for, the presence of such hazardous or toxic substances. Environmental laws also may impose liens on property or restrictions on the manner in which property may be used or businesses may be operated, and these restrictions may require substantial expenditures or prevent us from entering into leases with prospective tenants that may be impacted by such laws. Environmental laws provide for sanctions for noncompliance and may be enforced by governmental agencies or, in certain circumstances, by private parties. Certain environmental laws and common law principles could be used to impose liability for the release of and exposure to hazardous substances, including asbestos-containing materials and lead-based paint. Third parties may seek recovery from real property owners or operators for personal injury or property damage associated with exposure to released hazardous substances and governments may seek recovery for natural resource damage. The costs of defending against claims of environmental liability, of complying with environmental regulatory requirements, of remediating any contaminated property, or of paying personal injury, property damage or natural resource damage claims could reduce the amounts available for distribution to you.

 

We expect that each Property we acquire will be subject to Phase I environmental assessments at the time they are acquired; however, such assessments may not provide complete environmental histories due, for example, to limited available information about prior operations at the properties or other gaps in information at the time we acquire the property. A Phase I environmental assessment is an initial environmental investigation to identify potential environmental liabilities associated with the current and past uses of a given property. If a Property is found to contain hazardous or toxic substances after our acquisition, the value of the Property could decrease below the amount paid for such asset.

 

Costs associated with complying with the Americans with Disabilities Act may decrease cash available for distributions.

 

Each Property we acquire may be subject to the Americans with Disabilities Act of 1990, as amended, or the ADA. Under the ADA, all places of public accommodation are required to comply with federal requirements related to access and use by disabled persons. The ADA has separate compliance requirements for “public accommodations” and “commercial facilities” that generally require that buildings and services be made accessible and available to people with disabilities. The ADA’s requirements could require removal of access barriers and could result in the imposition of injunctive relief, monetary penalties or, in some cases, an award of damages. Any funds used for ADA compliance will reduce our net income and the amount of cash available for distributions to investors.

 

Uninsured losses relating to real property or excessively expensive premiums for insurance coverage could reduce our cash flows and the return on our Bitholders’ investment.

 

There are types of losses, generally catastrophic in nature, such as losses due to wars, acts of terrorism, earthquakes, floods, hurricanes, pollution or environmental matters, that are uninsurable or not economically insurable, or may be insured subject to limitations, such as large deductibles or co-payments. Insurance risks associated with potential acts of terrorism could sharply increase the premiums we pay for coverage against property and casualty claims. Additionally, to the extent we finance the acquisition of a Property, mortgage lenders in some cases insist that commercial property owners purchase coverage against terrorism as a condition for providing mortgage loans. Such insurance policies may not be available at reasonable costs, if at all, which could inhibit our ability to finance or refinance our properties if so required. In such instances, we may be required to provide other financial support, either through financial assurances or self-insurance, to cover potential losses. We may not have adequate coverage for such losses. If any of our properties incurs a casualty loss that is not fully insured, the value of the assets will be reduced by any such uninsured loss, which may reduce the value of investor interests. In addition, other than any working capital reserve or other reserves we may establish, we have no source of funding to repair or reconstruct any uninsured property. Also, to the extent we must pay unexpectedly large amounts for insurance, we could suffer reduced earnings that would result in lower distributions to investors.

 

 11 

 

 

Risks Related to Our Organization and Structure

 

Our investors do not elect or vote on our Manager and have limited ability to influence decisions regarding our business.

 

Our operating agreement provides that the assets, affairs and business of the Company will be managed under the direction of our Manager. Our Bitholders do not elect or vote on our Manager, and, unlike the holders of common shares in a corporation, have only limited voting rights on matters affecting our business, and therefore limited ability to influence decisions regarding our business.

 

Our Bitholders will have limited voting rights and may be bound by either a majority or supermajority vote.

 

Generally, holders of our Common Bits will have voting rights only with respect to certain matters, primarily relating to amendments to our operating agreement that would adversely change the rights of the Common Bits, removal of our Manager for “cause,” and the liquidation of the Company. However, holders of our designated classes of Common Bits will not have the right to vote for removal of our Manager and will only have the right to vote relating to amendments to our operating agreement that would adversely change the rights of the Common Bits, the liquidation of the Company, and amendments to the particular Bit Designation. Each outstanding Common Bit, including designated classes of Bits entitles the holder to one vote on any matter on which the Bitholder is entitled to vote. Generally, matters to be voted on by our Bitholders must be approved by a majority of the votes cast by all Common Bits present in person or represented by proxy, although the vote to remove the Manager for “cause” requires a two-thirds vote. If any vote occurs, Bitholders will be bound by the majority or supermajority vote, as applicable, even if the Bitholder did not vote with the majority or supermajority.

 

Certain provisions of our operating agreement and Delaware law could hinder, delay or prevent a change of control of the Company.

 

Certain provisions of our operating agreement and Delaware law could have the effect of discouraging, delaying or preventing transactions that involve an actual or threatened change of control of the Company. These provisions include the following:

  

  Authorization of additional Bits, issuances of authorized Bits and classification of Bits without Bitholder approval. Our operating agreement authorizes us to issue additional Bits or other securities of the Company for the consideration and on the terms and conditions established by our Manager without the approval of our Bitholders. In particular, our Manager is authorized to provide for the issuance of an unlimited amount of one or more classes or series of our Bits, including preferred Bits, and to fix the number of Bits, the relative powers, preferences and rights, and the qualifications, limitations or restrictions applicable to each class or series thereof by resolution authorizing the issuance of such class or series. Our ability to issue additional Bits and other securities could render more difficult or discourage an attempt to obtain control over the Company by means of a tender offer, merger or otherwise.

 

  Delaware Business Combination Statute—Section 203. Section 203 of the DGCL, which restricts certain business combinations with interested shareholders in certain situations, does not apply to limited liability companies unless they elect to utilize it. Our operating agreement does not currently elect to have Section 203 of the DGCL apply to us. In general, this statute prohibits a publicly held Delaware corporation from engaging in a business combination with an interested shareholder for a period of three years after the date of the transaction by which that person became an interested shareholder, unless the business combination is approved in a prescribed manner. For purposes of Section 203, a business combination includes a merger, asset sale or other transaction resulting in a financial benefit to the interested shareholder, and an interested shareholder is a person who, together with affiliates and associates, owns, or within three years prior did own, 15% or more of voting shares. Our Manager may elect to amend our operating agreement at any time to have Section 203 apply to us.

  

  Exclusive authority of our Manager to amend our operating agreement. Our operating agreement provides that our Manager has the exclusive power to adopt, alter or repeal any provision of the operating agreement, unless such amendment would adversely change the rights of the Common Bits. Thus, our Bitholders generally may not effect changes to our operating agreement.

 

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The offering price of our Common Bits was not established on an independent basis; the actual value of the investment may be substantially less than what investors pay. In the future, when determining the estimated value of our Bits, the value of our Bits will be based upon a number of assumptions that may not be accurate or complete.

 

We established and will establish the offering price of our Common Bits of each class on an arbitrary basis. The selling price of our Bits bears no relationship to our book or asset values or to any other established criteria for valuing Bits. Because the offering price is not based upon any independent valuation, the offering price may not be indicative of the proceeds that investors would receive upon liquidation. Further, the offering price may be significantly more than the price at which the Bits would trade when traded through the BuildingBits Platform.

 

In the event secondary sales of our Common Bits occurs on the BuildingBits Platform, the value of our Bits will have not been determined by the Manager and instead be determined by the purchasers and sellers in a bona fide transaction.

 

Investor interest in the Company will be diluted if we issue additional Bits.

 

While investor interest in specific classes of Common Bits bearing Bit Designations may not be diluted, when we issue additional Bits of a different class, an investor’s interest in the Company overall will be diluted. Under our operating agreement, we have authority to issue an unlimited number of additional Common Bits or other securities, although, under Regulation A, we are only allowed to sell up to $50,000,000 of our Bits in any 12 month period (although we may raise capital in other ways). In particular, our Manager is authorized, subject to the restrictions of Regulation A and other applicable securities laws, to provide for the issuance of an unlimited amount of one or more classes or series of Bits in the Company, including preferred Bits, and to fix the number of Bits, the relative powers, preferences and rights, and the qualifications, limitations or restrictions applicable to each class or series thereof by resolution authorizing the issuance of such class or series, without Bitholder approval.

 

By purchasing Bits in this offering, investors are bound by the governing law, jurisdiction, and class action provision contained in our subscription agreement which limits an investor’s ability to bring class action lawsuits or seek remedy on a class basis.

 

By purchasing Bits in this offering, investors agree to be bound by the governing law and jurisdiction provisions contained in Section 6 of our subscription agreement. Such governing law and jurisdiction provision applies to claims that may be made regarding this offering and, among other things, limits the ability of investors to request trial by jury or seek remedy outside of the State of Oregon.

 

Further, Section 6 of the subscription agreement restricts the ability of individual investors to bring class action lawsuits or to similarly seek remedy on a class basis, unless otherwise consented to by us. These restrictions on the ability to bring a class action lawsuit is likely to result in increased costs, both in terms of time and money, to individual investors who wish to pursue claims against us.

  

Risks Related to Employee Benefit Plans and Individual Retirement Accounts

 

In some cases, if investors fail to meet the fiduciary and other standards under ERISA, the Code or common law as a result of an investment in our Common Bits, investors could be subject to liability for losses as well as civil penalties.

 

There are special considerations that apply to investing in our Common Bits on behalf of pension, profit sharing or 401(k) plans, health or welfare plans, individual retirement accounts or Keogh plans. If an investor is making an investment of the assets of any of the entities identified in the prior sentence in our Common Bits, the investor should satisfy itself that:

 

  the investment is consistent with your fiduciary obligations under applicable law, including common law, ERISA and the Code;

 

 13 

 

 

  the investment is made in accordance with the documents and instruments governing the trust, plan or IRA, including a plan’s investment policy;

 

  the investment satisfies the prudence and diversification requirements of Sections 404(a)(1)(B) and 404(a)(1)(C) of ERISA, if applicable, and other applicable provisions of ERISA and the Code;

 

  the investment will not impair the liquidity of the trust, plan or IRA;

 

  the investment will not produce “unrelated business taxable income” for the plan or IRA;

 

  it will be able to value the assets of the plan annually in accordance with ERISA requirements and applicable provisions of the applicable trust, plan or IRA document; and

 

  the investment will not constitute a prohibited transaction under Section 406 of ERISA or Section 4975 of the Code.

 

Failure to satisfy the fiduciary standards of conduct and other applicable requirements of ERISA, the Code, or other applicable statutory or common law may result in the imposition of civil penalties, and can subject the fiduciary to liability for any resulting losses as well as equitable remedies. In addition, if an investment in our Common Bits constitutes a prohibited transaction under the Code, the “disqualified person” that engaged in the transaction may be subject to the imposition of excise taxes with respect to the amount invested.

 

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DILUTION

 

Dilution means a reduction in value, control, or earnings of the shares the investor owns.

 

As of the date of this offering circular, Buildings Bits Holdings owns 100% of our outstanding Common Bits. Those Bits do not bear any specific Bit Designation. While investors in this offering will be acquiring Common Bits of the Company, the economic rights of the Bits will be based on the specific Bit Designation. 

 

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PLAN OF DISTRIBUTION AND SELLING SECURITYHOLDERS

 

Plan of Distribution

 

We are offering up to $2,111,614 of Class Xfinity-Williamsport.PA Common Bits with a minimum of $649,113, up to $4,541,504 of Class Hollywood12-Portland.OR Common Bits with a minimum of $1,307,409, up to $4,023,631 of Class AT&T-Maplewood.MN Common Bits with a minimum of $1,157569, and up to $3,839,905 of Class Sleep Number-Shenandoah.TX Common Bits with a minimum of $1,103,955 pursuant to this offering circular. This offering circular will be amended from time to time to reflect additional classes of our Common Bits. Our Common Bits being offered hereby will be sold through our efforts and those of our Manager. We intend to use the BuildingBits Platform at www.buildingbits.com in order to inform investors about the availability of our offering. During the course of this offering, we may decide to engage a broker-dealer if doing so would be in our interest. In that event, we will file an offering circular supplement identifying the new broker-dealer arrangements.

 

We will commence the offering of each class of Common Bits promptly after the date this offering circular or a supplement thereto relating to a specific class of Common Bits is qualified by the Commission by posting each project summary relating to a particular Property as a separate landing page on the BuildingBits Platform. We will be acquiring properties from unaffiliated third-party sellers with which we will be entering into listing agreements with a defined time period during which we will have exclusive rights to acquire the property. The offering of each class of Bits is being conducted on a best efforts basis and will remain open until the earlier of (i) the date the particular class of Bit is fully subscribed, or (ii) the date the particular class of Bit is closed in the discretion of the Manager so long as we have received the minimum required investment for that class of Bit within 12 months of the qualification of this offering circular or termination of our exclusivity period under any listing agreement, whichever comes sooner.

 

We reserve the right to reject any investor’s subscription in whole or in part for any reason. If the offering terminates or if any prospective investor’s subscription is rejected, all funds received from such investors will be returned without interest or deduction.

 

Procedure for Subscribing

 

Investors will be able to subscribe to purchase our Class Xfinity-Williamsport.PA Common Bits, Class Hollywood12-Portland.OR Common Bits, Class AT&T-Maplewood.MN Common Bits, and Class Sleep Number-Shenandoah.TX Common Bits through the BuildingBits Platform at www.buildingbits.com. On the BuildingBits Platform, investors will have access to this offering circular and exhibits filed therewith. To subscribe, investors must create an account on the BuildingBits Platform, execute our subscription agreement, and authorize an ACH transfer of $1000 or greater, which will be deposited in an escrow account.

 

Escrow of Funds Prior to Closing

 

Funds contributed by investors will be deposited in an escrow account established by Provident Trust Group, LLC (the “Escrow Agent”). Should we not receive subscriptions for the minimum number of Bits by the date identified above, or not receive the amount due to us in order to acquire the property from the seller by the date identified above, funds will be returned to investors.

 

The Escrow Agent has not investigated the desirability or advisability of investing in our Common Bits, not has the Escrow Agent approved, endorsed, or passed upon the merits of purchasing our Common Bits.

 

Record of Ownership

 

Investors will not receive certificates demonstrating ownership of their Bits. Ownership of our Common Bits will be recorded as book entry securities by Building Bits Properties I, LLC and by Colonial Stock Transfer Company, Inc., our transfer agent.

 

Investment Considerations of our Purchas and Sale Agreement

 

We have entered into a Purchase and Sale Agreement with the seller of each Property. The Purchase and Sale Agreement provides that the seller may terminate the Purchase and Sale Agreement if we do not reach certain milestones in the prescribed period of time.

 

Milestones

 

Following the inclusion of a Property in a qualified offering statement under Regulation A, we will have thirty calendar days to reach the first funding milestone of the greater of two percent of the purchase price of the property, or six percent of the stated funding goal. Following the attainment and expiration of the first funding milestone, we will have thirty days to achieve the second funding milestone of the greater of twelve percent of the purchase price of the property or thirty-five percent of the stated funding goal.

 

 16 

 

 

Transferability of our Common Bits

 

Our Common Bits are generally freely transferable by our Bitholders subject to any restrictions imposed by applicable securities laws or regulations, and our operating agreement. To facilitate transferability of our Common Bits, current information about the Company, including periodic financial and business updates will be made available on the BuildingBits Platform. Buyers and sellers of our Common Bits will be able to use messaging functions to communicate regarding bids for the purchase of Common Bits or asks for the sale of Common Bits. Should any buyer and seller come to terms, any transaction must be effected by the buyer and seller through their own efforts. Resales of a class of Common Bits may not occur while an initial offering of that class of Common Bits is ongoing, or prior to the acquisition of the property.

 

We are currently exploring avenues to assist in the transferability of our Common Bits. We make no guarantee that these efforts will be successful.

 

Any transfer in violation of the operating agreement will be deemed invalid, null and void, and of no force or effect. Any person to whom our Bits are attempted to be transferred in violation of the operating agreement will not be entitled to vote on matters coming before the Bitholders, receive distributions from the Company or have any other rights in or with respect to our Common Bits. We will not have the ability to reject a transfer of our Common Bits where all applicable transfer requirements, including those imposed under the transfer provisions of our operating agreement, are satisfied.

 

Advertising, Sales and other Promotional Materials

 

In addition to this offering circular, subject to limitations imposed by applicable securities laws, we expect to use additional advertising, sales and other promotional materials in connection with this offering. These materials may include information relating to this offering, the past performance of the Company and its affiliates, property brochures, articles and publications concerning real estate, or public advertisements and audio-visual materials, in each case only as authorized by us. In addition, the sales material may contain certain quotes from various publications without obtaining the consent of the author or the publication for use of the quoted material in the sales material. Although these materials will not contain information in conflict with the information provided by this offering circular and will be prepared with a view to presenting a balanced discussion of risk and reward with respect to our Common Bits, these materials will not give a complete understanding of this offering, us or our Common Bits and are not to be considered part of this offering circular. This offering is made only by means of this offering circular and prospective investors must read and rely on the information provided in this offering circular in connection with their decision to invest in our Common Bits. 

 

 17 

 

 

DESCRIPTION OF THE COMPANY’S BUSINESS

 

Our Company

 

Building Bits Properties I, LLC is a newly formed, Manager-managed, limited liability company organized in the State of Delaware. The Company will have a perpetual existence and is governed by the terms of our operating agreement. Our Manager is BuildingBits Asset Management, LLC, which is wholly owned by Building Bits Holdings, LLC.

 

Each property acquired by Building Bits Properties I, LLC will be owned by a wholly-owned subsidiary of Building Bits Properties I, LLC. These subsidiaries will be structured as limited liability companies organized in the State of Delaware (each a “Property LLC”). This structure is standard within the real estate industry to limit the liabilities of each property from the liabilities of other properties ultimately owned by Building Bits Properties I, LLC. This limitation of liability will extend to any financing required for the acquisition of any property as loans will be the liability of each Property LLC.

 

Investors in this offering have the opportunity to purchase Common Bits of Building Bits Properties I, LLC that are classified based on the acquisition of specific properties. The terms of each class of Bits will be covered in a Bit designation (each a “Bit Designation”) corresponding to special economic rights related to the Property LLC that holds title to the specific property. These special economic rights include the right to receive distributions from the wholly-owned subsidiary that flow upwards to Building Bits Properties I, LLC. Additionally, should we dispose of an asset covered by the Bit Designation, investors will automatically receive their pro rata share of the net proceeds of the disposition. Under the terms of the Bit Designation, the holders of that class of Common Bits will automatically withdraw as members of the Company and the class of Bits will cease to exist.

 

We do not intend for the Company to have significant operating expenses that would require the payment of expenses by the Company out of the cash flow of the Property LLCs. Each Property LLC will be responsible for covering expenses relating to any real estate broker commission, legal fees for the Property LLC organization and acquisition of property, property audits and appraisals, among other expenses. In the event that the Company incurs operating expenses, the Company will pay those expenses from the distributions received by each Property LLC prior to distributions being made to Bitholders in accordance with Section 5.13 of the Company’s Operating Agreement. We intend to deduct what is necessary to cover the expenses from the revenues on a pro rata basis based upon the value of the underlying property asset for each Property LLC. For example, if the Company has expenses of $1000, and we have three Property LLCs with real estate assets of $1 million, $1 million, and $2 million, that have each made distributions to the Company in the amounts of $1000, $1000, and $2000, respectively, then we would deduct $250, $250, and $500 prior to distributing the remaining funds to Bitholders whose Bit Designation cover those particular Property LLCs. In the event that a Property LLC distributes funds to the Company that are insufficient to cover its pro rata share of expenses, BuildingBits Asset Management, LLC will cover the cost and will be reimbursed out of the funds received from the deficient Property LLC in future periods.

 

Investors may find out about offerings of the Company, and will be able to acquire our Bits, through the online platform located at www.buildingbits.com (the “BuildingBits Platform”). The BuildingBits Platform is owned and operated by Building Bits Holdings, LLC.

 

Our Management

 

Our Manager under our operating agreement is BuildingBits Asset Management, LLC. Decisions are made by Mr. Alexander Aginsky and Mr. Andrei Zverev. Our Manager is entitled to fees as set out below under “Compensation of our Management”. Investors will not have any role in the day-to-day management of the Company or the acquired properties.

 

Property Selection Criteria

 

Our Manager will select properties among properties submitted to the Company by real estate brokers and independent property owners. The selection criteria for properties is as follows:

 

  · Properties must be commercial properties; no single-family residential or low-unit residential (e.g. 1-4 units). Large, multi-unit apartment properties will be considered.

 

  · Existing properties must be currently income-producing, with multi-year leases in place. Newly constructed properties may be considered even if not yet income-producing.

 

  · Properties may not be “value-add” properties that require extensive repair or refurbishing.

  

  · Properties must be financeable by major lenders.

 

  · Properties must be free of legal disputes, including, but not limited to environmental liability or ongoing litigation.

 

In addition to selecting properties that we may acquire in its entirety, we may also select opportunities that involve the acquisition of a fractional share of a property. If we acquire a fractional interest in any property, we will require that the seller grant to the Manager the right to manage and control the disposition of the property.

 

Intent for Distributions

 

We intend to make distributions to investors of the funds legally available for distribution under the terms of each Bit Designation. Under each Bit Designation, the holders of the Common Bits reflected in the Bit Designation will be entitled to receive distributions when the Company receives distributions from the Property LLC. Distributions will be made on a pro rata basis after fees set out in Section 5.10 of our operating agreement have been deducted, as well as any expenses under Section 5.13. Whether each Property LLC is able to distribute funds to the Company will depend on its current financial situation, including such factors as its generation of revenues greater than expenses, and any capital expenditure requirements. BuildingBits Asset Management, LLC has complete discretion in regards to whether the Property LLC is able to distribute funds to the Company.

 

Leverage on Properties

 

In the event we do not reach the maximum offering amount for any particular class of Common Bits, we intend to use debt financing to acquire each Property, with proceeds from the offering accounting for 25% to 100% of the purchase price of the property. Debt financing will be received by each Property LLC and will be non-recourse debt, secured by the property. Except for industry standard “bad boy” carve-outs that would result in the lender having full-recourse to the Property LLC and the Company, we do not intend for the Company to provide a guarantee to any lender that has provided financing to a Property LLC. The “bad-boy” carve-outs include: (i) fraud or intentional misrepresentation by the borrower; (ii) waste occurring to or on the mortgaged property; (iii) gross negligence or criminal acts of the borrower that result in the forfeiture, seizure or loss of any portion of the mortgaged property; (iv) misapplication or misappropriation of rents, insurance proceeds or condemnation awards received by the borrower after the occurrence and during the continuance of an event of default; and (v) any sale, conveyance, mortgage, grant, bargain, encumbrance, pledge, assignment or transfer of the mortgaged property, or any part thereof, without the prior written consent of the lender.

 

 18 

 

 

PROPERTY DESCRIPTION AND USE OF PROCEEDS

 

WILLIAMSPORT XFINITY PROPERTY

 

Property Overview

 

The property we intend to acquire through the proceeds of this offering of our Common Bits bearing the Class Xfinity-Williamsport.PA Bit Designation is a retail building located at 1954 East 3rd Street, Williamsport, Pennsylvania 17701 (the “Williamsport Xfinity Property”). The property is identified by Lycoming County as part of parcel number 26-010-101. The property is newly constructed and is being built to suit as a Xfinity Store. No tenant has previously occupied the space.

 

 

Image: Exterior view of property

 

 19 

 

 

 

Image: Exterior view of property

 

Building Facts

 

  · Building Size: 4,500 square feet

  · Lot Size: 0.445 acres

  · Rentable Square Feet: 4,500 square feet

  · Number of Stories: 1

  · Building Class: C

  · Year Built: 2018

  · Parking ratio: 5.1/1000 square feet

 

 20 

 

 

 

Image: Site plan

 

+ 

 

Image: Aerial view of building site

 

 21 

 

 

Financial Summary

 

The following financial summary covers certain material information regarding the Williamsport Xfinity Property. As the building is newly constructed with no tenant history, no financial statements for the property are available.

 

  · Acquisition Price: $1,980,500

  · Square Footage: 4,500 square feet

  · Price Per Square Foot: $440,11

  · 2018 Projected Cap Rate: 6.7% (determined by dividing the Net Operating Income by Acquisition Price)

 

Tenant Information

 

The tenant that will occupy the Williamsport Xfinity Property is Comcast of Southeast Pennsylvania, LLC (“Tenant”), a subsidiary of Comcast Corporation operating in the State of Pennsylvania. The Tenant will operate the Williamsport Xfinity Property as an Xfinity Store.

 

Lease Summary

 

A summary of the lease terms of the Tenant is provided below:

   

Lease Execution: September 18, 2017

Rent Commencement Date: The earlier of (1) 120 days after the later of (a) the date the Tenant accepts delivery of the Williamsport Property, or (b) the Tenant receives all local permits to operate; or (2) the date Tenant opens for business.    

Lease Expiration: 7 years from the Rent Commencement Date

Renewal Options: Tenant has the option to renew the lease for two additional periods of 5 years each

 

Period   Monthly Rent     Annual Rent  
Years 1 through 7   $ 11,062.50     $ 132,750.00  
Years 8 through 12 (Renewal option 1)   $ 12,168.75     $ 146,025.00  
Years 13 through 17 (Renewal option 2)   $ 13,385,63     $ 160,627.50  

 

Intended Improvements and Capital Expenditures

 

The property is newly constructed and is anticipated to not require any improvements or capital expenditures within one year of this offering.

 

Property Specific Risks

 

In addition to the risk factors beginning on page 5 of this offering circular, the following risk factors also apply to the identified property:

 

The current tenant may not renew its lease upon expiration, and suitable replacement tenant may not be found. The lease for the current tenant will expire seven years after the tenant takes possession of the property. The tenant has two options to renew the lease for additional five year periods. If the tenant decides to not renew, we will be required to expend resources to seek out a new tenant for the property. There is no guarantee that a suitable tenant will be found that will enter into long-term leases at rates favorable to the Company.

 

Economic conditions may alter the desirability of the Williamsport Xfinity Property. As noted below under “Local Market Overview”, the Williamsport, Pennsylvania economy is in recession, which will limit commercial activity in the region. As other properties become vacant, the tenant may seek options other than the Williamsport Property following the end of the seven year lease.

 

Demographic trends in the Williamsport market are negative, reducing our ability to generate income from the property. From 2011 to 2016 the Williamsport, Pennsylvania Metropolitan Statistical Area population has decreased from approximately 116.7 thousand to 115.2 thousand. At the same time as its unemployment rate has been above the national average. These trends may result in reduced demand for commercial real estate. These events would increase the risk that we would be required to reduce the rental rates on the property, or experience vacancies following the end of the current lease.

 

Tenant Creditworthiness Assessment

 

We have not made an independent evaluation of the tenant creditworthiness for this property. The tenant is a subsidiary of a large, publicly traded company that as of February 28, 2018 has been granted an A3 rating by Moody’s.

 

Local Market Overview

 

Williamsport is a city in, and the county seat of Lycoming County, Pennsylvania. Williamsport is the principal city in the Williamsport, Pennsylvania Metropolitan Statistical Area that has a population of approximately 115 thousand people.

 

Williamsport is the birthplace of Little League Baseball. South Williamsport, a nearby town, is the headquarters of Little League Baseball and annually hosts the Little League World Series in late summer.

 

Summary population and demographic information for the Williamsport, Pennsylvania Metropolitan Statistical Area is as follows:

 

Demographic Profile   Education
2016 Population: 115.2 thousand   2014 High School Diploma or Higher: 87.8%
2011 Population: 116.7 thousand   2014 Bachelor’s Degree or Higher: 21.4%
Percent Change 2011-2016: -1.3%    
Percent Change US 2010-2016: +3.77%   Employment
2014 Median Resident Age: 42.1 years   Williamsport MSA Unemployment Rate: 6.0% (Dec. 2016)
2014 Median Household Income: $45.161   Pennsylvania Unemployment Rate: 5.4% (Dec. 2016)
US Median Age: 37.4 years   US Unemployment Rate: 5.3% (Dec. 2016)

 

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Exclusivity Period

 

We have entered into a Purchase and Sale Agreement with the seller of the Williamsport Xfinity Property, Quattro Williamsport, LLC, on April 24, 2018 through which we will have the exclusive right to acquire the property for the stated acquisition price by meeting certain funding milestone events. This procedure is described in greater detail under “Plan of Distribution” and the Purchase and Sale Agreement has been included as an exhibit to this offering circular.

 

Use of Proceeds

 

The net proceeds of a fully subscribed offering of our Class Xfinity-Williamsport.PA Common Bits, after total offering expenses will be approximately $2,108,535. The corresponding net proceeds for a minimum offering will be approximately $646,033. We plan to use these proceeds as follows:

 

   Minimum Offering
(25% down-payment)
($649,113)
   Mid-Range Offering
(35% down-payment)
($847,163)
   Maximum Offering
(100% down-payment
($2,111,614)
 
Use  Dollar
Amount
   Percentage
of Proceeds
   Dollar
Amount
   Percentage
of Proceeds
   Dollar
Amount
   Percentage
of Proceeds
 
Offering expenses(1)  $3,079.53    0.47%  $3,079.53    0.36%  $3,079.53    0.15%
Acquisition fees(2)  $89,415.00    13.77%  $89,415.00    10.55%  $89,415.00    4.23%
Financing fees  $22,873.25    3.52%  $22,873.25    2.70%        
Cash down payment  $495,125    76.28%  $693,175    81.82%  $1,980,500    93.79%
Any other fees paid to the Manager                        
Reserves - capital expenses (1% of purchase price)  $19,805.00    3.05%  $19,805    2.34%  $19,805    0.94%
Reserves – taxes and insurance (0.95% of purchase price)  $18,814.75    2.90%  $18,814.75    2.22%  $18,814.75    0.89%

 

(1)Offering expenses include anticipated fees due to the selected transfer agent and escrow agent.
(2)Acquisition fees include expenses incurred by the Manager in connection with the selection and acquisition of the property, including legal, and due diligence costs, along with commission paid to BuildingBits Real Estate Services, LLC.

 

Ongoing Performance Information

 

We intend to make available electronically through the BuildingBits Platform regular updates, no less than quarterly, about the operations of the property. These updates will include quarterly unaudited profit and loss statements.

 

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HOLLYWOOD 12 APARTMENTS PROPERTY

 

Property Overview

 

The property we intend to acquire through the proceeds of this offering of our Common Bits bearing the Class Hollywood12-Portland.OR Bit Designation is a large, multi-unit apartment building located at 1728 NW 45th Ave, Portland, OR 92313 (the “Hollywood 12 Apartments Property”). The property is newly constructed and does not yet have any rental history.

 

 

Image: Artist rendering

 

 24 

 

 

 

Image: Anticipated typical floorplan

 

Building Facts

 

  · Building Size: 11,720 square feet
  · Lot Size: 0.11 acres
  · Rentable Square Feet: 9,430 square feet
  · Rentable Housing Units: 12
  · Number of Stories: 3 stories with daylight basement
  · Building Class: Class A apartments
  · Year Built: 2018

 

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Image: Location of property relative to other services and destinations

 

Financial Summary

 

The following financial summary covers certain material information regarding the Hollywood 12 Apartments Property. As the building is newly constructed with no tenant history, no financial statements for the property are available.

  

  · Acquisition Price: $4,370,000
  · Square Footage: 11,720 square feet
  · Price Per Square Foot: $372.87
  · 2018 Projected Cap Rate: 5.16% (determined by dividing the Net Operating Income by Acquisition Price)

 

Tenant Information

 

When completed, the Hollywood 12 Apartments Property will feature 12 rentable housing units with an average size of 896 square feet. Rents will vary based on the type of unit. We anticipate the single one bedroom unit will rent for $1,295, the nine two bedroom units will rent for $1,995, and the two top-floor two bedroom units will rent for $2,195. 

 

Intended Improvements and Capital Expenditures

 

The property is newly constructed and is anticipated to not require any improvements or capital expenditures within one year of this offering.

 

Property Specific Risks

 

In addition to the risk factors beginning on page 5 of this offering circular, the following risk factors also apply to the identified property:

 

The property does not currently have any tenants and we may incur an extended period with vacancies. Prior to being able to generate revenue, we will need to lease the units in the building. If we are unable to rent out the units in the near term, we may incur operating losses that will impact future returns to investors if we are required to obtain loan or other bridge financing to cover costs of the property.

 

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The property will be at the upper end of the apartment rental spectrum. The desired rental rates for the property are at the upper end of the spectrum for its location. As a result, the potential pool of tenants is limited to those able to afford those rental rates.

 

We will face competitive pressures from other properties. The property’s neighborhood contains several average to excellent apartments that create immediate and direct competition for prospective tenants. We will be in direct competition with those apartment buildings and may experience competitive pressure to reduce our desired rental rates. Additionally, we anticipate additional construction over the next several years that will increase such competitive pressure.

 

We have no expense history for the property to evaluate. Tenants will not be responsible for paying for, or contributing to the taxes and expenses for maintenance of the property other than payment of monthly rent. After acquisition, that will be our responsibility. Without any previous operating history, we do not have a record of historical expenses incurrent for the maintenance of the property. Operating expenses discussed in the Management Discussion and Analysis below are estimated expenses, and if actual expenses are not in line with our estimates, that will effect actual net income for the property.

 

We will likely experience annual tenant turnover. As is typical of residential leases, the standard lease term for residents will be for one year. While this allows for us to change rates in response to market conditions, it means that we will likely experience tenant turnover following the expiration of each one-year lease. As a result, we could experience extended periods without the property being fully leased, or would incur expenses marketing the lease availability.

  

Tenant Creditworthiness Assessment

 

We have not made an evaluation of the tenant creditworthiness for this property.

 

Local Market Overview

 

The economy of the Portland, OR region has experienced sustained growth over the past few years. The region has experienced steady population growth as well, growing from approximately 2.26 million in 2011 to 2.42 million in 2016.

 

Portland continues to attract new residents with its job growth rates above national averages.

 

Summary population and demographic information for the Portland-Vancouver-Hillsboro, OR-WA Metropolitan Statistical Area is as follows:

 

Demographic Profile   Education
2016 Population: 2.417 million   2014 High School Diploma or Higher: 91.0%
2011 Population: 2.260 million   2014 Bachelor’s Degree or Higher: 35.7%
Percent Change 2011-2016: 6.9%    
Percent Change US 2010-2016: +3.77%   Employment
2016 Median Household Income: $66,700   Portland-Vancouver-Hillsboro MSA Unemployment Rate: 4.0% (Dec. 2016)
    Oregon Unemployment Rate: 4.3% (Dec. 2016)
    US Unemployment Rate: 5.3% (Dec. 2016)

 

While the Portland region has seen significant population growth over the past few years, there has been a corresponding increase in rental housing available. According to YardiMatrix, Portland rent growth exceeded National rent growth from 2014 through the first half of 2017 as new supply came onto the market.

 

Portland vs. National Rent Growth(1)

 

 27 

 

 

 

 

At the same time, median home prices for the Portland area have risen dramatically. This, along with rising interest rates by the Federal Reserve, we believe will result in reduced demand for purchasing homes, helping to maintain growth in the pool of available tenants in multi-unit apartment buildings.

 

Portland Area Median Home Price(2)

 

 

 

This effect may already be occurring based on the relative stability of rental rates for two-bedroom units compared to one-bedroom units.

 

Portland Area Rent Trends(3)

 

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Additional relevant information:

 

  · Portland Multifamily Rental Vacancy Rate: 5.25% (2017 Q3)(4)
  · Portland Asking Rent Growth: +1.0%, Asking Rent $1,275 (2017 Q3)(4)

 

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  (1) Source: YardiMatrix, Portland’s Surge: Multifamily Report Winter 2018.

 

  (2) Source: YardiMatrix, Portland’s Surge: Multifamily Report Winter 2018.

 

  (3) Source: RentCafe, Portland, OR Rental Market Trends, https://www.rentcafe.com/average-rent-market-trends/us/or/portland/ (last accessed April 20, 2018).

 

  (4) Source: Fannie Mae, Multifamily Metro Outlook: Portland Winter 2018, https://www.fanniemae.com/content/fact_sheet/multifamily-metro-outlook-quarterly-portland.pdf/ (last accessed April 20, 2018).

 

Exclusivity Period

 

We have entered into a Purchase and Sale Agreement with the seller of the Hollywood 12 Apartments Property, The Hollywood 12, LLC, on April 12, 2018. The Purchase and Sale Agreement grants us the exclusive right to acquire the property for the stated acquisition price by meeting certain funding milestone events. This procedure is described in greater detail under “Plan of Distribution” and the Purchase and Sale Agreement has been included as an exhibit to this offering circular.

 

Use of Proceeds

 

The net proceeds of a fully subscribed offering of our Class Hollywood12-Portland.OR Common Bits, after total offering expenses will be approximately $4,535,915. The corresponding net proceeds for a minimum offering will be approximately $1,301,820. We plan to use these proceeds as follows:

 

   Minimum Offering
(25% down-payment)
($1,307,409)
   Mid-Range Offering
(35% down-payment)
($1,744,409)
   Maximum Offering
(100% down-payment
($4,541,504)
 
Use  Dollar
Amount
   Percentage
of Proceeds
   Dollar
Amount
   Percentage
of Proceeds
   Dollar
Amount
   Percentage
of Proceeds
 
Offering expenses(1)  $5,588.50    0.43%  $5,588.50    0.32%  $5,588.50    0.12%
Acquisition fees(2)  $80,700    6.17%  $80,700    4.63%  $80,700    1.78%
Financing fees  $43,405    3.32%  $43,405    2.49%        
Cash down payment  $1,092,500    83.56%  $1,529,500    87.68%  $4,370,000    96.22%
Any other fees paid to the Manager                        
Reserves - capital expenses (1% of purchase price)  $43,700    3.34%  $43,700    2.51%  $43,700    0.96%
Reserves – taxes and insurance (0.95% of purchase price)  $41,515    3.18%  $41,515    2.38%  $41,515    0.91%

 

(1)Offering expenses include anticipated fees due to the selected transfer agent and escrow agent.
(2)Acquisition fees include expenses incurred by the Manager in connection with the selection and acquisition of the property, including legal, and due diligence costs, along with commission paid to BuildingBits Real Estate Services, LLC.

 

Ongoing Performance Information

 

We intend to make available electronically through the BuildingBits Platform regular updates, no less than quarterly, about the operations of the property. These updates will include quarterly unaudited profit and loss statements.

 

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MAPLEWOOD AT&T PROPERTY

 

Property Overview

 

The property we intend to acquire through the proceeds of this offering of our Common Bits bearing the Class AT&T-Maplewood.MN Bit Designation is a freestanding retail property located within the Maplewood Mall complex at 3070 White Bear Ave., Maplewood, MN 55109 (the “Maplewood AT&T Property”). Maplewood is part of the Minneapolis-St. Paul MSA. The property is newly constructed and the tenant first occupied the location beginning in November 2017.

 

 

 

Image: Maplewood AT&T Site

 

Building Facts

 

  · Building Size: 4,305 square feet
  · Lot Size: 0.59 acres
  · Number of Stories: 1
  · Year Built: 2017
  · Parking ratio: 8.4/1000 square feet

 

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Image: Location of property relative to other services and destinations

  

Financial Summary

 

The following financial summary covers certain material information regarding the Maplewood AT&T Property. As the property has been occupied by its first tenant for more than three months and less than nine months, an unaudited income statement for the period ended December 31, 2017 is being provided as well.

 

  · Acquisition Price: $3,875,000
  · Square Footage: 4,305 square feet
  · Price Per Square Foot: $880
  · 2018 Projected Cap Rate: 6.08% (determined by dividing the Net Operating Income by Acquisition Price)

 

Tenant Information

 

The tenant currently occupies the Maplewood AT&T Property is New Cingular Wireless PCS, LLC (“Tenant”), a subsidiary of AT&T, Inc. The Tenant took possession of the property in November 2017 and operates Maplewood AT&T Property as an AT&T Store.

 

Lease Summary

 

A summary of the lease terms of the Tenant is provided below:

   

Original Lease Execution: May 19, 2016

Rent Commencement Date: November 1, 2017    

Lease Expiration: 10 years from the Rent Commencement Date

Renewal Options: Tenant has the option to renew the lease for two additional periods of 5 years each

Rent Components: Rent is composed of the Fixed Rent and Additional Rent. The Fixed Rent rates are identified below. The Additional Rent includes the Tenant’s proportionate share of taxes, insurance, and operating expenses of the property. 

 

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Fixed Rent
Period   Monthly Rent     Annual Rent  
Years 1 through 5   $ 19,647.92     $ 236,775.00  
Years 6 through 10   $ 21,704.33     $ 260,452.50  
Years 11 through 15 (Renewal option 1)   $ 23,874.81     $ 286,497.75  
Years 16 through 20 (Renewal option 2)   $ 26,262.29     $ 315,169.05  

 

Intended Improvements and Capital Expenditures

 

The property is newly constructed and is anticipated to not require any improvements or capital expenditures within one year of this offering.

 

Property Specific Risks

 

In addition to the risk factors beginning on page 5 of this offering circular, the following risk factors also apply to the identified property:

 

The current tenant may not renew its lease upon expiration, and suitable replacement tenant may not be found. The lease for the current tenant will expire in 10 years from November 2017. If the tenant decides to not renew, we will be required to expend resources to seek out a new tenant for the property. There is no guarantee that a suitable tenant will be found that will enter into long-term leases at rates favorable to the Company.

 

Declining performance of nearly retailers could negatively impact operations of the property. We believe that the location of the property within the Maplewood Mall complex will be favorable to the tenant. However, should anchor tenants within the Maplewood Mall go out of business, or consumers change their purchasing habits, the tenant may decide that it no longer desires to operate at this location and choose to breach the lease agreement, potentially creating increased costs for us to protect our interests under the lease, and maintain the property without tenant contributions.

  

Tenant Creditworthiness Assessment

 

We have not made an evaluation of the tenant creditworthiness for this property. The tenant is a subsidiary of a large, publicly traded company that as of October 24, 2016 has been granted an Baa1 rating by Moody’s.

  

Local Market Overview

 

Maplewood, MN is sited within the Minneapolis-St. Paul, MN-WI MSA. The region has experienced steady population growth as well, growing from approximately 2.26 million in 2011 to 2.42 million in 2016.

 

The Minneapolis-St. Paul region continues to attract new residents with its unemployment rate below the national average.

 

Summary population and demographic information for the Minneapolis-St. Paul, MN-WI Metropolitan Statistical Area is as follows:

 

Demographic Profile   Education
2016 Population: 3.04 million   2016 High School Diploma or Higher: 93.5%
2011 Population: 2.89 million   2016 Bachelor’s Degree or Higher: 40.6%
Percent Change 2011-2016: 6.7%    
Percent Change US 2010-2016: +3.77%   Employment
2016 Median Household Income: $73,231   Minneapolis-St. Paul, MN-WI MSA Unemployment Rate: 3.5% (Dec. 2016)
    Oregon Unemployment Rate: 3.9% (Dec. 2016)
    US Unemployment Rate: 5.3% (Dec. 2016)

 

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Along with its growing population, the Minneapolis-St. Paul area, and Maplewood in particular have seen rising asking prices for retail buildings. According to LoopNet, per square foot asking prices for retail buildings in Maplewood, MN have increased from approximately $105 per square foot to $125 per square foot from Q1 2014 to Q2 2016.

 

Asking Prices for Maplewood Retail for Sale(1)

 

 

 

Rental rates for retail buildings have increased over the same time-period but not to as significant a degree.

 

Asking Prices for Maplewood Retail For Rent(2)

 

 

 

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  (1) Source: LoopNet

 

  (2) Source: LoopNet.

 

Exclusivity Period

 

We have entered into a Purchase and Sale Agreement with the seller of the Maplewood AT&T Property, Maplewood Partners, LLC, on April 12, 2018. The Purchase and Sale Agreement grants us the exclusive right to acquire the property for the stated acquisition price by meeting certain funding milestone events. This procedure is described in greater detail under “Plan of Distribution” and the Purchase and Sale Agreement has been included as an exhibit to this offering circular.

 

Use of Proceeds

 

The net proceeds of a fully subscribed offering of our Class AT&T-Maplewood.MN Common Bits, after total offering expenses will be approximately $4,018,563. The corresponding net proceeds for a minimum offering will be approximately $1,152,500. We plan to use these proceeds as follows:

 

   Minimum Offering
(25% down-payment)
($1,157,569)
   Mid-Range Offering
(35% down-payment)
($1,545,069)
   Maximum Offering
(100% down-payment
($4,023,631)
 
Use  Dollar
Amount
   Percentage
of Proceeds
   Dollar
Amount
   Percentage
of Proceeds
   Dollar
Amount
   Percentage
of Proceeds
 
Offering expenses(1)  $5,068.75    0.44%  $5,068.75    0.33%  $5,068.75    0.13%
Acquisition fees(2)  $75,750    6.54%  $75,750    4.90%  $75,750    1.88%
Financing fees  $40,187.50    3.47%  $40,187.50    2.60%        
Cash down payment  $968,750    83.69%  $1,356,250    87.78%  $3,875,000    96.31%
Any other fees paid to the Manager                        
Reserves - capital expenses (1% of purchase price)  $38,750    3.35%  $38,750    2.51%  $38,750    0.96%
Reserves – taxes and insurance (0.75% of purchase price)  $29,062.50    2.51%  $29,062.50    1.88%  $29,062.50    0.72%

 

 

(1)Offering expenses include anticipated fees due to the selected transfer agent and escrow agent.
(2)Acquisition fees include expenses incurred by the Manager in connection with the selection and acquisition of the property, including legal, and due diligence costs, along with commission paid to BuildingBits Real Estate Services, LLC.

 

Ongoing Performance Information

 

We intend to make available electronically through the BuildingBits Platform regular updates, no less than quarterly, about the operations of the property. These updates will include quarterly unaudited profit and loss statements.

 

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SHENANDOAH SLEEP NUMBER PROPERTY

 

Property Overview

 

The property we intend to acquire through the proceeds of this offering of our Common Bits bearing the Class Sleep Number-Shenandoah.TX Bit Designation is a freestanding retail property located in the Shenandoah/Woodlands area of Montgomery County, Texas at 18440 Interstate 45 S, Shenandoah, TX 77384 (the “Shenandoah Sleep Number Property”). The property is newly constructed and the tenant first occupied the location beginning in March 2018.

 

 

 

Image: Shenandoah Sleep Number Site

 

Building Facts

 

  · Building Size: 4,000 square feet
  · Lot Size: 1.02 acres
  · Number of Stories: 1
  · Year Built: 2018
  · Parking ratio: 5.5/1000 square feet

 

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Image: Location of property relative to other services and destinations

  

Financial Summary

 

The following financial summary covers certain material information regarding the Shenandoah Sleep Number Property. As the building is newly constructed with limited tenant history, no financial statements for the property are available.

 

  · Acquisition Price: $3,700,000
  · Square Footage: 4,000 square feet
  · Price Per Square Foot: $925
  · 2018 Projected Cap Rate: 6.00% (determined by dividing the Net Operating Income by Acquisition Price)

 

Tenant Information

 

The tenant that will occupy the Shenandoah Sleep Number Property is Select Comfort Retail Corporation D/B/A Sleep Number (“Tenant”), a subsidiary of Sleep Number Corporation. The Tenant will operate the Shenandoah Sleep Number Property as a Sleep Number Store.

 

Lease Summary

 

A summary of the lease terms of the Tenant is provided below:

   

Original Lease Execution: April 10, 2017

Rent Commencement Date: March 20, 2018   

Lease Expiration: 10 years from the Rent Commencement Date

Renewal Options: Tenant has the option to renew the lease for two additional periods of 5 years each

Rent Components: Rent is composed of the Minimum Rent and Additional Rent. The Minimum Rent rates are identified below. The Additional Rent includes the Tenant’s proportionate share of common area expenses, taxes, and insurance for the property. 

 

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Minimum Rent
Period   Monthly Rent     Annual Rent  
Years 1 through 5   $ 18,500.00     $ 222,000.00  
Years 6 through 10   $ 20,350.00     $ 244,200.00  
Years 11 through 15 (Renewal option 1)   $ 23,353.33     $ 268,240.00  
Years 16 through 20 (Renewal option 2)   $ 24,626.67     $ 295,520.00  

 

Intended Improvements and Capital Expenditures

 

The property is newly constructed and is anticipated to not require any improvements or capital expenditures within one year of this offering.

 

Property Specific Risks

 

In addition to the risk factors beginning on page 5 of this offering circular, the following risk factors also apply to the identified property:

 

The current tenant may not renew its lease upon expiration, and suitable replacement tenant may not be found. The lease for the current tenant will expire in 10 years on March 31, 2028. If the tenant decides to not renew, we will be required to expend resources to seek out a new tenant for the property. There is no guarantee that a suitable tenant will be found that will enter into long-term leases at rates favorable to the Company.

 

The destination location nature of the property site will create challenges if we are required to fill a tenant vacancy. While the property location is within a commercial area that receives a steady amount of consumer traffic, the particular location is more likely to be a destination location by which consumers have chosen to go to the property. Should the tenant decide that it is no longer desirable to operate at this location and choose to breach the lease agreement, we could experience challenges filling the vacancy. Asserting out rights under the lease may prove costly.

  

Tenant Creditworthiness Assessment

 

We have not made an evaluation of the tenant creditworthiness for this property. The tenant is a subsidiary of a large, publicly traded company.

 

Local Market Overview

 

Shenandoah, TX is sited within Montgomery County and part of the Houston-The Woodlands-Sugar Land, TX MSA, the fourth most populous MSA in the United States with a population of over 6 million. Montgomery County itself has a population of approximately 556,000. The region has experienced steady population growth as well, growing from approximately 6.05 million in 2011 to 6.77 million in 2016.

 

The Houston region continues to attract new residents with its median household income above the national average.

 

Summary population and demographic information for the Houston-The Woodlands-Sugar Land, TX Metropolitan Statistical Area is as follows:

 

Demographic Profile   Education
2016 Population: 6.77 million   2016 High School Diploma or Higher: 83.3%
2011 Population: 6.05 million   2016 Bachelor’s Degree or Higher: 32.0%
Percent Change 2011-2016: 11.9%    
Percent Change US 2010-2016: +3.77%   Employment
2016 Median Household Income: $61,708   Houston-The Woodlands-Sugar Land, TX MSA Unemployment Rate: 5.3% (Dec. 2016)
    Texas Unemployment Rate: 4.8% (Dec. 2016)
    US Unemployment Rate: 5.3% (Dec. 2016)

 

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Along with its growing population, the Houston region, and the Montgomery County area in particular have seen rising asking prices for retail buildings. According to LoopNet, per square foot asking prices for retail buildings in Montgomery County have increased from approximately $180 per square foot to $240 per square foot from Q1 2014 to Q2 2016.

 

Asking Prices for The Woodlands in Montgomery County, TX Retail for Sale(1)

 

 

 

Rental rates for retail buildings have increased over the same time-period but not to as significant a degree.

 

Asking Prices for The Woodlands in Montgomery County, TX Retail For Rent(2)

 

 

 

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  (1) Source: LoopNet

 

  (2) Source: LoopNet.

 

Exclusivity Period

 

We have entered into a Purchase and Sale Agreement with the seller of the Shenandoah Sleep Number Property, D3 Shenandoah, LLC, on April 27, 2018. The Purchase and Sale Agreement grants us the exclusive right to acquire the property for the stated acquisition price by meeting certain funding milestone events. This procedure is described in greater detail under “Plan of Distribution” and the Purchase and Sale Agreement has been included as an exhibit to this offering circular.

 

Use of Proceeds

 

The net proceeds of a fully subscribed offering of our Class Sleep Number-Shenandoah.TX Common Bits, after total offering expenses will be approximately $3,835,050. The corresponding net proceeds for a minimum offering will be approximately $1,099,100. We plan to use these proceeds as follows:

 

   Minimum Offering
(25% down-payment)
($1,103,955)
   Mid-Range Offering
(35% down-payment)
($1,473,955)
   Maximum Offering
(100% down-payment
($3,839,905)
 
Use  Dollar
Amount
   Percentage
of Proceeds
   Dollar
Amount
   Percentage
of Proceeds
   Dollar
Amount
   Percentage
of Proceeds
 
Offering expenses(1)  $4,855    0.44%  $4,855    0.33%  $4,855    0.13%
Acquisition fees(2)  $74,000    6.70%  $74,000    5.02%  $74,000    1.93%
Financing fees  $39,050    3.54%  $39,050    2.65%        
Cash down payment  $925,000    83.79%  $1,295,000    87.86%  $3,700,000    96.36%
Any other fees paid to the Manager                        
Reserves - capital expenses (1% of purchase price)  $37,000    3.35%  $37,000    2.51%  $37,000    0.96%
Reserves – taxes and insurance (0.65% of purchase price)  $24,050    2.18%  $24,050    1.63%  $24,050    0.63%

 

 

(1)Offering expenses include anticipated fees due to the selected transfer agent and escrow agent.
(2)Acquisition fees include expenses incurred by the Manager in connection with the selection and acquisition of the property, including legal, and due diligence costs, along with commission paid to BuildingBits Real Estate Services, LLC.

 

Ongoing Performance Information

 

We intend to make available electronically through the BuildingBits Platform regular updates, no less than quarterly, about the operations of the property. These updates will include quarterly unaudited profit and loss statements.

 

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MANAGEMENT

 

Our Manager

 

We operate under the direction of our Manager, which is responsible for directing the management of our business and affairs, managing our day-to-day affairs, and implementing our asset acquisition strategy. The Manager and its officers and directors are not required to devote all of their time to our business and are only required to devote such time to our affairs as their duties require.

 

Our Manager will select commercial real estate acquisition opportunities, and present those opportunities to investors through amendments or supplements to this offering circular. Following the receipt of sufficient investment capital to acquire whole or fractional interests in properties outright or through the use of debt financing, our Manager will complete the acquisition transaction, whereby title to the Property will be held by a wholly-owned subsidiary of the Company. Our Manager, BuildingBits Asset Management, LLC will then be engaged for the day-to-day management of the acquired Property.

 

Our Manager performs its duties and responsibilities pursuant to our operating agreement. Our Manager maintains a contractual, as opposed to a fiduciary relationship, with us and our Bitholders. Furthermore, we have agreed to limit the liability of our Manager and to indemnify our Manager against certain liabilities.

 

Responsibilities of our Manager

 

The responsibilities of our Manager include:

 

Asset Acquisition and Operations Services

 

  Approve and oversee our overall investment strategy, which will consist of elements such as asset selection criteria, diversification strategies, operation of assets, and asset disposition strategies;
  serve as our investment and financial manager with respect to sourcing, acquiring, financing, servicing, and managing a diversified portfolio of commercial real estate assets;
  undertake the formation of subsidiary entities to hold title to specific properties;
  structure the terms and conditions of our acquisitions, sales and joint ventures;
  enter into leases and service contracts for the properties;
  approve and oversee our debt financing strategies;
  approve joint ventures, limited partnerships and other such relationships with third parties;
  approve any potential liquidity transaction;
  obtain market research and economic and statistical data in connection with real estate asset acquisition strategies;
  oversee and conduct the due diligence process related to prospective acquisitions;
  prepare reports regarding prospective acquisitions that include recommendations and supporting documentation necessary for preparation of any offering statement; and
  negotiate and execute approved acquisitions and other transactions.

 

Offering Services

 

  Develop this offering, including the determination of the specific terms of each class of Common Bits;
  prepare and approve all marketing materials to be used by us relating to this offering;
  negotiate and coordinate the receipt, collection, processing and acceptance of subscription agreements, commissions, and other administrative support functions;
  create and implement various technology and electronic communications related to this offering; and
  all other services related to this offering.

 

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Asset Management Services

 

  Investigate, select, and, on our behalf, engage and conduct business with such persons as our Manager deems necessary to the proper performance of its obligations under our operating agreement, including but not limited to consultants, accountants, real estate brokers, lenders, technical managers, attorneys, corporate fiduciaries, escrow agents, depositaries, custodians, agents for collection, insurers, insurance agents, developers, construction companies and any and all persons acting in any other capacity deemed by our Manager necessary or desirable for the performance of any of the services under our operating agreement;
  monitor applicable markets and obtain reports (which may be prepared by our Manager or its affiliates) where appropriate, concerning the value of our investments;
  monitor and evaluate the performance of our investments, provide daily management services to us and perform and supervise the various management and operational functions related to our investments;
  formulate and oversee the implementation of strategies for the administration, promotion, management, operation, maintenance, improvement, financing and refinancing, marketing, leasing and disposition of investments on an overall portfolio basis; and
  coordinate and manage relationships between us and any joint venture partners.
     

Accounting and Other Administrative Services

 

  Manage and perform the various administrative functions necessary for our day-to-day operations;
  provide or arrange for administrative services, legal services, office space, office furnishings, personnel and other overhead items necessary and incidental to our business and operations;
  provide financial and operational planning services and portfolio management functions;
  maintain accounting data and any other information concerning our activities as will be required to prepare and to file all periodic financial reports and returns required to be filed with the SEC and any other regulatory agency, including annual financial statements;
  maintain all appropriate company books and records;
  oversee tax and compliance services and risk management services and coordinate with appropriate third parties, including independent accountants and other consultants, on related tax matters;
  supervise the performance of such ministerial and administrative functions as may be necessary in connection with our daily operations;
  provide us with all necessary cash management services;
  manage and coordinate with the transfer agent, if any, the process of making distributions and payments to Bitholders;
  evaluate and obtain adequate insurance coverage based upon risk management determinations;
  provide timely updates related to the overall regulatory environment affecting us, as well as managing compliance with regulatory matters;
  evaluate our corporate governance structure and appropriate policies and procedures related thereto; and
  oversee all reporting, record keeping, internal controls and similar matters in a manner to allow us to comply with applicable law.

 

Bitholder Services

 

  Calculate and determine our distribution policy and authorize distributions from time to time;
  approve amounts available for redemptions of our Common Bits;
  manage communications with our Bitholders, including answering phone calls, preparing and sending written and electronic reports and other communications; and
  establish technology infrastructure to assist in providing Bitholder support and services.

 

Financing Services

 

  Identify and evaluate potential financing and refinancing sources, engaging a third party broker if necessary;
  negotiate terms of, arrange and execute financing agreements;
  manage relationships between us and our lenders, if any; and
  monitor and oversee the service of our debt facilities and other financings, if any.

 

Disposition Services

 

  Evaluate and approve potential asset dispositions, sales or liquidity transactions;
  hire real estate brokers to facilitate a search for buyers; and
  structure and negotiate the terms and conditions of transactions pursuant to which our assets may be sold.

 

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Executive Officers of Building Bits Holdings, LLC

 

While the Company is managed by BuildingBits Asset Management, LLC, that entity is managed by Building Bits Holdings, LLC, which is ultimately responsible for the management of the Company. As of the date of this offering circular, the executive officers of Building Bits Holdings, LLC and their positions and offices are as follows:

 

Name   Age   Position
Alexander Aginsky   40   Chief Executive Officer
Andrei Zverev   53   Chief Operating Officer

 

Alexander Aginsky - Chief Executive Officer

 

Mr. Alexander Aginsky is a Founder, Principal Shareholder, and Chief Executive Officer of Building Bits Holdings, LLC, and BuildingBits Asset Management, LLC. Mr. Aginsky is a serial entrepreneur, investor, consultant, and seasoned executive with 20 years of experience in private equity, venture capital, and commercial real estate. Prior to founding BuildingBits in 2016, Mr. Aginsky was the Managing Director of Aginsky Capital Group (and affiliated entities, part of Aginsky Group of Companies), a cross-border business advisory and asset management firm focused on helping international investors with selecting quality commercial real estate assets in the U.S., conducting due diligence, negotiating terms, structuring deals, obtaining financing, engaging in real estate brokerage and property management services. Aginsky Companies were first founded in 1997, and for over a decade the firm focused on creating value for its clients through unique cross-border investment strategies, primarily into commercial real estate structures. Mr. Aginsky’s work with global investors has been internationally recognized with regular features in various noteworthy publications like CNBC, Euronews, Reuters, Moscow Times, and many others. 

 

Mr. Aginsky received his B.A. in International Affairs from Lewis and Clark College, earned an MBA degree in International Business Management from Thunderbird, The School of Global Management in 2003, and graduated from Harvard Business School (OPM Program) in 2017.

 

Andrei Zverev – Chief Operations Officer

 

Mr. Andrei Zverev is currently serving in the capacity of a Chief Operating Officer. He has served in that position since the inception of the company in 2017. Prior to joining the BuildingBits team, Mr. Zverev worked as a consulting business development director for Plutus Financial, dba ABRA, a blockchain-based payments technology company based in the Silicon Valley from May 2016 until January 2017. Prior to that, Mr. Zverev served as the Managing Director of Pacific Bridge Ventures, LLC, a Seattle real estate investment company since 2014, overseeing the company’s investments focusing on value-added residential properties. Prior to that, Mr. Zverev was President and CEO at Moneta Express Corp, an international payments and electronic funds transfer company headquartered in Seattle, WA from 2004 until July 2015. The company was one of the first to introduce a mobile wallet money transfer platform in the U.S. market.  Mr. Zverev’s prior experience includes working in various senior management positions at payments technology and financial services companies. Additionally, Mr. Zverev has been an advisor for start-ups.

 

Mr. Zverev received his Master’s Degree in International Relations from the Fletcher School of Law and Diplomacy administered by Tufts and Harvard Universities.

 

Advisory Relationships

 

Building Bits Holdings, LLC has entered into a formal advisory relationships with several distinguished scholars and industry experts, including Dr. Richard Swart, a leading crowdfunding industry expert and founding board member of the Crowdfunding Professional Association (CfPA) and the Crowdfunding Intermediary Regulatory Advocates (CIFRA) and a former Berkeley professor. Additionally, the Company has also retained the services of Dr. Frank Cespedes, a Harvard Business School professor, and the former Managing Partner (for 12 years) at the Center for Executive Development, a firm that won awards in the United States and in Europe for its work with Fortune-1000 companies worldwide. Dr. Cespedes has consulted companies in information technology, professional services, retailing, and financial services; and has been a Board member of Evenflo, HALO Industries, GrowthPlay, start-up firms, and the Education for Employment Foundation.

 

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Compensation of Executive Officers

 

We do not currently have any employees nor do we currently intend to hire any employees who will be compensated directly by us. Our Manager will receive a management fee based on the value of the assets under management. This fee is currently set at 1.0% of assets under management, but may be increased to 1.50%. Our Manager will then compensate its employees from that fee and will not have recourse to require additional fees from the Company if the fees do not cover its expenses. Any net revenue received by Building Bits Holdings, LLC as distributions from our Manager will then be available for the expenses of Building Bits Holdings, LLC, including compensation of Mr. Alexander Aginsky and Mr. Andrei Zverev. It is anticipated that Mr. Aginsky and Mr. Zverev will each receive salary compensation of $85,000 per year from Building Bits Holdings, LLC.

 

Limited Liability and Indemnification of our Manager and Others

 

Subject to certain limitations, our operating agreement limits the liability of our Manager, its officers and directors, and affiliates, for monetary damages and provides that we will indemnify and pay or reimburse reasonable expenses in advance of final disposition of a proceeding to our Manager, its officers and directors, and our affiliates.

 

Our operating agreement provides that to the fullest extent permitted by applicable law our Manager, its officers and directors, and affiliates will not be liable to us. In addition, pursuant to our operating agreement, we have agreed to indemnify our Manager, its officers and directors, and affiliates, to the fullest extent permitted by law, against all expenses and liabilities (including judgments, fines, penalties, interest, amounts paid in settlement with the approval of the company and attorney’s fees and disbursements) arising from the performance of any of their obligations or duties in connection with their service to us or the operating agreement, including in connection with any civil, criminal, administrative, investigative or other action, suit or proceeding to which any such person may hereafter be made party by reason of being or having been the Manager or one of our Manager’s directors or officers.

 

The foregoing indemnification provisions do not apply to liability arising under the Securities Act, as, in the opinion of the SEC, such indemnification is against public policy as expressed in the Securities Act and is therefore unenforceable.

 

Term and Removal of the Manager

 

Our operating agreement provides that our Manager will serve as our manager for an indefinite term, but that our Manager may be removed by us, or may choose to withdraw as manager, under certain circumstances. There are no termination fees payable to the Manager upon withdrawal or removal of our Manager.

 

Our Bitholders may only remove our Manager at any time with 30 days prior written notice for “cause,” following the affirmative vote of two-thirds of our Bitholders. “Cause” is defined as:

 

  our Manager’s continued breach of any material provision of the operating agreement following a period of 30 days after written notice thereof (or 45 days after written notice of such breach if our Manager, under certain circumstances, has taken steps to cure such breach within 30 days of the written notice);

 

  the commencement of any proceeding relating to the bankruptcy or insolvency of our Manager, including an order for relief in an involuntary bankruptcy case or our Manager authorizing or filing a voluntary bankruptcy petition;

 

  our Manager committing fraud against us, misappropriating or embezzling our funds, or acting, or failing to act, in a manner constituting bad faith, willful misconduct, gross negligence or reckless disregard in the performance of its duties under the operating agreement; provided, however, that if any of these actions is caused by an employee, personnel and/or officer of our Manager or one of its affiliates and our Manager (or such affiliate) takes all necessary and appropriate action against such person and cures the damage caused by such actions within 30 days of our Manager’s actual knowledge of its commission or omission, then our Manager may not be removed; or

 

  the dissolution of our Manager.

 

Unsatisfactory financial performance does not constitute “cause” under the operating agreement.

 

Our Manager may assign its rights under our operating agreement in its entirety or delegate certain of its duties under the operating agreement to any of its affiliates without the approval of our Bitholders so long as our Manager remains liable for any such affiliate’s performance.

  

In the event of the removal of our Manager, our Manager will cooperate with us and take all reasonable steps to assist in making an orderly transition of the management function. Our Manager will determine whether any succeeding manager possesses sufficient qualifications to perform the management function.

 

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COMPENSATION OF OUR MANAGER AND AFFILIATES

 

Our Manager and its affiliates will receive fees and expense reimbursements for services relating to this offering and the management of our real estate assets. The items of compensation are summarized in the following table.

  

Form of Compensation and
Recipient
  Determination of Amount   Estimated Amount
         
    Organization and Offering Stage    
         
Organization and Offering Expenses — Building Bits Holdings, LLC   To date, Building Bits Holdings, LLC has paid organization and offering expenses on our behalf. We will reimburse Building Bits Holdings, LLC for these costs and future organization and offering costs it may incur on our behalf. We expect organization and offering expenses to be approximately $80,000, which is approximately 0.05% of the aggregate gross offering proceeds.   $80,000
         
    Acquisition Stage    
         
Real estate broker commission — Building Bits Real Estate Services, LLC   Building Bits Real Estate Services, LLC will receive compensation for its services as our real estate broker. The compensation will be equal to 1% of the acquisition price.   Actual amounts are dependent upon the specific acquisition price and we are unable to provide an estimate at this time
Reimbursement of Acquisition Expenses — Manager   We will reimburse our Manager for actual expenses incurred in connection with the selection, and acquisition of a real estate asset, whether or not we ultimately acquire the asset.   Actual amounts are dependent upon the specific costs associated with each acquisition and we are unable to provide an estimate at this time.
         
    Operational Stage    
         
Asset Management Fee — Manager   Quarterly asset management fee equal to an annualized rate of 1.0% with the ability to raise that rate to 1.50%, and up to 2.00% upon 30 days notice to Bitholders, which will be based on the Market Value of the Common Bits, which is in turn based on the property value and value determined through secondary transfer of our Common Bits on the BuildingBits Platform. The fee may be raised or lowered at the sole discretion of the manager without Bitholder consent.   Actual amounts are dependent upon the offering proceeds, acquisition of real estate assets, and ongoing valuation; we cannot determine these amounts at the present time.
         
Other Operating Expenses — Manager  

We will reimburse our Manager for out-of-pocket expenses paid to third parties in connection with providing services to us. This does not include the Manager’s overhead, employee costs borne by the Manager, utilities or technology costs.

 

The expense reimbursements that we will pay to our Manager also include expenses incurred by Building Bits Holdings, LLC in the performance of services for our Manager.

  Actual amounts are dependent upon the results of our operations; we cannot determine these amounts at the present time.

 

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    Liquidation/Listing Stage    
         
Asset Disposition Fees – Manager   Up to 2.50% of the gross proceeds from the liquidation of any of our real estate assets.   Actual amounts are dependent upon the price at which we sell or otherwise liquidate our investments; we cannot determine these amounts at the present time.

 

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SECURITY OWNERSHIP OF MANAGEMENT AND CERTAIN SECURITY HOLDERS

 

The following table sets forth the ownership of our Common Bits as of the date of this offering circular for each person or group that holds more than 10% of our Common Bits, for each director and executive officer of our Manager and for the directors and executive officers of our Manager as a group.

  

    Number of Bits     Percent of  
Name of Owner   Beneficially Owned     All Bits  
Building Bits Holdings, LLC (1)     25,000       100 %
Alexander Aginsky     0       0  
Andrei Zverev     0       0  

 

  (1) As of the date of this offering circular, Building Bits Holdings, LLC owns all of our issued and outstanding Common Bits.

 

The following table sets forth the ownership of Building Bits Holdings, LLC as of the date of this offering circular for each person or group that holds more than 10% of Building Bits Holdings, LLC.

 

    Number of Units     Percent of  
Name of Owner   Beneficially Owned     All Units  
Alexander Aginsky     8,282,000       82.82 %

 

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INTEREST OF MANAGEMENT AND OTHERS IN CERTAIN TRANSACTIONS

 

We are subject to various conflicts of interest arising out of our relationship with our Manager and its affiliates. We discuss these conflicts below.

 

Our Affiliates’ Interests in Other Building Bits Entities

 

General

 

The officers and directors of our Manager are also officers, directors, managers, and/or key professionals of other Building Bits entities, including BuildingBits Asset Management, LLC. These persons have legal obligations with respect to those entities that are similar to their obligations to us. In addition, in the future, these persons and other affiliates of our Manager may organize other real estate-related entities.

 

Allocation of Acquisition Opportunities

 

From time to time, our Manager may create new entities that will acquire real estate assets and make public offers of securities under Regulation A. Our Manager will, in its sole discretion determine which entity will be responsible for acquiring a specific asset.

  

Allocation of Our Affiliates’ Time

 

We rely on Building Bits Holdings, LLC’s real estate professionals who act on behalf of our Manager, including Mr. Alexander Aginsky, for the day-to-day operation of our business. Mr. Aginsky is also the Chief Executive Officer of Building Bits Holdings, LLC. As a result of his interests in other Building Bits entities, his obligations to other investors and the fact that he engages in and will continue to engage in other business activities on behalf of himself and others, Mr. Aginsky will face conflicts of interest in allocating his time among us, our Manager and other Building Bits entities and other business activities in which he is involved. However, we believe that our Manager and its affiliates have sufficient real estate professionals to fully discharge their responsibilities to the Building Bits entities for which they work.

 

Duties Owed by Some of Our Affiliates to Our Manager and our Manager’s Affiliates

 

Our Manager’s officers and directors and the real estate professionals of Building Bits Holdings, LLC performing services on behalf of our Manager are also officers, directors, managers and/or key professionals of:

 

  Building Bits Holdings, LLC

 

  BuildingBits Asset Management, LLC

 

  BuildingBits Real Estate Services, LLC

  

As a result, they owe duties to each of these entities and their respective members. These duties may from time to time conflict with the duties that they owe to us. Each of BuildingBits Asset Management, LLC, and BuildingBits Real Estate Services, LLC are wholly owned subsidiaries of Building Bits Holdings, LLC.

 

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MANAGEMENT’S DISCUSSION AND ANALYSIS

 

General

 

BuildingBits Properties I, LLC (the “Company”) is a newly organized Delaware limited liability company formed to acquire and manage a portfolio of commercial real estate. Each property we acquire must be a property in existence that is currently revenue producing, and have existing leases with tenants. Title to each property will be acquired through a wholly-owned subsidiary of the Company, as is standard in the real estate industry. We will finance the acquisition of each property by the issuance of Common Bits bearing designations that grant economic rights to the profits and losses of the wholly-owned subsidiary holding title to the specific property (the “Property LLC”). As of the date of this offering circular, we have not yet acquired any properties.

 

BuildingBits Asset Management, LLC is our Manager. As our Manager, it will manage our day-to-day operations and each property that we acquire. Our Manager also has the authority to make all of the decisions regarding which assets we intend to acquire and the creation of classes of our Common Bits to finance each acquisition.

  

Results of Operations

 

We were formed on February 24, 2017 and, as of the date of this offering circular, we have not commenced operations. We will not commence any significant operations until we have raised the minimum amount identified for the acquisition of the identified property in this offering circular.

 

As of December 31, 2017, we incurred expenses of $17,064 categorized as general and administrative expenses related to our activities

 

Liquidity and Capital Resources

 

We are dependent on the net proceeds from this offering to acquire the property identified in this offering circular. As of the date of this offering circular, our assets are nominal and we have limited cash on hand. Over the course of 2017, our Manager provided capital contributions to us in order to pay for initial organizational expenses and certain expenses related to this offering. We will be required to obtain the capital required to purchase the identified property and conduct our operations from the sale of our Common Bits through our offering under Regulation A of the Securities Act. For information regarding the anticipated use of proceeds from this offering, see “Property Description and Use of Proceeds”.

 

From time to time, we intend to update and amend this offering circular to describe additional properties that we intend to acquire with capital obtained through this offering. As of the date of this offering circular, we have not acquired any properties.

 

We intend to acquire our first four properties in this offering. The minimum amount we would accept for the sale of Class Xfinity-Williamsport.PA Common Bits is $649,113 with a maximum of $2,111,614. The minimum amount we would accept for the sale of Class Hollywood12-Portland.OR Common Bits is $1,307,409 with a maximum of $4,541,504. The minimum amount we would accept for the sale of Class AT&T-Maplewood.MN Common Bits is $1,157,569 with a maximum of $4,023,631. The minimum amount we would accept for the sale of Class Sleep Number-Shenandoah.TX Common Bits is $1,103,955 with a maximum of $3,839,905. Should we raise less than the maximum amount for any class of Bits, we will be required to obtain financing from lenders to acquire the property. If we raise the maximum amount, lender financing will not be required. We have not received any firm commitments for such financing to date. We have had discussions with multiple lenders and believe we will be able to secure any necessary financing in a timely fashion.

 

In addition to acquiring the identified property, we expect to use our capital resources to make certain payments to our Manager in accordance with our operating agreement. During the organization and offering state, these payments will include reimbursement of certain organization and offering expenses. During the acquisition and operational stages, we expect to make payments to our Manager in connection with the management and servicing of the identified property. For a discussion of the compensation to be paid to our Manager, see “Management Compensation”.

 

Market Outlook — Real Estate Markets

 

General Conditions

 

We believe the current economic climate is conducive to favorable performance of real estate. The economy has come a long way since the Great Recession. In 2009, the unemployment rate spiked up to 10% and the GDP declined by 2.8%. In order to prevent any further damage, the Federal Reserve lowered the key interest rate to nearly zero. Since that time, the U.S. economy has made substantial progress toward the Federal Reserve’s goal of maximum employment and price stability. Enough progress such that in December 2016, the Federal Reserve moved its target federal funds rate up by 25 basis points from essentially zero, where it had stood for seven years.

 

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The U.S. economy is essentially at full employment, with the overall unemployment rate at 4.1% as of March 2018, and the unemployment rate among college graduates at a remarkably low 2.5% as of January 2017. Looking ahead, we believe the growth in GDP will be limited by the absence of excess capacity in the economy rather than by a lack of demand.

 

These trends have to be compared against global performance. Foreign direct investment into the U.S. economy hit records levels in 2015, with $200 billion in the last half of 2015 alone. This demand for U.S. investors is due to the exceptional performance of American companies, the appetite to acquire U.S. companies and properties by foreign investors, and the opportunity to shelter assets in a relatively safe economy during times of tremendous global economic uncertainty and political instability.

 

Commercial Real Estate

 

We believe that these trends suggest that commercial and multifamily residential properties will continue to do well due to high employment and customer sentiment. Midmarket commercial and industrial properties will continue to offer attractive cap rates. While there may be some contraction in major markets such as Los Angeles, New York, and San Francisco due to overpriced valuations in the tech sector and restrictions on foreign currency transfers from China, this is not likely to spill over to the broader market, which may actually experience a boost from this spillover effect.

 

The U.S. real estate market has continued its strong and steady recovery post 2008 financial crisis. In the past five years, the industry has posted positive gains each year. As of 2015, the overall real estate market was valued at $43 trillion. Thirty-four percent of this market is commercial real estate (“CRE”) and 66% is residential real estate. The overall market has been growing at a compounded annual growth rate of 8% over the last four years.

 

As of 2015, there were approximately 3 million CRE buildings, excluding multifamily housing and apartments with an approximate breakdown of 500 thousand office buildings, 970 thousand retail buildings, 620 thousand industrial buildings.

  

Discussion of Property Specific Performance

 

Williamsport Xfinity Property

 

The Williamsport Xfinity Property is a newly constructed single tenant retail building being built to suit as an Xfinity store. The tenant that will occupy the Williamsport Xfinity Property is Comcast of Southeast Pennsylvania, LLC, a subsidiary of Comcast Corporation operating in the State of Pennsylvania. The lease includes a term of seven years with annual rent of $132,750 for those seven years.

 

Hollywood 12 Apartments Property

 

The Hollywood 12 Apartments Property is a newly constructed multi-unit apartment building, with 12 units available for rent. The majority of units are two-bedroom units and are priced at the upper-end of rents in the Portland, OR area. As of the date of this offering circular, no tenants have signed lease agreements for units in this building.

 

Assuming a five percent vacancy rate, we anticipate than the 12-month gross revenues for the Hollywood 12 Apartments Property will be $296,856. We believe that, over a 12-month period, taxes and expenses will be approximately $70,000, with $30,000 being for local real estate taxes.

 

Maplewood AT&T Property

 

The Maplewood AT&T Property is a newly constructed single tenant retail building that was first occupied by the tenant in November 2017. The tenant occupying the Maplewood AT&T Property is New Cingular Wireless PCS, LLC, a subsidiary of AT&T, Inc. The lease is for a period of 10 years and includes payment of fixed annual rent for years 1-5 of $236,775 and years 6-10 of $260,453. The tenant will also be responsible for a share of operating expenses, taxes, and insurance payments. An unaudited income statement for the period ended December 31, 2017 has been included for the Maplewood AT&T Property with this offering circular.

 

Shenandoah Sleep Number Property

 

The Shenandoah Sleep Number Property is a newly constructed single tenant retail building that was first occupied by the tenant in March 2018. The property was built to suit the tenant, Select Comfort Retail Corporation, a subsidiary of Sleep Number Corporation. The lease is for a period of 10 years and includes payment of fixed annual rent for years 1-5 of $222,000 and years 6-10 of $244,200. The tenant will also be responsible for a share of taxes and insurance payments.

 

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PRIOR PERFORMANCE SUMMARY

 

The information presented in this section represents the historical operating results for Building Bits Properties I, LLC, which will be updated from time to time as we amend this offering circular. Investors in our Common Bits should not assume that they will experience returns, if any, comparable to those experienced by investors of other classes of Common Bits.

 

The returns to our Bitholders will depend in part on which class of Bit is chosen by the investor, and the performance of the underlying real estate property. Investors should not assume the past performance of certain subsidiaries of Building Bits Properties I, LLC will be indicative of our future performance.

 

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SECURITIES BEING OFFERED

 

The following descriptions of our Common Bits, certain provisions of Delaware law and certain provisions of our certificate of formation and operating agreement, which will be in effect upon consummation of this offering, are summaries and are qualified by reference to Delaware law, our certificate of formation and our operating agreement, copies of which are filed as exhibits to the offering statement of which this offering circular is a part.

 

General

 

We are offering Common Bits of the company that bear specific Bit Designations. In this offering the Bits are designated Class Xfinity-Williamsport.PA Common Bits, Class Hollywood12-Portland.OR Common Bits, Class AT&T-Maplewood.MN Common Bits, and Class Sleep Number-Shenandoah.TX Common Bits. We have authorized the issuance of up to 2,121,116 Bits, 4,680,270 Bits, 4,150,125 Bits, and 3,962,700 Bits bearing these respective designations. These Bits receive special economic rights related to the Williamsport Xfinity Property, the Hollywood 12 Apartments Property, the Maplewood AT&T Property, or the Shenandoah Sleep Number Property. Title to each property will be held by to-be-formed wholly-owned subsidiaries of the Company (each a “Property LLC”). These special economic rights include the right to receive distributions from the Company based on the revenues received from the respective Property LLC, as well as the right to receive a pro rata share of the net proceeds as a result of the sale of the property, or change of control of the respective Property LLC.

 

Distributions

 

These Bits will receive distributions on a quarterly basis out of the available cash of the Company, subject to the terms of the operating agreement, the respective Bit Designation, and Delaware law. The Manager has the authority to increase the frequency of any distributions to a monthly basis. Bitholders will receive any distributions based on their percent ownership of each class of Common Bit.

 

Title to each Property is held by a single purpose property owning entity, the Property LLCs. Available cash is determined by the revenues received by respective Property LLC, minus all expenses and fees and amounts saved by the respective Property LLC for contingencies. The decision to save funds for future contingencies is a determination made in the sole discretion of the respective Property LLC manager, which is the Manager of the Company. Any profits or losses of the respective Property LLC then available for distribution are issued to the Company, which is then entitled to its asset management fee, currently set at 1% of the value of the asset under management. Additional amounts may be withheld to satisfy any current expenses of the Company in accordance with Section 5.13 of the Company’s Operating Agreement. We note that we do not anticipate significant expenses at the Company level, as the majority of expenses will be borne by each Property LLC for the acquisition, maintenance, and disposal of properties. The remaining cash received by the Company from the respective Property LLC will be distributed to Bitholders whose Bit Designation covers that respective Property LLC. 

 

We intend to undertake annual audits of the Company and each Property LLC. Should there be a determination that the distribution amounts were in error, we will reconcile the distributions with the annual audits.

  

Voting Rights

 

Generally, holders of our Common Bits will have voting rights only with respect to certain matters, as described below. However, holders of our designated Common Bits will not have the right to vote for removal of our Manager and will only have the right to vote relating to amendments to our operating agreement that would adversely change the rights of the Common Bits, the liquidation of the Company, and amendments to the respective Bit Designation of the Bitholder. Each outstanding Common Bit, including designated classes of Bits entitles the holder to one vote on any matter on which the Bitholder is entitled to vote. Generally, matters to be voted on by our Bitholders must be approved by a majority of the votes cast by all Common Bits present in person or represented by proxy, although the vote to remove the Manager for “cause” requires a two-thirds vote. If any vote occurs, Bitholders will be bound by the majority or supermajority vote, as applicable, even if the Bitholder did not vote with the majority or supermajority.

 

The following circumstances will require the approval of all Bitholders representing a majority or supermajority, as the case may be, of the Common Bits:

 

  any amendment to our operating agreement that would adversely change the rights of the Common Bits (majority of Bitholders of the affected class by value of interest); and

 

  removal of our Manager as the manager of the Company for “cause” (two-thirds of Bitholders by value of interest), however, holders of designated Common Bits will not have the right to vote for removal of out Manager

 

The following circumstance will require the approval of the Manager and the holders of the designated Common Bits:

 

  any amendment to the Bit Designation of the respective class of Common Bits (majority of holders of the respective class of Common Bits by value of interest).

 

Preferred Bits

 

Section 215(e) of the Delaware LLC Act also specifically authorizes the creation of ownership interests of different classes of limited liability company interests, having such relative rights, powers and duties as the limited liability company agreement may provide, and may make provision for the future creation in the manner provided in the limited liability company agreement of additional classes of membership interests. In accordance with this provision, our operating agreement provides that our Manager is authorized to provide for the issuance from time to time of an unlimited amount of one or more classes or series of preferred Bits of limited liability company interests (“preferred Bits”). Unless otherwise required by law or by any stock exchange, if applicable, any such authorized preferred Bits will be available for issuance without further action by our Common Bitholders. Our Manager is authorized to fix the number of preferred Bits, the relative powers, preferences and rights, and the qualifications, limitations or restrictions applicable to each class or series thereof by resolution authorizing the issuance of such class or series and without Bitholder approval. As of the date of this offering circular, no preferred Bits are outstanding and we have no current plans to issue any preferred Bits.

 

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We could issue a class or series of preferred Bits that could, depending on the terms of the class or series, impede or discourage an acquisition attempt or other transaction that some, or a majority, of holders of Common Bits might believe to be in their best interests or in which holders of Common Bits might receive a premium for their Common Bits.

 

Reports to Bitholders

 

Our operating agreement requires that we prepare an annual report and deliver it to our Bitholders within 120 days after the end of each fiscal year. Our Manager is required to take reasonable steps to ensure that the annual report complies with our operating agreement provisions and with applicable securities laws.

 

Additionally, we intend to make available, no less than monthly, updates about the operations of the property. These updates will include monthly unaudited income statements, as well as information regarding lease payments and property related expenses.

 

Under the Securities Act, we must update this offering circular upon the occurrence of certain events, such as the creation of additional classes of Common Bits bearing designations for other real estate assets. We will file amended offering circulars and offering circular supplements with the SEC. We are also subject to the informational reporting requirements of the Exchange Act that are applicable to Tier 2 companies whose securities are registered pursuant to Regulation A, and accordingly, we will file annual reports, semi-annual reports and other information with the SEC. In addition, we will provide investors directly with periodic updates, including offering circulars, offering circular supplements, quarterly information statements and other information.

 

We will provide the above identified periodic updates electronically through the BuildingBits Platform website at www.buildingbits.com, and documents will be provided electronically.

 

Distribution Upon Disposition of the Property LLC Asset

 

Under the terms of the Bit Designation, upon the occurrence of a “Change of Control Event,” defined as (1) the election to dissolve the respective Property LLC to which the Bit Designation relates, (2) the sale, exchange, or other disposition of all or substantially all of the assets and properties of the respective Property LLC, or (3) the entry of a decree of judicial dissolution of the respective Property LLC, each investor holding the Bit Designation for that Property LLC will receive a cash sum equal to the investor’s pro rata share of the net proceeds received by the Company, after deduction of the disposition fee to BuildingBits Asset Management, LLC as a result of the Change of Control Event.

 

In conjunction with receiving this Change of Control distribution, those Bitholders will be withdrawn as members of the Company and their class of Common Bits will cease to exist.

 

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U.S. FEDERAL INCOME TAX CONSIDERATIONS

 

Taxation of the Company

 

We intend to elect to be taxed as a partnership under the Code. As a partnership, we will not be subject to federal income tax, however each investor will be subject to federal income tax on the investor’s share of the profits and losses of the company. Profits may be recognized even in the event that no cash distribution is made. Each investor will receive a Schedule K-1 identifying their share of income, deductions, credits, losses, etc. of the company.

 

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ERISA CONSIDERATIONS

 

The Employee Retirement Income Security Act of 1974, as amended (“ERISA”), is a broad statutory framework that governs most U.S. retirement and other U.S. employee benefit plans. ERISA and the rules and regulations of the Department of Labor (the “DOL”) under ERISA contain provisions that should be considered by fiduciaries of employee benefit plans subject to the provisions of Title I of ERISA (“ERISA Plans”) and their legal advisors. In particular, a fiduciary of an ERISA Plan should consider whether an investment in our Common Bits (or, in the case of a participant-directed defined contribution plan (a “Participant-Directed Plan”), making our Common Bits available for investment under the Participant-Directed Plan) satisfies the requirements set forth in Part 4 of Title I of ERISA, including the requirements that (1) the investment satisfy the prudence and diversification standards of ERISA, (2) the investment be in the best interests of the participants and beneficiaries of the ERISA Plan, (3) the investment be permissible under the terms of the ERISA Plan’s investment policies and governing instruments and (4) the investment does not give rise to a non-exempt prohibited transaction under ERISA or Section 4975 of the Code.

 

In determining whether an investment in our Common Bits (or making our Bits available as an investment option under a Participant-Directed Plan) is prudent for ERISA purposes, a fiduciary of an ERISA Plan should consider all relevant facts and circumstances including, without limitation, possible limitations on the transferability of our Common Bits, whether the investment provides sufficient liquidity in light of the foreseeable needs of the ERISA Plan (or the participant account in a Participant-Directed Plan), and whether the investment is reasonably designed, as part of the ERISA Plan’s portfolio, to further the ERISA Plan’s purposes, taking into consideration the risk of loss and the opportunity for gain (or other return) associated with the investment. It should be noted that neither our Manager nor any of its affiliates has any responsibility for developing any overall investment strategy for any ERISA Plan (or the participant account in a Participant-Directed Plan) or for advising any ERISA Plan (or participant in a Participant-Directed Plan) as to the advisability or prudence of an investment in us. Rather, it is the obligation of the appropriate fiduciary for each ERISA Plan (or participant in a Participant-Directed Plan) to consider whether an investment in our Common Bits by the ERISA Plan (or making such Bits available for investment under a Participant-Directed Plan in which event it is the obligation of the participant to consider whether an investment in our Common Bits is advisable), when judged in light of the overall portfolio of the ERISA Plan, will meet the prudence, diversification and other applicable requirements of ERISA.

  

Section 406 of ERISA and Section 4975 of the Code prohibit certain transactions involving the assets of an ERISA Plan, as well as those plans that are not subject to ERISA but that are subject to Section 4975 of the Code, such as individual retirement accounts (“IRAs”) and non-ERISA Keogh plans (collectively with ERISA Plans, “Plans”), and certain persons (referred to as “parties in interest” for purposes of ERISA or “disqualified persons” for purposes of the Code) having certain relationships to Plans, unless a statutory or administrative exemption is applicable to the transaction. A party in interest or disqualified person who engages in a non-exempt prohibited transaction may be subject to non-deductible excise taxes and other penalties and liabilities under ERISA and the Code, and the transaction might have to be rescinded. In addition, a fiduciary who causes an ERISA Plan to engage in a non-exempt prohibited transaction may be personally liable for any resultant loss incurred by the ERISA Plan and may be subject to other potential remedies.

 

A Plan that proposes to invest in our Common Bits (or to make our Bits available for investment under a Participant-Directed Plan) may already maintain a relationship with our Manager or one or more of its affiliates, as a result of which our Manager or such affiliate may be a “party in interest” under ERISA or a “disqualified person” under the Code, with respect to such Plan (e.g., if our Manager or such affiliate provides investment management, investment advisory or other services to that Plan). ERISA (and the Code) prohibits plan assets from being used for the benefit of a party in interest (or disqualified person). This prohibition is not triggered by “incidental” benefits to a party in interest (or disqualified person) that result from a transaction involving the Plan that is motivated solely by the interests of the Plan. ERISA (and the Code) also prohibits a fiduciary from using its position to cause the Plan to make an investment from which the fiduciary, its affiliates or certain parties in which it has an interest would receive a fee or other consideration or benefit. In this circumstance, Plans that propose to invest in our Common Bits should consult with their counsel to determine whether an investment in our Common Bits would result in a transaction that is prohibited by ERISA or Section 4975 of the Code.

 

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If our assets were considered to be assets of a Plan (referred to herein as “Plan Assets”), our management might be deemed to be fiduciaries of the investing Plan. In this event, the operation of the company could become subject to the restrictions of the fiduciary responsibility and prohibited transaction provisions of Title I of ERISA and/or the prohibited transaction rules of Section 4975 of the Code.

 

The DOL has promulgated a final regulation under ERISA, 29 C.F.R. § 2510.3-101 (as modified by Section 3(42) of ERISA, the “Plan Assets Regulation”), that provides guidelines as to whether, and under what circumstances, the underlying assets of an entity will be deemed to constitute Plan Assets for purposes of applying the fiduciary requirements of Title I of ERISA (including the prohibited transaction rules of Section 406 of ERISA) and the prohibited transaction provisions of Code Section 4975.

 

Under the Plan Assets Regulation, the assets of an entity in which a Plan or IRA makes an equity investment will generally be deemed to be assets of such Plan or IRA unless the entity satisfies one of the exceptions to this general rule. Generally, the exceptions require that the investment in the entity be one of the following:

 

  in securities issued by an investment company registered under the Investment Company Act;

 

  in “publicly offered securities,” defined generally as interests that are “freely transferable,” “widely held” and registered with the SEC;

 

  in an “operating company” which includes “venture capital operating companies” and “real estate operating companies;” or

 

  in which equity participation by “benefit plan investors” is not significant.

 

The Bit will constitute an “equity interest” for purposes of the Plan Assets Regulation, and the Bits may not constitute “publicly offered securities” for purposes of the Plan Assets Regulation. In addition, the Bits will not be issued by a registered investment company.

 

The 25% Limit

 

Under the Plan Assets Regulation, and assuming no other exemption applies, an entity’s assets would be deemed to include “plan assets” subject to ERISA on any date if, immediately after the most recent acquisition of any equity interest in the entity, 25% or more of the value of any class of equity interests in the entity is held by “benefit plan investors” (the “25% Limit”). For purposes of this determination, the value of equity interests held by a person (other than a benefit plan investor) that has discretionary authority or control with respect to the assets of the entity or that provides investment advice for a fee with respect to such assets (or any affiliate of such a person) is disregarded. The term “benefit plan investor” is defined in the Plan Assets Regulation as (a) any employee benefit plan (as defined in Section 3(3) of ERISA) that is subject to the provisions of Title I of ERISA, (b) any plan that is subject to Section 4975 of the Code and (c) any entity whose underlying assets include plan assets by reason of a plan’s investment in the entity (to the extent of such plan’s investment in the entity). Thus, while our assets would not be considered to be “plan assets” for purposes of ERISA so long as the 25% Limit is not exceeded. Our operating agreement provides that if benefit plan investors exceed the 25% Limit, we may redeem their interests at a price equal to the then current Market Price per Bit. We intend to rely on this aspect of the Plan Assets Regulation.

 

Operating Companies

 

Under the Plan Assets Regulation, an entity is an “operating company” if it is primarily engaged, directly or through a majority-owned subsidiary or subsidiaries, in the production or sale of a product or service other than the investment of capital. In addition, the Plan Assets Regulation provides that the term operating company includes an entity qualifying as a real estate operating company (“REOC”) or a venture capital operating company (“VCOC”). An entity is a REOC if: (i) on its “initial valuation date and on at least one day within each annual valuation period,” at least 50% of the entity’s assets, valued at cost (other than short-term investments pending long-term commitment or distribution to investors) are invested in real estate that is managed or developed and with respect to which such entity has the right to substantially participate directly in management or development activities; and (ii) such entity in the ordinary course of its business is engaged directly in the management and development of real estate during the 12-month period. The “initial valuation date” is the date on which an entity first makes an investment that is not a short-term investment of funds pending long-term commitment. An entity’s “annual valuation period” is a pre-established period not exceeding 90 days in duration, which begins no later than the anniversary of the entity’s initial valuation date. Certain examples in the Plan Assets Regulation clarify that the management and development activities of an entity looking to qualify as a REOC may be carried out by independent contractors (including, in the case of a partnership, affiliates of the general partner) under the supervision of the entity. An entity will qualify as a VCOC if (i) on its initial valuation date and on at least one day during each annual valuation period, at least 50% of the entity’s assets, valued at cost, consist of “venture capital investments,” and (ii) the entity, in the ordinary course of business, actually exercises management rights with respect to one or more of its venture capital investments. The Plan Assets Regulation defines the term “venture capital investments” as investments in an operating company (other than a VCOC) with respect to which the investor obtains management rights.

 

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If the 25% Limit is exceeded and we do not exercise our right to redeem benefit plan investors as described above, we may try to operate in a manner that will enable us to qualify as a VCOC or a REOC or to meet such other exception as may be available to prevent our assets from being treated as assets of any investing Plan for purposes of the Plan Assets Regulation. Accordingly, we believe, on the basis of the Plan Assets Regulation, that our underlying assets should not constitute “plan assets” for purposes of ERISA. However, no assurance can be given that this will be the case.

 

If our assets are deemed to constitute “plan assets” under ERISA, certain of the transactions in which we might normally engage could constitute a non-exempt “prohibited transaction” under ERISA or Section 4975 of the Code. In such circumstances, in our sole discretion, we may void or undo any such prohibited transaction, and we may require each investor that is a “benefit plan investor” to redeem their shares upon terms that we consider appropriate.

 

Prospective investors that are subject to the provisions of Title I of ERISA and/or Code Section 4975 should consult with their counsel and advisors as to the provisions of Title I of ERISA and/or Code Section 4975 relevant to an investment in our Common Bits.

 

As discussed above, although IRAs and non-ERISA Keogh plans are not subject to ERISA, they are subject to the provisions of Section 4975 of the Code, prohibiting transactions with “disqualified persons” and investments and transactions involving fiduciary conflicts. A prohibited transaction or conflict of interest could arise if the fiduciary making the decision to invest has a personal interest in or affiliation with the Company or any of its respective affiliates. In the case of an IRA, a prohibited transaction or conflict of interest that involves the beneficiary of the IRA could result in disqualification of the IRA. A fiduciary for an IRA who has any personal interest in or affiliation with the Company or any of its respective affiliates, should consult with his or her tax and legal advisors regarding the impact such interest may have on an investment in our shares with assets of the IRA.

 

Bits sold by us may be purchased or owned by investors who are investing Plan assets. Our acceptance of an investment by a Plan should not be considered to be a determination or representation by us or any of our respective affiliates that such an investment is appropriate for a Plan. In consultation with its advisors, each prospective Plan investor should carefully consider whether an investment in the Company is appropriate for, and permissible under, the terms of the Plan’s governing documents.

 

Governmental plans, foreign plans and most church plans, while not subject to the fiduciary responsibility provisions of ERISA or the provisions of Code Section 4975, may nevertheless be subject to local, foreign, state or other federal laws that are substantially similar to the foregoing provisions of ERISA and the Code. Fiduciaries of any such plans should consult with their counsel and advisors before deciding to invest in our Common Bits.

 

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FINANCIAL STATEMENTS

 

The balance sheet of Building Bits Properties I, LLC as of December 31, 2017, and related statements of operations, changes in Member’s equity, and cash flows for the period from inception to December 31, 2017, and the related notes to the financial statements have been included in this offering circular with the Independent Auditors’ Report of dbbmckennon, independent certified public accountants, and upon the authority of said firm as experts in accounting and auditing.

 

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BUILDING BITS PROPERTIES I, LLC

 

FINANCIAL STATEMENTS

 

DECEMBER 31, 2017

 

Together with

Independent Auditors’ Report

 

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Building Bits Properties I, LLC

Index to Financial Statements

 

  Pages
Independent Auditors’ Report 61
   
Balance sheet as of December 31, 2017 62
   
Statement of Operations for the period from February 24, 2017 (Inception) through December 31, 2017 63
   
Statement of Member’s Equity for the period from February 24, 2017 (Inception) through December 31, 2017 64
   
Statement of Cash Flows for the period from February 24, 2017 (Inception) through December 31, 2017 65
   
Notes to the Financial Statements 66

 

 60 

 

 

INDEPENDENT AUDITORS’ REPORT

March 12, 2018

 

The Management and Members

Building Bits Properties I, LLC

 

We have audited the accompanying balance sheet of Building Bits Properties I, LLC (the “Company”) as of December 31, 2017, the related statements of operations, member’s equity, and cash flows for the period from February 24, 2017 (“Inception”) through December 31, 2017, and the related notes to the financial statements.

 

Management’s Responsibility for the Financial Statements

 

Management is responsible for the preparation and fair presentation of these financial statements in accordance with accounting principles generally accepted in the United States of America; this includes the design, implementation, and maintenance of internal control relevant to the preparation and fair presentation of the financial statements that are free from material misstatement whether due to fraud or error.

 

Auditors' Responsibility

 

Our responsibility is to express an opinion on these financial statements based on our audit. We conducted our audit in accordance with auditing standards generally accepted in the United States of America. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free from material misstatement.

 

An audit involves performing procedures to obtain audit evidence about the amounts and disclosures in the financial statements. The procedures selected depend on the auditor’s judgment, including the assessment of the risks of material misstatement of the financial statements, whether due to fraud or error. In making those risk assessments, the auditor considers internal control relevant to the entity’s preparation and fair presentation of the financial statements in order to design audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the entity’s internal control. Accordingly, we express no such opinion. An audit also includes evaluating the appropriateness of accounting policies used and the reasonableness of significant accounting estimates made by management, as well as evaluating the overall presentation of the financial statements.

 

We believe that the audit evidence we have obtained is sufficient and appropriate to provide a basis for our audit opinion.

 

Accountant’s Conclusion

 

In our opinion, the financial statements present fairly, in all material respects, the financial position of Building Bits Properties I, LLC as of December 31, 2017, and the results of its operations and its cash flows for the period from Inception through December 31, 2017, in accordance with accounting principles generally accepted in the United States of America.

 

Going Concern

 

The accompanying financial statements have been prepared assuming the Company will continue as a going concern. As more fully explained in Note 2 to the financial statements, the Company was recently formed and requires additional capital to fund operations and acquisitions of properties. These factors raise substantial doubt about the Company’s ability to continue as a going concern. Management’s plans with respect to these factors are also described on Note 2. The Company’s financial statements do not include any adjustments that might result from the outcome of these uncertainties should the Company be unable to continue as a going concern. Our conclusion is not modified with respect to that matter.

 

/s/ dbbmckennon

 

 

 61 

 

 

BUILDING BITS PROPERTIES I, LLC

BALANCE SHEET

 AS OF DECEMBER 31, 2017

 

Assets     
Current assets-     
Cash  $7,936 
Total assets  $7,936 
      
Liabilities and Member's Equity     
Current liabilities-     
Accounts payable  $- 
Total current liabilities   - 
      
Commitments and contingencies (Note 3)   - 
      
Member's equity:     
Common bits, 25,000 issued and outstanding   25,000 
Accumulated deficit   (17,064)
Total member's equity   7,936 
Total liabilities and member's equity  $7,936 

 

See accompanying notes to the financial statements

 

 62 

 

 

BUILDING BITS PROPERTIES I, LLC

STATEMENT OF OPERATIONS

FOR THE PERIOD FROM FEBRUARY 24, 2017 (INCEPTION)

THROUGH DECEMBER 31, 2017

 

Revenues  $- 
      
Operating expenses-     
General and administrative   17,064 
Total operating expenses   17,064 
      
Net loss  $(17,064)
      
Common bits outstanding   25,000 
      
Net loss per common bit  $(0.68)

 

See accompanying notes to the financial statements

 

 63 

 

 

BUILDING BITS PROPERTIES I, LLC

STATEMENT OF MEMBER’S EQUITY

FOR THE PERIOD FROM FEBRUARY 24, 2017 (INCEPTION)

THROUGH DECEMBER 31, 2017

 

   Common Bits   Accumulated   Total Member's 
   Bits   Amount   Deficit   Equity 
Inception   -    -    -    - 
Bits issued for cash to affiliate   25,000    25,000    -    25,000 
Net loss   -    -    (17,064)   (17,064)
December 31, 2017   25,000   $25,000   $(17,064)  $7,936 

 

See accompanying notes to the financial statements

 

 64 

 

 

BUILDING BITS PROPERTIES I, LLC

STATEMENT OF CASH FLOW

FOR THE PERIOD FROM FEBRUARY 24, 2017 (INCEPTION)

THROUGH DECEMBER 31, 2017

 

CASH FLOWS FROM OPERATING ACTIVITIES     
Net loss  $(17,064)
Net cash used in operating activities   (17,064)
      
CASH FLOWS FROM FINANCING ACTIVITIES     
Proceeds from issuance of bits   25,000 
Net cash provided by financing activities   25,000 
      
Increase in cash and cash equivalents   7,936 
Cash and cash equivalents, beginning of period   - 
Cash and cash equivalents, end of period  $7,936 
      
Supplemental disclosures of cash flow information:     
Cash paid for interest  $- 
Cash paid for income taxes  $- 

 

See accompanying notes to the financial statements

 

 65 

 

 

BUILDING BITS PROPERTIES I, LLC

NOTES TO THE FINANCIAL STATEMENTS

 

NOTE 1 – ORGANIZATION AND NATURE OF OPERATIONS

 

Building Bits Properties I, LLC (which may be referred to as the "Company", "we," "us," or "our") was formed on February 24, 2017 (“Inception”) in the State of Delaware.  The Company’s headquarters are located in Portland, Oregon. The Company was formed to raise up to $50 million under Regulation A Plus from a wide range of individual and institutional investors, with a primary focus on individual non-accredited investor, to acquire commercial real estate. The fundraising activity will be primarily done through “BuildingBits” online platform where investors will be able to choose individual properties to invest in.

 

NOTE 2 – SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

 

Going Concern and Management’s Plans

 

We will rely heavily on financing from the parent company, Building Bits Holdings LLC (“BB Holdings” or the “Manager”), for working capital and have only recently commenced operations. The Company requires additional capital to commence operations. These above matters raise substantial doubt about the Company's ability to continue as a going concern.  During the next 12 months, the Company intends to fund its operations from the financing received from the Manager and from its portion of the commercial lease income generated by the properties owned by the Company through its investments. There are no assurances that management will be able to raise capital on terms acceptable to the Company.  If we are unable to obtain sufficient amounts of additional capital, we may be required to reduce the scope of our planned development, which could harm our business, financial condition and operating results. The financial statements do not include any adjustments that might result from these uncertainties.

 

Basis of Presentation

 

The accounting and reporting policies of the Company conform to accounting principles generally accepted in the United States of America (“US GAAP”). The Company’s financial statements will ultimately be presented on a non-classified balance sheet since the Company’s primary operating assets and liabilities will be non-current.

 

Use of Estimates

 

The preparation of financial statements in conformity with U.S. GAAP requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities, and the reported amount of revenues and expenses during the reporting period. Actual results could materially differ from these estimates. It is reasonably possible that changes in estimates will occur in the near term.

 

Fair Value of Financial Instruments

 

Fair value is defined as the exchange price that would be received for an asset or paid to transfer a liability (an exit price) in the principal or most advantageous market for the asset or liability in an orderly transaction between market participants as of the measurement date. Applicable accounting guidance provides an established hierarchy for inputs used in measuring fair value that maximizes the use of observable inputs and minimizes the use of unobservable inputs by requiring that the most observable inputs be used when available. Observable inputs are inputs that market participants would use in valuing the asset or liability and are developed based on market data obtained from sources independent of the Company. Unobservable inputs are inputs that reflect the Company’s assumptions about the factors that market participants would use in valuing the asset or liability.

 

 66 

 

 

BUILDING BITS PROPERTIES I, LLC

NOTES TO THE FINANCIAL STATEMENTS

 

There are three levels of inputs that may be used to measure fair value:

 

  Level 1  - Observable inputs that reflect quoted prices (unadjusted) for identical assets or liabilities in active markets.

 

  Level 2  - Include other inputs that are directly or indirectly observable in the marketplace.

 

  Level 3  - Unobservable inputs which are supported by little or no market activity.

  

The fair value hierarchy also requires an entity to maximize the use of observable inputs and minimize the use of unobservable inputs when measuring fair value.

 

Fair-value estimates discussed herein are based upon certain market assumptions and pertinent information available to management as of December 31, 2017. The respective carrying value of certain on-balance-sheet financial instruments approximated their fair values. Fair values for these items were assumed to approximate carrying values because of their short term in nature or they are payable on demand.

 

Risks and Uncertainties

 

The Company has a limited operating history and has not generated revenue intended operations.  The Company's business and operations are sensitive to general business and economic conditions in the U.S. and worldwide along with local, state, and federal governmental policy decisions. A host of factors beyond the Company's control could cause fluctuations in these conditions, including but not limited to: its ability to raise sufficient funds from investors to acquire commercial real estate, the availability of suitable real estate properties to acquire, and changes to Regulation A Plus. Adverse developments in these general business and economic conditions could have a material adverse effect on the Company's financial condition and the results of its operations.

 

Cash and Cash Equivalents

 

For purpose of the statement of cash flows, the Company considers all highly liquid debt instruments purchased with an original maturity of three months or less to be cash equivalents.

 

Property and Equipment

 

Property and equipment are stated at cost and depreciated using the straight-line method over the estimated useful life. Leasehold improvements are depreciated over shorter of the useful life or lease life. Maintenance and repairs are charged to operations as incurred. Significant renewals and betterments are capitalized. At the time of retirement or other disposition of property and equipment, the cost and accumulated depreciation are removed from the accounts and any resulting gain or loss is reflected in operations.

 

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BUILDING BITS PROPERTIES I, LLC

NOTES TO THE FINANCIAL STATEMENTS

 

Real Estate Held for Investment

 

Real estate assets are stated at the lower of depreciated cost or fair value, if deemed impaired. Major replacements and betterments are capitalized and depreciated over their estimated useful lives. Depreciation is computed on a straight-line basis over the useful lives of the properties (buildings and improvements—ten (10) to 40 years; furniture, fixtures and equipment—five (5) to ten (10) years. We continually evaluate the recoverability of the carrying value of its real estate assets using the methodology prescribed in ASC Topic 360, “Property, Plant and Equipment,” Factors considered by management in evaluating impairment of its existing real estate assets held for investment include significant declines in property operating profits, annually recurring property operating losses and other significant adverse changes in general market conditions that are considered permanent in nature. Under ASC Topic 360, a real estate asset held for investment is not considered impaired if the undiscounted, estimated future cash flows of an asset (both the annual estimated cash flow from future operations and the estimated cash flow from the theoretical sale of the asset) over its estimated holding period are in excess of the asset’s net book value at the balance sheet date. If any real estate asset held for investment is considered impaired, a loss is provided to reduce the carrying value of the asset to its estimated fair value.

 

Real Estate Held for Sale  

 

We will periodically classify real estate assets as held for sale. An asset is classified as held for sale after the approval of the Company’s board of directors and after an active program to sell the asset has commenced. Upon the classification of a real estate asset as held for sale, the carrying value of the asset is reduced to the lower of its net book value or its estimated fair value, less costs to sell the asset. Subsequent to the classification of assets as held for sale, no further depreciation expense is recorded. Real estate assets held for sale will be stated separately on the balance sheet. Upon a decision to no longer market as an asset for sale, the asset is classified as an operating asset and depreciation expense is reinstated. A gain or loss on the sale of a property will be recorded in the statement of operations.

 

Cost Capitalization   

 

A variety of costs are incurred in the acquisition and development of properties such as costs of acquiring a property development costs, construction costs, interest costs, real estate taxes, salaries and related costs and other costs incurred during the period of development. After determination is made to capitalize a cost, it is allocated to the specific component of a project that is benefited. Determination of when a development project is substantially complete and capitalization must cease involves a degree of judgment. Our capitalization policy on development properties is guided by ASC Topic 835-20 “Interest – Capitalization of Interest” and ASC Topic 970 “Real Estate - General”. We cease capitalization on costs upon completion.

 

Revenue Recognition

 

The Company will recognize revenues when (a) pervasive evidence that an agreement exists, (b) the product or service has been delivered, (c) the prices are fixed and determinable and not subject to refund or adjustment, and (d) collection of the amounts due are reasonably assured.

  

 68 

 

 

BUILDING BITS PROPERTIES I, LLC

NOTES TO THE FINANCIAL STATEMENTS

 

Income Taxes

 

The Company is taxed as a Limited Liability Company (LLC). Under these provisions, the Company does not pay federal corporate income taxes on its taxable income. Instead, the shareholders are liable for individual federal and state income taxes on their respective shares of the Company’s taxable income. The Company will pay state income taxes at reduced rates. The Company has yet to file a tax return and thus there are no open periods for review. In addition, the Company doesn’t have any open tax examinations.

 

Basic and Diluted Earnings (Loss) per Bit

 

The Company follows ASC 260, Earnings Per Share, to account for earnings (loss) per bit. Basic per bit (“EPS”) calculations are determined by dividing net loss by the weighted average number of common bits outstanding during the period. Diluted earnings per bit calculations are determined by dividing net income by the weighted average number of common bits and dilutive common bit equivalents outstanding. During periods when common bit equivalents, if any, are anti-dilutive, they are not considered in the computation. As of December 31, 2017, there were 25,000 common bits outstanding.

 

Concentration of Credit Risk

 

The Company maintains its cash with a bank, which is located in the United States of America and which it believes to be creditworthy.  Balances are insured by the Federal Deposit Insurance Corporation up to $250,000.  At times, the Company may maintain balances in excess of the federally insured limits.

 

Offering Costs

 

The Company will capitalize costs related to its offering under Regulation A Plus and will offset the proceeds from the sale of bits in equity. In the event the offering is unsuccessful, such costs will be expensed. During the period, the Company expensed $9,000 incurred from Sageworks Capital, LLC (“Sageworks”) – see Note 3.

 

Recent Accounting Pronouncements

 

The Financial Accounting Standards Board (“FASB”) issues Accounting Standard Updates (“ASU”) to amend the authoritative literature in ASC. There have been a number of ASUs to date that amend the original text of ASC. The Company believes those issued to date either (i) provide supplemental guidance, (ii) are technical corrections, (iii) are not applicable to the Company or (iv) are not expected to have a significant impact on the Company.

 

NOTE 3 – COMMITMENTS AND CONTINGENCIES

 

The Company is not currently involved with, and does not know of any pending or threatening litigation against the Company.

 

On May 30, 2017, the Company entered into an agreement with Sageworks, a registered broker-dealer. BB Holdings, LLC holds a minority equity stake in Sageworks of approximately 5%. The Company paid Sageworks $9,000 during the period. This agreement was terminated and the costs were expensed.

 

 69 

 

 

BUILDING BITS PROPERTIES I, LLC

NOTES TO THE FINANCIAL STATEMENTS

 

NOTE 4 – MEMBER’S EQUITY

 

LLC Units

As of December 31, 2017, the Company has authorized and issued 25,000 Common Bits to its initial member, BB Holdings for cash of $25,000. The Manager is authorized to create and issue new classes of Bits as necessary without amendment to the Company’s operating agreement. New classes of Bits may be issued with specific rights identified in Bit designations related to those Bits.

 

Profits and losses shall be allocated to holders of Common Bits in proportion to their respective ownership of issued Bits.

 

The Manager or its Affiliates shall be entitled to receive the following fees:

 

(a)          Asset Management Fee equal to an annualized rate of up to 1.50% of the Company’s net asset value (“NAV”) at the end of each prior month. Additionally, following 30-days notice to members, the Manager may increase its asset management fee to an annualized rate of up to 2.00%.

 

(b)          Disposition Fees. Disposition fee of up to 2.50% of the gross proceeds from the liquidation of any of the Company’s equity investments in real estate.

 

The Manager or its affiliates, in their sole discretion may defer or waive any fee payable to it under this Agreement.  All or any portion of any deferred fees will be deferred without interest and paid when the Manager determines.

 

Reimbursement of Expenses. The Company shall pay or reimburse the Manager and its Affiliates for the following:

 

(a)          Formation Expenses. All third-party charges and out-of-pocket costs and expenses (collectively, “Formation Expenses”) incurred by the Company, the Manager and its Affiliates in connection with the formation of the Company, the offering of Bits, and the admission of investors in the Company. Reimbursement payments shall not exceed 0.50% of the aggregate gross proceeds from an Offering.

 

(b)          Operating Expenses. All third party charges and out-of-pocket costs and expenses incurred by the Manager or its Affiliate that are related to the operations of the Company, including, without limitation, those related to (i) forming and operating Subsidiaries, (ii) accounting, auditing, tax return preparation, financial reporting, and legal services, and insurance, including without limitation to protect the Company, the Manager, its Affiliates, and Members in connection with the performance of activities related to Company, (iii) the Company’s indemnification of the Indemnified Parties pursuant to this Agreement, (iv) litigation, (v) borrowings of the Company, (vi) liquidating the Company, (vii) any taxes, fees or other governmental charges levied against the Company and all expenses incurred in connection with any tax audit, investigation, settlement or review of the Company, and (ix) the costs of any third parties retained to provide services to Company.

 

The Company intends to issue Bits bearing Bit Designations that carry specific financial rights connected to the profits and losses received by the Company from specific wholly-owned subsidiaries of the Company.

 

 70 

 

 

BUILDING BITS PROPERTIES I, LLC

NOTES TO THE FINANCIAL STATEMENTS

 

Distributions of available cash flow will be paid no less frequently than annually. The Manager retains the right to increase the frequency of any distribution of available cash flow.

 

NOTE 5 – SUBSEQUENT EVENTS

 

The Company has evaluated subsequent events occurring after December 31, 2017, the balance sheet date through March 12, 2018, the issuance date of these financial statements. There have been no material events or transactions during this time which would have a material effect on the financial statements, other than what has been reported in the Company’s financial statements.

 

 71 

 

 

MAPLEWOOD AT&T PROPERTY FINANCIAL STATEMENTS

 

The unaudited income statement Maplewood Partners LLC covering the operation of the Maplewood AT&T Property from lease commencement to December 31, 2017 and the related notes to the income statement have been included in this offering circular.

 

 72 

 

 

Maplewood Partners LLC

 

Statement of Revenues and Expenses — Tax Basis

 

For the Year Ended

December 31, 2017

 

 73 

 

 

Maplewood Partners LLC

Statement of Revenues and Expenses – Tax Basis

For the Year Ended December 31, 2017

(Unaudited) 

 

       % 
         
Rent Income  $50,399    100.00 
           
Expense          
           
Bank Service Charges   200    0.40 
Professional Fees   1,000    1.98 
Insurance Expense   2,109    4.19 
Depreciation Expense   14,198    28.17 
Repairs and Maintenance   600    1.19 
           
Total Expenses   18,107    35.93 
           
Net Income   32,291    64.07 

 

 74 

 

 

Maplewood Partners LLC

Notes to Financial Statements (Unaudited)

December 31, 2017

 

NOTE 1 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

 

Organization and Nature of Operation

 

Maplewood Partners LLC (the Company), a Minnesota Limited Liability Company, was organized in October 2016. The Company developed and owns real estate in Maplewood, Minnesota.

 

Basis of Accounting

 

The accompanying statement of revenues and expenses has been prepared based on accounting used for income tax reporting. This basis differs from generally accepted accounting principles which require that certain income and expense items resulting from timing differences be capitalized or recognized as appropriate to the period, rather than when incurred. These items include rental income, costs associated with rental income, and depreciation.

 

Depreciation

 

The Company has computed depreciation in accordance with methods required for federal income tax purposes which do not result in an allocation of depreciation over the assets’ estimated useful lives.

 

Depreciation is computed using accelerated methods authorized under the Internal Revenue Code over 39 years.

 

Income Taxes

 

No provision is made for income taxes. Income taxes are paid by the members on their personal returns based on their pro-rata share of income and expenses.

 

Capitalized Costs

 

All costs for the construction of the property, including loan interest, have been capitalized in 2017, thus no interest expense is shown on the statement of revenues and expenses – tax basis for the year ended December 31, 2017.

 

The approximate interest capitalized was $51,000. All future interest will be expensed.

 

Advertising Costs

 

No advertising costs were incurred for the year ended December 31, 2017.

 

Subsequent Events

 

In preparing these financial statements, the Company has evaluated events and transaction for potential recognition or disclosure through May 1, 2018, the date the financial statements were available to be issued.

 

 75 

 

 

Maplewood Partners LLC

Notes to Financial Statements (Unaudited)

December 31, 2017

 

NOTE 2 DESCRIPTION OF LEASING ARRANGEMENTS

 

The Company leases its property under a noncancelable 10-year lease beginning October 27, 2017, which is when AT&T Mobility (the tenant) opened its store. The following is a schedule of estimated future minimum lease revenue for each year ended December 31:

 

2018  $236,775 
2019   236,775 
2020   236,775 
2021   236,775 
2022   240,722 
Thereafter   1,258,855 
      
Total Minimum  $2,446,677 

 

The tenant has two 5-year options to renew. The first extension term has annual rents of $286,798 and the second extension term has annual rents of $315,169.

 

The lease will also include the tenant’s share of taxes, insurance and operating expenses not to exceed $10 per square foot. Please reference the actual lease agreement for further details.

 

 76 

 

 

PART III – EXHIBITS

 

Index to Exhibits  

 

2.1Certificate of Formation of Building Bits Properties I, LLC**

 

2.2Operating Agreement of Building Bits Properties I, LLC**

 

2.3.1 Class Xfinity-Williamsport.PA Bit Designation

 

2.3.2 Class Hollywood12-Portland.OR Bit Designation

 

2.3.3 Class AT&T-Maplewood.MN Bit Designation

 

2.3.4 Class Sleep Number-Shenandoah.TX Bit Designation

 

2.4 Form of Property LLC Operating Agreement

 

4.1 Form of Subscription Agreement

 

6.1.1 Williamsport Xfinity Property  Purchase and Sale Agreement

 

6.1.2 Hollywood 12 Apartments Property Purchase and Sale Agreement

 

6.1.3 Maplewood AT&T Property Purchase and Sale Agreement

 

6.1.4 Shenandoah Sleep Number Property Purchase and Sale Agreement

 

8.1 Escrow Agreement with Provident Trust Group, LLC

 

11.1 Consent of Auditing Accountant, dbbmckennon

 

12.1 Opinion of Counsel

 

13.1 BuildingBits Blog Homepage**

 

13.2 BuildingBits Blog Investor Page**

 

13.3 BuildingBits Blog Property Owner Page**

 

** Previously filed

 

* To be provided by amendment to this offering circular

 

 77 

 

 

SIGNATURES

 

Pursuant to the requirements of Regulation A, the issuer certifies that it has reasonable grounds to believe that it meets all of the requirements for filing on Form 1-A and has duly caused this offering statement to be signed on its behalf by the undersigned, thereunto duly authorized, in Portland, Oregon, on May 11, 2018.

 

  Building Bits Properties I, LLC
  By: BuildingBits Asset Management, LLC its Manager
       
  By: /s/ Alexander Aginsky
    Name:  Alexander Aginsky
    Title:   Chief Executive Officer

 

This offering statement has been signed by the following persons in the capacities and on the dates indicated. 

 

By: /s/ Alexander Aginsky  
  Name: Alexander Aginsky  
  Title:  Chief Executive Officer, Principal Financial Officer and Principal Accounting Officer of BuildingBits Asset Management, LLC  
  Date: May 11, 2018  

 

By: /s/ Andrei Zverev  
  Name: Andrei Zverev  
  Title:  Chief Operating Officer of BuildingBits Asset Management, LLC  
  Date: May 11, 2018  

 

 78 

 

EX1A-2B BYLAWS 3 tv493263_ex2-31.htm EXHIBIT 2.3.1

 

Exhibit 2.3.1

 

BUILDING BITS PROPERTIES I, LLC

BIT DESIGNATION OF

THE SPECIAL ECONOMIC RIGHTS

OF

CLASS XFINITY-WILLIAMSPORT.PA COMMON BITS

 

BUILDING BITS PROPERTIES I, LLC, a Delaware limited liability company (the “Company”), pursuant to the provisions of the Delaware Limited Liability Company Act and the Operating Agreement dated October 30, 2017, as amended from time to time (the “Operating Agreement”), does hereby state and certify that, pursuant to the authority expressly vested in BuildingBits Asset Management, LLC, a Delaware limited liability company and the Company’s Manager (the “Manager”), the Manager duly adopted the following resolution, which remains in full force and effect as of the date hereof:

 

RESOLVED, that this Bit Designation of the Class Xfinity-Williamsport.PA Common Bits dated as of May 4, 2018 (this “Bit Designation”) be and hereby is adopted as follows:

 

1. Designation.

 

(a)    Pursuant to Section 3.2 of the Operating Agreement, there is hereby created a class of Bits designated as the Class Xfinity-Williamsport.PA Common Bits (the “Class Xfinity-Williamsport.PA Common Bits”), which shall each have a special economic rights identified in Section 3 of this Bit Designation related to the performance of the Williamsport Xfinity Property described in the Form 1-A of the Company (the “Building Bits Property”). The Manager is authorized to provide for the issuance of up to 2,121,116 Class Xfinity-Williamsport.PA Common Bits.

 

(b)    All Class Xfinity-Williamsport.PA Common Bits issued pursuant to, and in accordance with the requirements of this Bit Designation, shall be fully paid and non-assessable Bits of the Company.

 

(c)    Upon a Change of Control Event as defined in Section 2 of this Bit Designation, the Class Xfinity-Williamsport.PA Common Bits will cease to exist and holders will receive cash as provided in Section 4 of this Bit Designation.

 

2. Definitions. For purposes of this Bit Designation, the following terms have the meanings ascribed to them below. Capitalized terms used herein without definition have the meanings ascribed to such terms in the Operating Agreement.

 

Change of Control Event” means, with respect to the Building Bits Property, (i) an election to dissolve Building Bits Property by its Manager, (ii) the sale, exchange or other disposition of all or substantially all of the assets and properties of Building Bits Property, or (iii) the entry of a decree of judicial dissolution of Building Bits Property pursuant to the provisions of the Delaware Act.

 

Closing Date” means, with respect to a Class Xfinity-Williamsport.PA Common Bits, the date on which the first closing in the offering Under Regulation A took place.

 

Distribution Payment Date” has the meaning assigned to it in Section 3(a) hereof.

 

Distribution Period” means a period commencing on, and including, a Distribution Payment Date, to, but not including, the following Distribution Payment Date.

 

Distribution Record Date” has the meaning assigned to it in Section 3(a) hereof.

 

3. Special Economic Rights.

 

(a)    Right to Distributions from Building Bits Property. Each holder of Class Xfinity-Williamsport.PA Common Bits shall be entitled to receive, out of funds legally available after fees have been paid to the Manager or its Affiliates under Section 5.10 of the Operating Agreement, and expenses under Section 5.13 of the Operating Agreement, a pro rata cash distribution of the funds received by the Company from Building Bits Property (“Special Distributions”) on each Class Xfinity-Williamsport.PA Common Bit. Any Special Distributions that have been declared shall be payable in arrears on the last day of the first fiscal quarter following the end of each applicable year (each, a “Distribution Payment Date”) to the holders of record as they appear in the books and records of the Company for the Class Xfinity-Williamsport.PA Common Bits at the close of business on the 10th business day preceding the Distribution Payment Date (each, a “Distribution Record Date”); provided, that if any Distribution Payment Date is not a Business Day, then the Special Distribution which would otherwise have been payable on that Distribution Payment Date may be paid on the next succeeding Business Day. Any Special Distribution payable on the Class Xfinity-Williamsport.PA Common Bits, including distributions payable for any partial Distribution Period, will be computed on the basis of a 360-day year consisting of twelve 30-day months.

 

 

 

 

(b)   Option to Make Quarterly Distributions. In the sole determination of the Manager, Special Distributions identified in Section 3(a) may be payable on a regular frequency, not less than on an annual basis. The Manager may determine the Distribution Payment Date and Distribution Record Date, provided that the Distribution Record Date may not be less than 10 days prior to the Distribution Payment Date.

 

4. Automatic Resignation and Conversion to Cash.

 

(a)   Automatic Resignation of Bitholder. In the event of a Change of Control Event, holders of the Class Xfinity-Williamsport.PA Common Bits identified in this Bit Designation shall automatically resign from the Company upon the receipt of the cash payment under Section 4(b)(i) of this Bit Designation.

 

(i)    Upon resignation of the Bitholder under this Section, the Class Xfinity-Williamsport.PA Common Bits held by the Bitholder shall cease to exist.

 

(b)Automatic Conversion to Cash.

 

(i)    Upon the occurrence of a Change of Control Event, each of the holders of the Class Xfinity-Williamsport.PA Common Bits shall receive a cash sum equal to the pro rata share of the net proceeds received by the Company as a result of the Change of Control Event, after deduction of fees set out in Section 5.10 of the Operating Agreement..

 

5. Voting Rights. Holders of Class Xfinity-Williamsport.PA Common Bits shall not have the right to vote or provide consent in matters coming before the Members under Section 5.2(c) of the Operating Agreement.

 

6. Amendments and Waivers. This Bit Designation may be amended from time to time by the affirmative vote or consent of the Manager and the holders of a majority of the then issued and outstanding Class Xfinity-Williamsport.PA Common Bits. Amendments to this Agreement may be proposed only by or with the consent of the Manager.

 

7. Invalidity of Provisions. If any provision of this Agreement is or becomes invalid, illegal or unenforceable in any respect, the validity, legality and enforceability of the remaining provisions contained herein shall not be affected thereby.

 

[Signature Page Follows]

 

 

 

 

IN WITNESS WHEREOF, this Bit Designation has been executed as of the date first written above.

 

  MANAGER:
   
  BUILDINGBITS ASSET MANAGEMENT, LLC
     
  By: /s/Andrei Zverev
    Name: Andrei Zverev
    Title: Manager

 

 

 

EX1A-2B BYLAWS 4 tv493263_ex2-32.htm EXHIBIT 2.3.2

 

Exhibit 2.3.2

 

BUILDING BITS PROPERTIES I, LLC

BIT DESIGNATION OF

THE SPECIAL ECONOMIC RIGHTS

OF

CLASS HOLLYWOOD12-PORTLAND.OR COMMON BITS

 

BUILDING BITS PROPERTIES I, LLC, a Delaware limited liability company (the “Company”), pursuant to the provisions of the Delaware Limited Liability Company Act and the Operating Agreement dated October 30, 2017, as amended from time to time (the “Operating Agreement”), does hereby state and certify that, pursuant to the authority expressly vested in BuildingBits Asset Management, LLC, a Delaware limited liability company and the Company’s Manager (the “Manager”), the Manager duly adopted the following resolution, which remains in full force and effect as of the date hereof:

 

RESOLVED, that this Bit Designation of the Class Hollywood12-Portland.OR Common Bits dated as of May 4, 2018 (this “Bit Designation”) be and hereby is adopted as follows:

 

1. Designation.

 

(a)    Pursuant to Section 3.2 of the Operating Agreement, there is hereby created a class of Bits designated as the Class Hollywood12-Portland.OR Common Bits (the “Class Hollywood12-Portland.OR Common Bits”), which shall each have a special economic rights identified in Section 3 of this Bit Designation related to the performance of the Hollywood 12 Apartments Property described in the Form 1-A of the Company (the “Building Bits Property”). The Manager is authorized to provide for the issuance of up to 4,680,270 Class Hollywood12-Portland.OR Common Bits.

 

(b)    All Class Hollywood12-Portland.OR Common Bits issued pursuant to, and in accordance with the requirements of this Bit Designation, shall be fully paid and non-assessable Bits of the Company.

 

(c) Upon a Change of Control Event as defined in Section 2 of this Bit Designation, the Class Hollywood12-Portland.OR Common Bits will cease to exist and holders will receive cash as provided in Section 4 of this Bit Designation.

 

2. Definitions. For purposes of this Bit Designation, the following terms have the meanings ascribed to them below. Capitalized terms used herein without definition have the meanings ascribed to such terms in the Operating Agreement.

 

Change of Control Event” means, with respect to the Building Bits Property, (i) an election to dissolve Building Bits Property by its Manager, (ii) the sale, exchange or other disposition of all or substantially all of the assets and properties of Building Bits Property, or (iii) the entry of a decree of judicial dissolution of Building Bits Property pursuant to the provisions of the Delaware Act.

 

Closing Date” means, with respect to a Class Hollywood12-Portland.OR Common Bits, the date on which the first closing in the offering Under Regulation A took place.

 

Distribution Payment Date” has the meaning assigned to it in Section 3(a) hereof.

 

Distribution Period” means a period commencing on, and including, a Distribution Payment Date, to, but not including, the following Distribution Payment Date.

 

Distribution Record Date” has the meaning assigned to it in Section 3(a) hereof.

 

3. Special Economic Rights.

 

(a)    Right to Distributions from Building Bits Property. Each holder of Class Hollywood12-Portland.OR Common Bits shall be entitled to receive, out of funds legally available after fees have been paid to the Manager or its Affiliates under Section 5.10 of the Operating Agreement, and expenses under Section 5.13 of the Operating Agreement, a pro rata cash distribution of the funds received by the Company from Building Bits Property (“Special Distributions”) on each Class Hollywood12-Portland.OR Common Bit. Any Special Distributions that have been declared shall be payable in arrears on the last day of the first fiscal quarter following the end of each applicable year (each, a “Distribution Payment Date”) to the holders of record as they appear in the books and records of the Company for the Class Hollywood12-Portland.OR Common Bits at the close of business on the 10th business day preceding the Distribution Payment Date (each, a “Distribution Record Date”); provided, that if any Distribution Payment Date is not a Business Day, then the Special Distribution which would otherwise have been payable on that Distribution Payment Date may be paid on the next succeeding Business Day. Any Special Distribution payable on the Class Hollywood12-Portland.OR Common Bits, including distributions payable for any partial Distribution Period, will be computed on the basis of a 360-day year consisting of twelve 30-day months.

 

 

 

 

(b)    Option to Make Quarterly Distributions. In the sole determination of the Manager, Special Distributions identified in Section 3(a) may be payable on a regular frequency, not less than on an annual basis. The Manager may determine the Distribution Payment Date and Distribution Record Date, provided that the Distribution Record Date may not be less than 10 days prior to the Distribution Payment Date.

 

4. Automatic Resignation and Conversion to Cash.

 

(a)     Automatic Resignation of Bitholder. In the event of a Change of Control Event, holders of the Class Hollywood12-Portland.OR Common Bits identified in this Bit Designation shall automatically resign from the Company upon the receipt of the cash payment under Section 4(b)(i) of this Bit Designation.

 

(i)    Upon resignation of the Bitholder under this Section, the Class Hollywood12-Portland.OR Common Bits held by the Bitholder shall cease to exist.

 

(b)Automatic Conversion to Cash.

 

(i)    Upon the occurrence of a Change of Control Event, each of the holders of the Class Hollywood12-Portland.OR Common Bits shall receive a cash sum equal to the pro rata share of the net proceeds received by the Company as a result of the Change of Control Event, after deduction of fees set out in Section 5.10 of the Operating Agreement..

 

5. Voting Rights. Holders of Class Hollywood12-Portland.OR Common Bits shall not have the right to vote or provide consent in matters coming before the Members under Section 5.2(c) of the Operating Agreement.

 

6. Amendments and Waivers. This Bit Designation may be amended from time to time by the affirmative vote or consent of the Manager and the holders of a majority of the then issued and outstanding Class Hollywood12-Portland.OR Common Bits. Amendments to this Agreement may be proposed only by or with the consent of the Manager.

 

7. Invalidity of Provisions. If any provision of this Agreement is or becomes invalid, illegal or unenforceable in any respect, the validity, legality and enforceability of the remaining provisions contained herein shall not be affected thereby.

 

[Signature Page Follows]

 

 

 

 

IN WITNESS WHEREOF, this Bit Designation has been executed as of the date first written above.

 

  MANAGER:
   
  BUILDINGBITS ASSET MANAGEMENT, LLC
     
  By:  /s/Andrei Zverev
    Name: Andrei Zverev
    Title: Manager

 

 

 

EX1A-2B BYLAWS 5 tv493263_ex2-33.htm EXHIBIT 2.3.3

 

Exhibit 2.3.3

 

BUILDING BITS PROPERTIES I, LLC

BIT DESIGNATION OF

THE SPECIAL ECONOMIC RIGHTS

OF

CLASS AT&T-MAPLEWOOD.MN COMMON BITS

 

BUILDING BITS PROPERTIES I, LLC, a Delaware limited liability company (the “Company”), pursuant to the provisions of the Delaware Limited Liability Company Act and the Operating Agreement dated October 30, 2017, as amended from time to time (the “Operating Agreement”), does hereby state and certify that, pursuant to the authority expressly vested in BuildingBits Asset Management, LLC, a Delaware limited liability company and the Company’s Manager (the “Manager”), the Manager duly adopted the following resolution, which remains in full force and effect as of the date hereof:

 

RESOLVED, that this Bit Designation of the Class AT&T-Maplewood.MN Common Bits dated as of May 4, 2018 (this “Bit Designation”) be and hereby is adopted as follows:

 

1. Designation.

 

(a)    Pursuant to Section 3.2 of the Operating Agreement, there is hereby created a class of Bits designated as the Class AT&T-Maplewood.MN Common Bits (the “Class AT&T-Maplewood.MN Common Bits”), which shall each have a special economic rights identified in Section 3 of this Bit Designation related to the performance of the Maplewood AT&T Property described in the Form 1-A of the Company (the “Building Bits Property”). The Manager is authorized to provide for the issuance of up to 4,150,125 Class AT&T-Maplewood.MN Common Bits.

 

(b)    All Class AT&T-Maplewood.MN Common Bits issued pursuant to, and in accordance with the requirements of this Bit Designation, shall be fully paid and non-assessable Bits of the Company.

 

(c)    Upon a Change of Control Event as defined in Section 2 of this Bit Designation, the Class AT&T-Maplewood.MN Common Bits will cease to exist and holders will receive cash as provided in Section 4 of this Bit Designation.

 

2. Definitions. For purposes of this Bit Designation, the following terms have the meanings ascribed to them below. Capitalized terms used herein without definition have the meanings ascribed to such terms in the Operating Agreement.

 

Change of Control Event” means, with respect to the Building Bits Property, (i) an election to dissolve Building Bits Property by its Manager, (ii) the sale, exchange or other disposition of all or substantially all of the assets and properties of Building Bits Property, or (iii) the entry of a decree of judicial dissolution of Building Bits Property pursuant to the provisions of the Delaware Act.

 

Closing Date” means, with respect to a Class AT&T-Maplewood.MN Common Bits, the date on which the first closing in the offering Under Regulation A took place.

 

Distribution Payment Date” has the meaning assigned to it in Section 3(a) hereof.

 

Distribution Period” means a period commencing on, and including, a Distribution Payment Date, to, but not including, the following Distribution Payment Date.

 

Distribution Record Date” has the meaning assigned to it in Section 3(a) hereof.

 

3. Special Economic Rights.

 

(a)    Right to Distributions from Building Bits Property. Each holder of Class AT&T-Maplewood.MN Common Bits shall be entitled to receive, out of funds legally available after fees have been paid to the Manager or its Affiliates under Section 5.10 of the Operating Agreement, and expenses under Section 5.13 of the Operating Agreement, a pro rata cash distribution of the funds received by the Company from Building Bits Property (“Special Distributions”) on each Class AT&T-Maplewood.MN Common Bit. Any Special Distributions that have been declared shall be payable in arrears on the last day of the first fiscal quarter following the end of each applicable year (each, a “Distribution Payment Date”) to the holders of record as they appear in the books and records of the Company for the Class AT&T-Maplewood.MN Common Bits at the close of business on the 10th business day preceding the Distribution Payment Date (each, a “Distribution Record Date”); provided, that if any Distribution Payment Date is not a Business Day, then the Special Distribution which would otherwise have been payable on that Distribution Payment Date may be paid on the next succeeding Business Day. Any Special Distribution payable on the Class AT&T-Maplewood.MN Common Bits, including distributions payable for any partial Distribution Period, will be computed on the basis of a 360-day year consisting of twelve 30-day months.

 

 

 

 

 

(b)    Option to Make Quarterly Distributions. In the sole determination of the Manager, Special Distributions identified in Section 3(a) may be payable on a regular frequency, not less than on an annual basis. The Manager may determine the Distribution Payment Date and Distribution Record Date, provided that the Distribution Record Date may not be less than 10 days prior to the Distribution Payment Date.

 

4. Automatic Resignation and Conversion to Cash.

 

(a)       Automatic Resignation of Bitholder. In the event of a Change of Control Event, holders of the Class AT&T-Maplewood.MN Common Bits identified in this Bit Designation shall automatically resign from the Company upon the receipt of the cash payment under Section 4(b)(i) of this Bit Designation.

 

(i)    Upon resignation of the Bitholder under this Section, the Class AT&T-Maplewood.MN Common Bits held by the Bitholder shall cease to exist.

 

(b)Automatic Conversion to Cash.

 

(i)    Upon the occurrence of a Change of Control Event, each of the holders of the Class AT&T-Maplewood.MN Common Bits shall receive a cash sum equal to the pro rata share of the net proceeds received by the Company as a result of the Change of Control Event, after deduction of fees set out in Section 5.10 of the Operating Agreement..

 

5. Voting Rights. Holders of Class AT&T-Maplewood.MN Common Bits shall not have the right to vote or provide consent in matters coming before the Members under Section 5.2(c) of the Operating Agreement.

 

6. Amendments and Waivers. This Bit Designation may be amended from time to time by the affirmative vote or consent of the Manager and the holders of a majority of the then issued and outstanding Class AT&T-Maplewood.MN Common Bits. Amendments to this Agreement may be proposed only by or with the consent of the Manager.

 

7. Invalidity of Provisions. If any provision of this Agreement is or becomes invalid, illegal or unenforceable in any respect, the validity, legality and enforceability of the remaining provisions contained herein shall not be affected thereby.

 

[Signature Page Follows]

 

 

 

 

IN WITNESS WHEREOF, this Bit Designation has been executed as of the date first written above.

 

  MANAGER:
   
  BUILDINGBITS ASSET MANAGEMENT, LLC
     
  By:  /s/Andrei Zverev
    Name: Andrei Zverev
    Title: Manager

 

 

 

EX1A-2B BYLAWS 6 tv493263_ex2-34.htm EXHIBIT 2.3.4

 

Exhibit 2.3.4

 

BUILDING BITS PROPERTIES I, LLC

BIT DESIGNATION OF

THE SPECIAL ECONOMIC RIGHTS

OF

CLASS SLEEP NUMBER-SHENANDOAH.TX COMMON BITS

 

BUILDING BITS PROPERTIES I, LLC, a Delaware limited liability company (the “Company”), pursuant to the provisions of the Delaware Limited Liability Company Act and the Operating Agreement dated October 30, 2017, as amended from time to time (the “Operating Agreement”), does hereby state and certify that, pursuant to the authority expressly vested in BuildingBits Asset Management, LLC, a Delaware limited liability company and the Company’s Manager (the “Manager”), the Manager duly adopted the following resolution, which remains in full force and effect as of the date hereof:

 

RESOLVED, that this Bit Designation of the Class Sleep Number-Shenandoah.TX Common Bits dated as of May 4, 2018 (this “Bit Designation”) be and hereby is adopted as follows:

 

1. Designation.

 

(a)    Pursuant to Section 3.2 of the Operating Agreement, there is hereby created a class of Bits designated as the Class Sleep Number-Shenandoah.TX Common Bits (the “Class Sleep Number-Shenandoah.TX Common Bits”), which shall each have a special economic rights identified in Section 3 of this Bit Designation related to the performance of the Maplewood AT&T Property described in the Form 1-A of the Company (the “Building Bits Property”). The Manager is authorized to provide for the issuance of up to 3,962,700 Class Sleep Number-Shenandoah.TX Common Bits.

 

(b)    All Class Sleep Number-Shenandoah.TX Common Bits issued pursuant to, and in accordance with the requirements of this Bit Designation, shall be fully paid and non-assessable Bits of the Company.

 

(c)     Upon a Change of Control Event as defined in Section 2 of this Bit Designation, the Class Sleep Number-Shenandoah.TX Common Bits will cease to exist and holders will receive cash as provided in Section 4 of this Bit Designation.

 

2. Definitions. For purposes of this Bit Designation, the following terms have the meanings ascribed to them below. Capitalized terms used herein without definition have the meanings ascribed to such terms in the Operating Agreement.

 

Change of Control Event” means, with respect to the Building Bits Property, (i) an election to dissolve Building Bits Property by its Manager, (ii) the sale, exchange or other disposition of all or substantially all of the assets and properties of Building Bits Property, or (iii) the entry of a decree of judicial dissolution of Building Bits Property pursuant to the provisions of the Delaware Act.

 

Closing Date” means, with respect to a Class Sleep Number-Shenandoah.TX Common Bits, the date on which the first closing in the offering Under Regulation A took place.

 

Distribution Payment Date” has the meaning assigned to it in Section 3(a) hereof.

 

Distribution Period” means a period commencing on, and including, a Distribution Payment Date, to, but not including, the following Distribution Payment Date.

 

Distribution Record Date” has the meaning assigned to it in Section 3(a) hereof.

 

3. Special Economic Rights.

 

(a)    Right to Distributions from Building Bits Property. Each holder of Class Sleep Number-Shenandoah.TX Common Bits shall be entitled to receive, out of funds legally available after fees have been paid to the Manager or its Affiliates under Section 5.10 of the Operating Agreement, and expenses under Section 5.13 of the Operating Agreement, a pro rata cash distribution of the funds received by the Company from Building Bits Property (“Special Distributions”) on each Class Sleep Number-Shenandoah.TX Common Bit. Any Special Distributions that have been declared shall be payable in arrears on the last day of the first fiscal quarter following the end of each applicable year (each, a “Distribution Payment Date”) to the holders of record as they appear in the books and records of the Company for the Class Sleep Number-Shenandoah.TX Common Bits at the close of business on the 10th business day preceding the Distribution Payment Date (each, a “Distribution Record Date”); provided, that if any Distribution Payment Date is not a Business Day, then the Special Distribution which would otherwise have been payable on that Distribution Payment Date may be paid on the next succeeding Business Day. Any Special Distribution payable on the Class Sleep Number-Shenandoah.TX Common Bits, including distributions payable for any partial Distribution Period, will be computed on the basis of a 360-day year consisting of twelve 30-day months.

 

 

 

 

(b)    Option to Make Quarterly Distributions. In the sole determination of the Manager, Special Distributions identified in Section 3(a) may be payable on a regular frequency, not less than on an annual basis. The Manager may determine the Distribution Payment Date and Distribution Record Date, provided that the Distribution Record Date may not be less than 10 days prior to the Distribution Payment Date.

 

4. Automatic Resignation and Conversion to Cash.

 

(a)     Automatic Resignation of Bitholder. In the event of a Change of Control Event, holders of the Class Sleep Number-Shenandoah.TX Common Bits identified in this Bit Designation shall automatically resign from the Company upon the receipt of the cash payment under Section 4(b)(i) of this Bit Designation.

 

(i)    Upon resignation of the Bitholder under this Section, the Class Sleep Number-Shenandoah.TX Common Bits held by the Bitholder shall cease to exist.

 

(b)    Automatic Conversion to Cash.

 

(i)     Upon the occurrence of a Change of Control Event, each of the holders of the Class Sleep Number-Shenandoah.TX Common Bits shall receive a cash sum equal to the pro rata share of the net proceeds received by the Company as a result of the Change of Control Event, after deduction of fees set out in Section 5.10 of the Operating Agreement..

 

5. Voting Rights. Holders of Class Sleep Number-Shenandoah.TX Common Bits shall not have the right to vote or provide consent in matters coming before the Members under Section 5.2(c) of the Operating Agreement.

 

6. Amendments and Waivers. This Bit Designation may be amended from time to time by the affirmative vote or consent of the Manager and the holders of a majority of the then issued and outstanding Class Sleep Number-Shenandoah.TX Common Bits. Amendments to this Agreement may be proposed only by or with the consent of the Manager.

 

7. Invalidity of Provisions. If any provision of this Agreement is or becomes invalid, illegal or unenforceable in any respect, the validity, legality and enforceability of the remaining provisions contained herein shall not be affected thereby.

 

[Signature Page Follows]

 

 

 

 

IN WITNESS WHEREOF, this Bit Designation has been executed as of the date first written above.

 

  MANAGER:
   
  BUILDINGBITS ASSET MANAGEMENT, LLC
     
  By:  /s/Andrei Zverev
    Name: Andrei Zverev
    Title: Manager

 

 

 

EX1A-2B BYLAWS 7 tv493263_ex2-4.htm EXHIBIT 2.4

 

Exhibit 2.4

 

OPERATING AGREEMENT

OF

[PROPERTY LLC]

 

THIS OPERATING AGREEMENT of [PROPERTY LLC], a Delaware limited liability company (the “Company”), is made as of [DATE] by and between the Company, Building Bits Properties I, LLC (the “Member”), and BuildingBits Asset Management, LLC (the “Manager”).

 

1.FORMATION

 

1.1           Name. The name of this limited liability company is [PROPERTY LLC].

 

1.2           Articles of Organization. Articles of organization for the Company were filed with the Secretary of State for the state of Delaware on [DATE].

 

1.3           Duration. The Company will exist until dissolved as provided in this agreement.

 

1.4           Principal Office. The Company’s principal office will initially be at 45 NW 10th Ave, Suite 306, Portland, OR 97209, but may be relocated by the Manager at any time.

 

1.5           Designated Office and Agent for Service of Process. The Company's initial designated office will be at                                                                                , and the name of its initial agent for service of process at that address will be                                                           . The Company’s designated office and its agent for service of process may only be changed by filing notice of the change with the Secretary of State of the state in which the articles of organization of the Company were filed.

 

1.6           Purposes and Powers. The Company is formed for the purpose of engaging in any lawful business that a limited liability company may engage in under the Delaware Limited Liability Company Act (the “Act”). The Company has the power to do all things necessary, incident, or in furtherance of that business.

 

1.7           Title to Assets. Title to all assets of the Company will be held in the name of the Company. The Member does not have any right to the assets of the Company or any ownership interest in those assets except indirectly as a result of the Member’s ownership of an interest in the Company.

 

2.MEMBER

 

2.1           Name and Address. The name and address of the sole member of the Company is Building Bits Properties I, LLC.

Page 1 of 6 – [PROPERTY LLC] Operating Agreement 

 

 

2.2           Termination of Member's Interest. The Member will cease to be a member of the Company upon the Member's death, incompetency, or bankruptcy, or upon assignment of the Member's entire membership interest. Unless there are one or more other members of the Company, the person who is the holder of the Member's interest immediately after the Member ceases to be a member will become a member. If there are one or more other members of the Company at the time the Member ceases to be a member, the person who is the holder of the Member's interest immediately after the Member ceases to be a member will become a member only with the consent of the other member or members.

 

2.3           Additional Members. Except for the holder of a member's interest who becomes a member under the provisions of the section of this agreement relating to termination of member's interest, additional members of the Company may be admitted only by written agreement of the Member and the additional members.

 

3.CAPITAL

 

3.1           Initial Capital Contribution. The Member has contributed to the Company the assets as reflected on the books of the Company and has obtained the Membership Interest described on Exhibit A. The Member may contribute additional cash and other assets to the Company as the Members and the Company may agree. No person shall have the right to enforce any obligation of the Member to contribute capital to the Company.

 

3.2           Additional Contributions. Except as otherwise provided in the Act, the Member is not required to contribute additional capital to the Company. But the Member may make additional capital contributions to the Company from time to time as the Member wishes.

 

3.3           No Interest on Capital Contributions. No interest will be paid on capital contributions.

 

3.4           Capital Account. A capital account will be maintained for the Member. The Member's capital account will be credited with all capital contributions made by the Member and with all income and gain (including any income exempt from federal income tax) of the Company, and the Member’s capital account will be charged with the amount of all distributions made to the Member and with all losses and deductions (including deductions attributable to tax- exempt income) of the Company.

 

4.PROFITS AND LOSSES AND DISTRIBUTIONS

 

4.1           Profits and Losses. The entire net profit or net loss of the Company for each fiscal year will be allocated to the Member and must be reported by the Member on all federal, state, and local income and other tax returns required to be filed by the Member.

 

Page 2 of 6 – [PROPERTY LLC] Operating Agreement 

 

 

4.2           Distributions. Subject to the restrictions governing distributions under the Act, distributions of cash or property may be made from time to time by the Company to the Member, as the Manager directs. But the assets of the Company may not be used to pay the separate expenses of the Member, to make personal investments for the account of the Member, or for any other purpose not related to the business of the Company.

 

5.ADMINISTRATION OF COMPANY BUSINESS

 

5.1           Management by Manager. The management of the business and affairs of the Company shall be vested in its Manager. The initial Manager of the Company is BuildingBits Asset Management, LLC, with Alexander Aginsky and Andei Zverev authorized to act for the Manager. Actions by the Manager relating to the management of the Company may be memorialized in written resolutions signed by the Manager, but written resolutions are not required to authorize action by the Manager.

 

5.2           Duties. The Manager shall carry out its duties in accordance with the contractual obligation of good faith and fair dealing. The Manager shall have no fiduciary duties to the Company or to the Member.

 

5.3           Term. The Manager shall hold office until its resignation, becomes bankrupt, or is removed by the Member.

 

5.4           Transactions Between the Company and its Manager. The Manager may cause the Company to contract and deal with the Manager, or any person or entity affiliated with the Manager, provided such contracts and dealings are on terms comparable to and competitive with those available to the Company from arm’s length parties or is approved by the Member in writing.

 

5.5           Compensation and Reimbursement. The Manager is not entitled to the payment of any salary or other compensation for services provided to the Company. The Manager is, however, entitled to reimbursement from the Company for reasonable expenses incurred on behalf of the Company, including expenses incurred in the formation, dissolution, and liquidation of the Company.

 

6.ACCOUNTING AND RECORDS

 

6.1           Books and Records. The Company may keep such books and records relating to the operation of the Company as are appropriate and adequate for the Company's business. The books and records are to be available for inspection by the Member at the principal office of the Company.

 

6.2           Separate Accounts. The funds, assets, properties, and accounts of the Company must be maintained separately, and may not be commingled with those of the Member, Manager or any other person.

 

Page 3 of 6 – [PROPERTY LLC] Operating Agreement 

 

 

6.3           Fiscal Year. The fiscal year of the Company will be the calendar year.

 

7.DISSOLUTION AND WINDING UP

 

7.1           Events of Dissolution. The Company will dissolve upon the earlier of

(a) approval of dissolution by the Manager or (b) such time as the Company has no members. Neither the death, incompetency, or bankruptcy of the Member nor the assignment of the Member's entire membership interest will dissolve the Company.

 

7.2           Winding Up and Liquidation. Upon the dissolution of the Company, the affairs of the Company must be wound up by the Manager. If the affairs of the Company are to be wound up, a full account must be taken of the assets and liabilities of the Company, and the assets of the Company must then be promptly liquidated. The proceeds must first be paid to creditors of the Company in satisfaction of all liabilities and obligations of the Company, including, to the extent permitted by law, liabilities and obligations owed to the Member as a creditor. Any remaining proceeds may then be distributed to the Member. Property of the Company may be distributed in kind in the process of winding up and liquidation.

 

7.3           Negative Capital Account. If the Member has a negative balance in the Member's capital account upon liquidation of the Company, the Member will have no obligation to make any contribution to the capital of the Company to make up the deficit, and the deficit will not be considered a debt owed to the Company or any other person for any purpose.

 

8.INDEMNIFICATION AND LIABILITY LIMITATION

 

8.1           Indemnification. The Company must indemnify the Manager to the fullest extent permissible under the laws of Delaware, as the same exists or may hereafter be amended, against all liability, loss, and costs (including, without limitation, attorneys’ fees) incurred or suffered by the Manager by reason of or arising from the fact that the Manager is or was a manager of the Company, or is or was serving at the request of the Company as a manager, member, director, officer, partner, trustee, employee, or agent of another foreign or domestic limited liability company, corporation, partnership, joint venture, trust, benefit plan, or other enterprise. The Company may, by action of the Manager, provide indemnification to employees and agents of the Company who are not members. The indemnification provided in this section will not be exclusive of any other rights to which any person may be entitled under any statute, agreement, resolution of the Member, contract, or otherwise.

 

8.2           Limitation of Liability. Neither the Member nor the Manager shall be liable to the Company for monetary damages resulting from the Member’s or Manager’s conduct except to the extent that the Act, as it now exists or may be amended in the future, prohibits the elimination or limitation of liability of members or managers of limited liability companies. No repeal or amendment of this section or of the Act will adversely affect any right or protection of the Member or Manager for actions or omissions prior to the repeal or amendment.

 

Page 4 of 6 – [PROPERTY LLC] Operating Agreement 

 

 

9.MISCELLANEOUS PROVISIONS

 

9.1           Amendment. The Manager may amend or repeal all or part of this agreement by written instrument with written approval of the Member.

 

9.2           Governing Law. This agreement will be governed by the laws of the state of Delaware.

 

9.3           Severability. If any provision of this agreement is invalid or unenforceable, it will not affect the remaining provisions.

 

The parties hereto have executed this Operating Agreement as of the date first set forth above.

 

By:     By:  
  Building Bits Properties I, LLC     BuidlingBits Asset Management, LLC

 

Page 5 of 6 – [PROPERTY LLC] Operating Agreement 

 

 

EXHIBIT A

 

 

 

EX1A-4 SUBS AGMT 8 tv493263_ex4-1.htm EXHIBIT 4.1

 

Exhibit 4.1

 

BUILDING BITS PROPERTIES I, LLC

 

CLASS [TBD] COMMON BITS

 

SUBSCRIPTION AGREEMENT

 

THIS INVESTMENT INVOLVES A HIGH DEGREE OF RISK. THIS INVESTMENT IS SUITABLE ONLY FOR PERSONS WHO CAN BEAR THE ECONOMIC RISK FOR AN INDEFINITE PERIOD OF TIME AND WHO CAN AFFORD TO LOSE THEIR ENTIRE INVESTMENT. FURTHERMORE, INVESTORS MUST UNDERSTAND THAT SUCH INVESTMENT IS ILLIQUID AND IS EXPECTED TO CONTINUE TO BE ILLIQUID FOR AN INDEFINITE PERIOD OF TIME. NO PUBLIC MARKET EXISTS FOR THE SECURITIES, AND NO PUBLIC MARKET IS EXPECTED TO DEVELOP FOLLOWING THIS OFFERING.

 

THE SECURITIES OFFERED HEREBY HAVE NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED (THE “ACT”), OR ANY STATE SECURITIES OR BLUE SKY LAWS AND ARE BEING OFFERED AND SOLD IN RELIANCE ON EXEMPTIONS FROM THE REGISTRATION REQUIREMENTS OF THE ACT AND STATE SECURITIES OR BLUE SKY LAWS. ALTHOUGH AN OFFERING STATEMENT HAS BEEN FILED WITH THE SECURITIES AND EXCHANGE COMMISSION (THE “SEC”), THAT OFFERING STATEMENT DOES NOT INCLUDE THE SAME INFORMATION THAT WOULD BE INCLUDED IN A REGISTRATION STATEMENT UNDER THE ACT. THE SECURITIES HAVE NOT BEEN APPROVED OR DISAPPROVED BY THE SEC, ANY STATE SECURITIES COMMISSION OR OTHER REGULATORY AUTHORITY, NOR HAVE ANY OF THE FOREGOING AUTHORITIES PASSED UPON THE MERITS OF THIS OFFERING OR THE ADEQUACY OR ACCURACY OF THE SUBSCRIPTION AGREEMENT OR ANY OTHER MATERIALS OR INFORMATION MADE AVAILABLE TO SUBSCRIBER IN CONNECTION WITH THIS OFFERING OVER THE WEB-BASED PLATFORM MAINTAINED BY BUILDINGBITS PLATFORM (THE “PLATFORM”) OR THROUGH [BROKER] (THE “BROKER”). ANY REPRESENTATION TO THE CONTRARY IS UNLAWFUL.

 

INVESTORS WHO ARE NOT “ACCREDITED INVESTORS” (AS THAT TERM IS DEFINED IN SECTION 501 OF REGULATION D PROMULGATED UNDER THE ACT) ARE SUBJECT TO LIMITATIONS ON THE AMOUNT THEY MAY INVEST, AS SET OUT IN SECTION 4(d). THE COMPANY IS RELYING ON THE REPRESENTATIONS AND WARRANTIES SET FORTH BY EACH SUBSCRIBER IN THIS SUBSCRIPTION AGREEMENT AND THE OTHER INFORMATION PROVIDED BY SUBSCRIBER IN CONNECTION WITH THIS OFFERING TO DETERMINE THE APPLICABILITY TO THIS OFFERING OF EXEMPTIONS FROM THE REGISTRATION REQUIREMENTS OF THE ACT.

 

 

 

 

PROSPECTIVE INVESTORS MAY NOT TREAT THE CONTENTS OF THE SUBSCRIPTION AGREEMENT, THE OFFERING CIRCULAR OR ANY OF THE OTHER MATERIALS AVAILABLE ON THE PLATFORM OR PROVIDED BY THE BROKER (COLLECTIVELY, THE “OFFERING MATERIALS”) OR ANY PRIOR OR SUBSEQUENT COMMUNICATIONS FROM THE COMPANY OR ANY OF ITS OFFICERS, EMPLOYEES OR AGENTS (INCLUDING “TESTING THE WATERS” MATERIALS) AS INVESTMENT, LEGAL OR TAX ADVICE. IN MAKING AN INVESTMENT DECISION, INVESTORS MUST RELY ON THEIR OWN EXAMINATION OF THE COMPANY AND THE TERMS OF THIS OFFERING, INCLUDING THE MERITS AND THE RISKS INVOLVED. EACH PROSPECTIVE INVESTOR SHOULD CONSULT THE INVESTOR’S OWN COUNSEL, ACCOUNTANT AND OTHER PROFESSIONAL ADVISOR AS TO INVESTMENT, LEGAL, TAX AND OTHER RELATED MATTERS CONCERNING THE INVESTOR’S PROPOSED INVESTMENT.

 

THE OFFERING MATERIALS MAY CONTAIN FORWARD-LOOKING STATEMENTS AND INFORMATION RELATING TO, AMONG OTHER THINGS, THE COMPANY, ITS BUSINESS PLAN AND STRATEGY, AND ITS INDUSTRY. THESE FORWARD-LOOKING STATEMENTS ARE BASED ON THE BELIEFS OF, ASSUMPTIONS MADE BY, AND INFORMATION CURRENTLY AVAILABLE TO THE COMPANY’S MANAGEMENT. WHEN USED IN THE OFFERING MATERIALS, THE WORDS “ESTIMATE,” “PROJECT,” “BELIEVE,” “ANTICIPATE,” “INTEND,” “EXPECT” AND SIMILAR EXPRESSIONS ARE INTENDED TO IDENTIFY FORWARD-LOOKING STATEMENTS, WHICH CONSTITUTE FORWARD LOOKING STATEMENTS. THESE STATEMENTS REFLECT MANAGEMENT’S CURRENT VIEWS WITH RESPECT TO FUTURE EVENTS AND ARE SUBJECT TO RISKS AND UNCERTAINTIES THAT COULD CAUSE THE COMPANY’S ACTUAL RESULTS TO DIFFER MATERIALLY FROM THOSE CONTAINED IN THE FORWARD-LOOKING STATEMENTS. INVESTORS ARE CAUTIONED NOT TO PLACE UNDUE RELIANCE ON THESE FORWARD-LOOKING STATEMENTS, WHICH SPEAK ONLY AS OF THE DATE ON WHICH THEY ARE MADE. THE COMPANY DOES NOT UNDERTAKE ANY OBLIGATION TO REVISE OR UPDATE THESE FORWARD-LOOKING STATEMENTS TO REFLECT EVENTS OR CIRCUMSTANCES AFTER SUCH DATE OR TO REFLECT THE OCCURRENCE OF UNANTICIPATED EVENTS.

 

THE COMPANY MAY NOT BE OFFERING THE SECURITIES IN EVERY STATE. THE OFFERING MATERIALS DO NOT CONSTITUTE AN OFFER OR SOLICITATION IN ANY STATE OR JURISDICTION IN WHICH THE SECURITIES ARE NOT BEING OFFERED.

 

THE INFORMATION PRESENTED IN THE OFFERING MATERIALS WAS PREPARED BY THE COMPANY SOLELY FOR THE USE BY PROSPECTIVE INVESTORS IN CONNECTION WITH THIS OFFERING. NO REPRESENTATIONS OR WARRANTIES ARE MADE AS TO THE ACCURACY OR COMPLETENESS OF THE INFORMATION CONTAINED IN ANY OFFERING MATERIALS, AND NOTHING CONTAINED IN THE OFFERING MATERIALS IS OR SHOULD BE RELIED UPON AS A PROMISE OR REPRESENTATION AS TO THE FUTURE PERFORMANCE OF THE COMPANY.

 

 2 

 

 

THE COMPANY RESERVES THE RIGHT IN ITS SOLE DISCRETION AND FOR ANY REASON WHATSOEVER TO MODIFY, AMEND AND/OR WITHDRAW ALL OR A PORTION OF THE OFFERING AND/OR ACCEPT OR REJECT IN WHOLE OR IN PART ANY PROSPECTIVE INVESTMENT IN THE SECURITIES OR TO ALLOT TO ANY PROSPECTIVE INVESTOR LESS THAN THE AMOUNT OF SECURITIES SUCH INVESTOR DESIRES TO PURCHASE. EXCEPT AS OTHERWISE INDICATED, THE OFFERING MATERIALS SPEAK AS OF THEIR DATE. NEITHER THE DELIVERY NOR THE PURCHASE OF THE SECURITIES SHALL, UNDER ANY CIRCUMSTANCES, CREATE ANY IMPLICATION THAT THERE HAS BEEN NO CHANGE IN THE AFFAIRS OF THE COMPANY SINCE THAT DATE.

 

 3 

 

  

TO:Building Bits Properties I, LLC

425 NW 10th Ave., Suite 306

Portland, OR 97209

 

Ladies and Gentlemen:

 

1. Subscription.

 

(a) The undersigned (“Subscriber”) hereby irrevocably subscribes for and agrees to purchase the Class [TBD] Common Bits (the “Securities”) of Building Bits Properties I, LLC, a limited liability company organized under the laws of Delaware (the “Company”), at a purchase price of $1.00 per Bit (the “Per Security Price”), upon the terms and conditions set forth herein. The minimum subscription is [$1,000]. The rights of the Class [TBD] Common Bits are as set forth in the Operating Agreement and Class [TBD] Bit Designation of the Company, as filed with the Securities and Exchange Commission (“SEC”) as an exhibit to the Company’s Offering Statement (the “Offering Statement”).

 

(b) Subscriber understands that the Securities are being offered pursuant to an Offering Circular dated [DATE] (the “Offering Circular”) filed with the SEC as part of the Offering Statement. By executing this Subscription Agreement, Subscriber acknowledges that Subscriber has received this Subscription Agreement, copies of the Offering Circular and Offering Statement including exhibits thereto and any other information required by the Subscriber to make an investment decision. It is a condition of the Company’s acceptance of this subscription that Subscriber becomes a party to the Operating Agreement.

 

(c) This Subscription may be accepted or rejected in whole or in part, at any time prior to a Closing Date (as hereinafter defined), by the Company at its sole discretion. In addition, the Company, at its sole discretion, may allocate to Subscriber only a portion of the number of Securities Subscriber has subscribed for. The Company will notify Subscriber whether this subscription is accepted (whether in whole or in part) or rejected. If Subscriber’s subscription is rejected, Subscriber’s payment (or portion thereof if partially rejected) will be returned to Subscriber without interest and all of Subscriber’s obligations hereunder shall terminate.

 

(d) The aggregate number of Securities sold shall not exceed XX,XXX,XXX (the “Maximum Offering”). The Company may accept subscriptions until [DATE], unless otherwise extended by the Company in its sole discretion in accordance with applicable SEC regulations for such other period required to sell the Maximum Offering (the “Termination Date”). Providing that subscriptions for X,XXX,XXX Securities are received (the “Minimum Offering”), the Company may elect at any time to close all or any portion of this offering, on various dates at or prior to the Termination Date (each a “Closing Date”).

 

(e) In the event of rejection of this subscription in its entirety, or in the event the sale of the Securities (or any portion thereof) is not consummated for any reason, this Subscription Agreement shall have no force or effect, except for Section 5 hereof, which shall remain in force and effect.

 

 4 

 

 

2. Purchase Procedure.

 

(a) Payment. The purchase price for the Securities shall be paid simultaneously with the execution and delivery to the Company of the signature page of this Subscription Agreement and a duly executed counterpart signature page to the Company’s Operating Agreement. Each signature page shall be delivered to the Company via electronic submission through the BuildingBits Platform at www.buildingbits.com (the “BuildingBits Platform”). Payment for the aggregate purchase price of the Securities shall be delivered via ACH electronic transfer, wire, or check to an account designated by the Company.

 

(b) Escrow arrangements. Payment for the Securities shall be received by Provident Trust Group, LLC (the “Escrow Agent”) from the undersigned by transfer of immediately available funds or other means approved by the Company within two days of receiving Subscriber’s subscription through the BuildingBits Platform, in the amount as set forth in Appendix A on the signature page hereto. Upon such Closing, the Escrow Agent shall release such funds to the Company. The undersigned shall receive notice and evidence of the digital entry of the number of the Securities owned by undersigned reflected on the books and records of the Company and verified by Escrow Agent, which books and records shall bear a notation that the Securities were sold in reliance upon Regulation A.

 

3. Representations and Warranties of the Company.

 

The Company represents and warrants to Subscriber that the following representations and warranties are true and complete in all material respects as of the date of each Closing Date, except as otherwise indicated. For purposes of this Agreement, an individual shall be deemed to have “knowledge” of a particular fact or other matter if such individual is actually aware of such fact. The Company will be deemed to have “knowledge” of a particular fact or other matter if one of the Company’s current officers has, or at any time had, actual knowledge of such fact or other matter.

 

(a) Organization and Standing. The Company is a limited liability company duly formed, validly existing and in good standing under the laws of the State of Delaware. The Company has all requisite power and authority to own and operate its properties and assets, to execute and deliver this Subscription Agreement, and any other agreements or instruments required hereunder. The Company is duly qualified and is authorized to do business and is in good standing as a foreign corporation in all jurisdictions in which the nature of its activities and of its properties (both owned and leased) makes such qualification necessary, except for those jurisdictions in which failure to do so would not have a material adverse effect on the Company or its business.

 

(b) Issuance of the Securities. The issuance, sale and delivery of the Securities in accordance with this Subscription Agreement has been duly authorized by all necessary corporate action on the part of the Company. The Securities, when so issued, sold and delivered against payment therefor in accordance with the provisions of this Subscription Agreement, will be duly and validly issued, fully paid and non-assessable.

 

 5 

 

 

(c) Authority for Agreement. All limited liability company action on the part of the Company necessary for the authorization of this Subscription Agreement, the performance of all obligations of the Company hereunder at a Closing and the authorization, sale, issuance and delivery of the Securities pursuant hereto has been taken or will be taken prior to the applicable Closing Date. The execution and delivery by the Company of this Subscription Agreement and the consummation of the transactions contemplated hereby (including the issuance, sale and delivery of the Securities) are within the Company’s powers and have been duly authorized by all necessary corporate action on the part of the Company. Upon full execution hereof, this Subscription Agreement shall constitute a valid and binding agreement of the Company, enforceable against the Company in accordance with its terms, except (i) as limited by applicable bankruptcy, insolvency, reorganization, moratorium, and other laws of general application affecting enforcement of creditors’ rights generally, (ii) as limited by laws relating to the availability of specific performance, injunctive relief, or other equitable remedies and (iii) with respect to provisions relating to indemnification and contribution, as limited by considerations of public policy and by federal or state securities laws.

 

(d) No filings. Assuming the accuracy of the Subscriber’s representations and warranties set forth in Section 4 hereof, no order, license, consent, authorization or approval of, or exemption by, or action by or in respect of, or notice to, or filing or registration with, any governmental body, agency or official is required by or with respect to the Company in connection with the execution, delivery and performance by the Company of this Subscription Agreement except (i) for such filings as may be required under Regulation A or under any applicable state securities laws, (ii) for such other filings and approvals as have been made or obtained, or (iii) where the failure to obtain any such order, license, consent, authorization, approval or exemption or give any such notice or make any filing or registration would not have a material adverse effect on the ability of the Company to perform its obligations hereunder.

 

(e) Capitalization. The outstanding units and securities of the Company immediately prior to the initial investment in the Securities is as set forth in “Securities Being Offered” in the Offering Circular. Except as set forth in the offering Circular, there are no outstanding options, warrants, rights (including conversion or preemptive rights and rights of first refusal), or agreements of any kind (oral or written) for the purchase or acquisition from the Company of any of its securities.

 

(f) Financial statements. Complete copies of the Company’s financial statements consisting of the statement of financial position of the Company as at December 31, 2017 and the related consolidated statements of income and cash flows for the two-year period then ended (the “Financial Statements”) have been made available to the Subscriber and appear in the Offering Circular. The Financial Statements are based on the books and records of the Company and fairly present the financial condition of the Company as of the respective dates they were prepared and the results of the operations and cash flows of the Company for the periods indicated. dbbmckennon, LLC, which has audited the Financial Statements, is an independent accounting firm within the rules and regulations adopted by the SEC.

 

(g) Proceeds. The Company shall use the proceeds from the issuance and sale of the Securities as set forth in “Use of Proceeds to the Issuer” in the Offering Circular.

 

 6 

 

 

(h) Litigation. There is no pending action, suit, proceeding, arbitration, mediation, complaint, claim, charge or investigation before any court, arbitrator, mediator or governmental body, or to the Company’s knowledge, currently threatened in writing (a) against the Company or (b) against any consultant, officer, manager, director or key employee of the Company arising out of his or her consulting, employment or board relationship with the Company or that could otherwise materially impact the Company.

 

4. Representations and Warranties of Subscriber. By executing this Subscription Agreement, Subscriber (and, if Subscriber is purchasing the Securities subscribed for hereby in a fiduciary capacity, the person or persons for whom Subscriber is so purchasing) represents and warrants, which representations and warranties are true and complete in all material respects as of the date of each Closing Date:

 

(a) Requisite Power and Authority. Such Subscriber has all necessary power and authority under all applicable provisions of law to execute and deliver this Subscription Agreement, the Operating Agreement and other agreements required hereunder and to carry out their provisions. All action on Subscriber’s part required for the lawful execution and delivery of this Subscription Agreement and other agreements required hereunder have been or will be effectively taken prior to the Closing. Upon their execution and delivery, this Subscription Agreement and other agreements required hereunder will be valid and binding obligations of Subscriber, enforceable in accordance with their terms, except (a) as limited by applicable bankruptcy, insolvency, reorganization, moratorium or other laws of general application affecting enforcement of creditors’ rights and (b) as limited by general principles of equity that restrict the availability of equitable remedies.

 

(b) Investment Representations. Subscriber understands that the Securities have not been registered under the Securities Act of 1933, as amended (the “Securities Act”). Subscriber also understands that the Securities are being offered and sold pursuant to an exemption from registration contained in the Securities Act based in part upon Subscriber’s representations contained in this Subscription Agreement.

 

(c) Illiquidity and Continued Economic Risk. Subscriber acknowledges and agrees that there is no ready public market for the Securities and that there is no guarantee that a market for their resale will ever exist. Subscriber must bear the economic risk of this investment indefinitely and the Company has no obligation to list the Securities on any market or take any steps (including registration under the Securities Act or the Securities Exchange Act of 1934, as amended) with respect to facilitating trading or resale of the Securities. Subscriber acknowledges that any investment involves significant risks and Subscriber is able to bear the economic risk of losing Subscriber’s entire investment in the Securities.

 

(d) Accredited Investor Status or Investment Limits. Subscriber represents that either:

 

(i) Subscriber is an “accredited investor” within the meaning of Rule 501 of Regulation D under the Securities Act. Subscriber represents and warrants that the information set forth in response to question (c) on the signature page hereto concerning Subscriber is true and correct; or

 

(ii) The purchase price set out in paragraph (b) of the signature page to this Subscription Agreement, together with any other amounts previously used to purchase Securities in this offering, does not exceed 10% of the greater of the Subscriber’s annual income or net worth.

 

 7 

 

 

Subscriber represents that to the extent it has any questions with respect to its status as an accredited investor, or the application of the investment limits, it has sought professional advice.

 

(e) Bitholder Information. Within five days after receipt of a request from the Company, the Subscriber hereby agrees to provide such information with respect to its status as a Bitholder (or potential Bitholder) and to execute and deliver such documents as may reasonably be necessary to comply with the Company’s tax reporting obligations as well as any and all laws and regulations to which the Company is or may become subject. Subscriber further agrees that in the event it transfers any Securities, it will require the transferee of such Securities to agree to provide such information to the Company as a condition of such transfer.

 

(f) Company Information. Subscriber has had an opportunity to discuss the Company’s business, management and financial affairs with managers, officers and management of the Company and has had the opportunity to review the Company’s operations and facilities. Subscriber has also had the opportunity to ask questions of and receive answers from the Company and its management regarding the terms and conditions of this investment. Subscriber acknowledges that except as set forth herein, no representations or warranties have been made to Subscriber, or to Subscriber’s advisors or representative, by the Company or others with respect to the business or prospects of the Company or its financial condition.

 

(g) Valuation. The Subscriber acknowledges that the price of the Securities was set by the Company on the basis of the Company’s internal valuation and no warranties are made as to value. The Subscriber further acknowledges that future offerings of Securities may be made at lower valuations, with the result that the Subscriber’s investment will bear a lower valuation.

 

(h) Domicile. Subscriber maintains Subscriber’s domicile (and is not a transient or temporary resident) at the address shown on the signature page.

 

(i) No Brokerage Fees. There are no claims for brokerage commission, finders’ fees or similar compensation in connection with the transactions contemplated by this Subscription Agreement or related documents based on any arrangement or agreement binding upon Subscriber. The undersigned will indemnify and hold the Company harmless against any liability, loss or expense (including, without limitation, reasonable attorneys' fees and out-of-pocket expenses) arising in connection with any such claim.

 

(j) Foreign Investors. If Subscriber is not a United States person (as defined by Section 7701(a)(30) of the Internal Revenue Code of 1986, as amended), Subscriber hereby represents that it has satisfied itself as to the full observance of the laws of its jurisdiction in connection with any invitation to subscribe for the Securities or any use of this Subscription Agreement, including (i) the legal requirements within its jurisdiction for the purchase of the Securities, (ii) any foreign exchange restrictions applicable to such purchase, (iii) any governmental or other consents that may need to be obtained, and (iv) the income tax and other tax consequences, if any, that may be relevant to the purchase, holding, redemption, sale, or transfer of the Securities. Subscriber’s subscription and payment for and continued beneficial ownership of the Securities will not violate any applicable securities or other laws of the Subscriber’s jurisdiction.

 

 8 

 

 

(k) Consent to electronic delivery. Subscriber understands that records of the Securities in this offering will be kept via electronic book-entry record system. Subscriber consents to electronic delivery of any notices or information from the Company, including tax documents in connection with your status as a Bitholder.

 

5. Indemnity. The representations, warranties and covenants made by the Subscriber herein shall survive the closing of this Agreement. The Subscriber agrees to indemnify and hold harmless the Company and its respective officers, directors and affiliates, and each other person, if any, who controls the Company within the meaning of Section 15 of the Securities Act against any and all loss, liability, claim, damage and expense whatsoever (including, but not limited to, any and all reasonable attorneys’ fees, including attorneys’ fees on appeal) and expenses reasonably incurred in investigating, preparing or defending against any false representation or warranty or breach of failure by the Subscriber to comply with any covenant or agreement made by the Subscriber herein or in any other document furnished by the Subscriber to any of the foregoing in connection with this transaction.

 

6. Governing Law; Jurisdiction; Class Action Waiver. This Subscription Agreement shall be governed and construed in accordance with the laws of the State of Oregon.

 

EACH OF THE SUBSCRIBERS AND THE COMPANY CONSENTS TO THE JURISDICTION OF ANY STATE OR FEDERAL COURT OF COMPETENT JURISDICTION LOCATED WITHIN THE STATE OF OREGON AND NO OTHER PLACE AND IRREVOCABLY AGREES THAT ALL ACTIONS OR PROCEEDINGS RELATING TO THIS SUBSCRIPTION AGREEMENT MAY BE LITIGATED IN SUCH COURTS. EACH OF SUBSCRIBERS AND THE COMPANY ACCEPTS FOR ITSELF AND HIMSELF AND IN CONNECTION WITH ITS AND HIS RESPECTIVE PROPERTIES, GENERALLY AND UNCONDITIONALLY, THE EXCLUSIVE JURISDICTION OF THE AFORESAID COURTS AND WAIVES ANY DEFENSE OF FORUM NON CONVENIENS, AND IRREVOCABLY AGREES TO BE BOUND BY ANY JUDGMENT RENDERED THEREBY IN CONNECTION WITH THIS SUBSCRIPTION AGREEMENT. EACH OF SUBSCRIBERS AND THE COMPANY FURTHER IRREVOCABLY CONSENTS TO THE SERVICE OF PROCESS OUT OF ANY OF THE AFOREMENTIONED COURTS IN THE MANNER AND IN THE ADDRESS SPECIFIED IN SECTION 8 AND THE SIGNATURE PAGE OF THIS SUBSCRIPTION AGREEMENT.

 

EACH OF THE PARTIES HERETO HEREBY IRREVOCABLY WAIVES ALL RIGHT TO TRIAL BY JURY IN ANY ACTION, PROCEEDING OR COUNTERCLAIM (WHETHER BASED IN CONTRACT, TORT OR OTHERWISE) ARISING OUT OF OR RELATING TO THIS SUBSCRIPTION AGREEMENT OR THE ACTIONS OF EITHER PARTY IN THE NEGOTIATION, ADMINISTRATION, PERFORMANCE AND ENFORCEMENT THEREOF, EACH OF THE PARTIES HERETO ALSO WAIVES ANY BOND OR SURETY OR SECURITY UPON SUCH BOND WHICH MIGHT, BUT FOR THIS WAIVER, BE REQUIRED OF SUCH PARTY. EACH OF THE PARTIES HERETO FURTHER WARRANTS AND REPRESENTS THAT IT HAS REVIEWED THIS WAIVER WITH ITS LEGAL COUNSEL, AND THAT IT KNOWINGLY AND VOLUNTARILY WAIVES ITS JURY TRIAL RIGHTS FOLLOWING CONSULTATION WITH LEGAL COUNSEL. THIS WAIVER IS IRREVOCABLE, MEANING THAT IT MAY NOT BE MODIFIED EITHER ORALLY OR IN WRITING, AND THIS WAIVER SHALL APPLY TO ANY SUBSEQUENT AMENDMENTS, RENEWALS, SUPPLEMENTS OR MODIFICATIONS TO THIS SUBSCRIPTION AGREEMENT. IN THE EVENT OF LITIGATION, THIS SUBSCRIPTION AGREEMENT MAY BE FILED AS A WRITTEN CONSENT TO A TRIAL BY THE COURT.

 

 9 

 

 

EACH OF THE PARTIES FURTHER HEREBY CONSENT THAT IN THE EVENT THAT EITHER BRINGS CLAIMS AGAINST THE OTHER, THE PARTIES MAY ONLY DO SO IN ITS INDIVIDUAL CAPACITY AND NOT AS A PLAINTIFF OR CLASS MEMBER IN ANY PURPORTED CLASS, REPRESENTATIVE, OR COLLECTIVE ACTION.

 

7. Notices. Notice, requests, demands and other communications relating to this Subscription Agreement and the transactions contemplated herein shall be in writing and shall be deemed to have been duly given if and when (a) delivered personally, on the date of such delivery; or (b) mailed by registered or certified mail, postage prepaid, return receipt requested, in the third day after the posting thereof; or (c) emailed, telecopied or cabled, on the date of such delivery to the address of the respective parties as follows:

 

If to the Company, to: with a required copy to:
   
Building Bits Properties I, LLC. CrowdCheck Law LLP
425 NW 10th Ave, Suite 306 1423 Leslie Ave.
Portland, OR 97209 Alexandria, VA 22301

 

If to a Subscriber, to Subscriber’s address as shown on the signature page hereto or to such other address as may be specified by written notice from time to time by the party entitled to receive such notice. Any notices, requests, demands or other communications by telecopy or cable shall be confirmed by letter given in accordance with (a) or (b) above.

 

8. Miscellaneous.

 

(a) All pronouns and any variations thereof shall be deemed to refer to the masculine, feminine, neuter, singular or plural, as the identity of the person or persons or entity or entities may require.

 

(b) This Subscription Agreement is not transferable or assignable by Subscriber.

 

(c) The representations, warranties and agreements contained herein shall be deemed to be made by and be binding upon Subscriber and its heirs, executors, administrators and successors and shall inure to the benefit of the Company and its successors and assigns.

 

(d) None of the provisions of this Subscription Agreement may be waived, changed or terminated orally or otherwise, except as specifically set forth herein or except by a writing signed by the Company and Subscriber.

 

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(e) In the event any part of this Subscription Agreement is found to be void or unenforceable, the remaining provisions are intended to be separable and binding with the same effect as if the void or unenforceable part were never the subject of agreement.

 

(f) The invalidity, illegality or unenforceability of one or more of the provisions of this Subscription Agreement in any jurisdiction shall not affect the validity, legality or enforceability of the remainder of this Subscription Agreement in such jurisdiction or the validity, legality or enforceability of this Subscription Agreement, including any such provision, in any other jurisdiction, it being intended that all rights and obligations of the parties hereunder shall be enforceable to the fullest extent permitted by law.

 

(g) This Subscription Agreement supersedes all prior discussions and agreements between the parties with respect to the subject matter hereof and contains the sole and entire agreement between the parties hereto with respect to the subject matter hereof.

 

(h) The terms and provisions of this Subscription Agreement are intended solely for the benefit of each party hereto and their respective successors and assigns, and it is not the intention of the parties to confer, and no provision hereof shall confer, third-party beneficiary rights upon any other person.

 

(i) The headings used in this Subscription Agreement have been inserted for convenience of reference only and do not define or limit the provisions hereof.

 

(j) This Subscription Agreement may be executed in any number of counterparts, each of which will be deemed an original, but all of which together will constitute one and the same instrument.

 

(k) If any recapitalization or other transaction affecting the stock of the Company is effected, then any new, substituted or additional securities or other property which is distributed with respect to the Securities shall be immediately subject to this Subscription Agreement, to the same extent that the Securities, immediately prior thereto, shall have been covered by this Subscription Agreement.

 

(l) No failure or delay by any party in exercising any right, power or privilege under this Subscription Agreement shall operate as a waiver thereof nor shall any single or partial exercise thereof preclude any other or further exercise thereof or the exercise of any other right, power or privilege. The rights and remedies herein provided shall be cumulative and not exclusive of any rights or remedies provided by law.

 

[SIGNATURE PAGE FOLLOWS]

 

 11 

 

 

BUILDING BITS PROPERTIES I, LLC

 

CLASS [TBD] COMMON BITS

 

SUBSCRIPTION AGREEMENT SIGNATURE PAGE

 

The undersigned, desiring to purchase Class [TBD] Common Bits of Building Bits Properties I, LLC, by executing this signature page, hereby executes, adopts and agrees to all terms, conditions and representations of the Subscription Agreement.

 

(a)    The number of Bits of Class [TBD] Common Bits the undersigned hereby irrevocably subscribes for is:  

______________

(print number of Securities)

     

(b)    The aggregate purchase price (based on a purchase price of $1.00 per Security) for the Class [TBD] Common Bits the undersigned hereby irrevocably subscribes for is:

 

 

$_____________

(print aggregate purchase price)

     

(c)    EITHER (i) The undersigned is an accredited investor (as that term is defined in Regulation D under the Securities Act because the undersigned meets the criteria set forth in the following paragraph(s) of Appendix A attached hereto:

 

OR (ii) The amount set forth in paragraph (b) above (together with any previous investments in the Securities pursuant to this offering) does not exceed 10% of the greater of the undersigned’s net worth or annual income.

 

______________

(print applicable number from Appendix A)

 

 

 ___________

     
(d)    The Securities being subscribed for will be owned by, and should be recorded on the Company’s books as held in the name of:    

 

___________________________________________

(print name of owner or joint owners)

 

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      If the Securities are to be purchased in joint names, both Subscribers must sign:
       
       
Signature     Signature
       
       
Name (Please Print)     Name (Please Print)
       
Email address     Email address
       
       
Address     Address
       
       
       
Telephone Number     Telephone Number
       
       
Social Security Number/EIN     Social Security Number
       
       
Date     Date

 

* * * * *

This Subscription is accepted Building Bits Properties I, LLC
on _____________, 2018    
     
  By:  
    Name: Alexander Aginsky for Building Bits Asset Management, LLC
    Title: Manager

 

 13 

 

  

APPENDIX A

 

An accredited investor includes the following categories of investor:

 

(1) Any bank as defined in section 3(a)(2) of the Act, or any savings and loan association or other institution as defined in section 3(a)(5)(A) of the Act whether acting in its individual or fiduciary capacity; any broker or dealer registered pursuant to section 15 of the Securities Exchange Act of 1934; any insurance company as defined in section 2(a)(13) of the Act; any investment company registered under the Investment Company Act of 1940 or a business development company as defined in section 2(a)(48) of that Act; any Small Business Investment Company licensed by the U.S. Small Business Administration under section 301(c) or (d) of the Small Business Investment Act of 1958; any plan established and maintained by a state, its political subdivisions, or any agency or instrumentality of a state or its political subdivisions, for the benefit of its employees, if such plan has total assets in excess of $5,000,000; any employee benefit plan within the meaning of the Employee Retirement Income Security Act of 1974 if the investment decision is made by a plan fiduciary, as defined in section 3(21) of such act, which is either a bank, savings and loan association, insurance company, or registered investment adviser, or if the employee benefit plan has total assets in excess of $5,000,000 or, if a self-directed plan, with investment decisions made solely by persons that are accredited investors;

 

(2) Any private business development company as defined in section 202(a)(22) of the Investment Advisers Act of 1940;

 

(3) Any organization described in section 501(c)(3) of the Internal Revenue Code, corporation, Massachusetts or similar business trust, or partnership, not formed for the specific purpose of acquiring the securities offered, with total assets in excess of $5,000,000;

 

(4) Any director, executive officer, or general partner of the issuer of the securities being offered or sold, or any director, executive officer, or general partner of a general partner of that issuer;

 

(5) Any natural person whose individual net worth, or joint net worth with that person's spouse, exceeds $1,000,000.

 

(i) Except as provided in paragraph (a)(5)(ii) of this section, for purposes of calculating net worth under this paragraph (a)(5):

 

(A) The person's primary residence shall not be included as an asset;

 

(B) Indebtedness that is secured by the person's primary residence, up to the estimated fair market value of the primary residence at the time of the sale of securities, shall not be included as a liability (except that if the amount of such indebtedness outstanding at the time of sale of securities exceeds the amount outstanding 60 days before such time, other than as a result of the acquisition of the primary residence, the amount of such excess shall be included as a liability); and

 

(C) Indebtedness that is secured by the person's primary residence in excess of the estimated fair market value of the primary residence at the time of the sale of securities shall be included as a liability;

 

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(ii) Paragraph (a)(5)(i) of this section will not apply to any calculation of a person's net worth made in connection with a purchase of securities in accordance with a right to purchase such securities, provided that:

 

(A) Such right was held by the person on July 20, 2010;

 

(B) The person qualified as an accredited investor on the basis of net worth at the time the person acquired such right; and

 

(C) The person held securities of the same issuer, other than such right, on July 20, 2010.

 

(6) Any natural person who had an individual income in excess of $200,000 in each of the two most recent years or joint income with that person's spouse in excess of $300,000 in each of those years and has a reasonable expectation of reaching the same income level in the current year;

 

(7) Any trust, with total assets in excess of $5,000,000, not formed for the specific purpose of acquiring the securities offered, whose purchase is directed by a sophisticated person as described in §230.506(b)(2)(ii); and

 

(8) Any entity in which all of the equity owners are accredited investors.

 

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EX1A-6 MAT CTRCT 9 tv493263_ex6-11.htm EXHIBIT 6.1.1

 

Exhibit 6.1.1

 

BUILDINGBITS PURCHASE AND SALE AGREEMENT

 

This BuildingBits Purchase and Sale Agreement (this "Agreement") is made and entered into as of April 24, 2018 (the "Effective Date") by Quattro Williamsport, LLC, an Illinois limited liability company ("Seller"), BuildingBits Real Estate Services, LLC, an Oregon limited liability company ("BBRS"), and BuildingBits Properties I, LLC, a Delaware limited liability company ("Buyer").

 

Background

 

A.           Seller is the owner of certain real property legally described on the attached Exhibit A (the "Land") and all buildings, fixtures, and other improvements situated on the Land (collectively, the "Improvements"), located at 1954 E. 3rd Street, Williamsport, Pennsylvania.

 

B.           Seller desires to sell to Buyer, and Buyer desires to purchase from Seller, the Land and the Improvements, together with all of the other property and interests of Seller described in Section 1 below, subject to and on the terms and conditions contained in this Agreement.

 

Terms and Conditions

 

NOW, THEREFORE, in consideration of the mutual covenants and agreements contained in this Agreement, and for other good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, Seller, BBRS and Buyer agree as follows:

 

1.            Agreement of Purchase and Sale. Seller agrees to sell, and Buyer agrees to buy, subject to and on the terms and conditions contained herein, the Land and the Improvements, together with all of Seller’s right, title, and interest in and to:

 

(a)          Appurtenant Rights. (i) All rights of way, tenements, hereditaments, easements, interests, minerals and mineral rights (if any), water and water rights (if any), utility capacity, and appurtenances, if any, in any way belonging or appertaining to the Land and the Improvements, and (ii) all adjoining streets, alleys, roads, parking areas, curbs, curb cuts, sidewalks, landscaping, signage, sewers, and public ways (collectively, the "Appurtenant Rights");

 

(b)          Personal Property. All equipment, fixtures and other personal property owned by Seller (if any) and located at, or attached to, the Improvements and used in connection with the ownership, operation, and/or maintenance of the Land or the Improvements, including, without limitation, building systems (collectively, the "Personal Property");

 

(c)          Leases. All leases, tenancies, cell tower or telecommunications agreements and rental or occupancy agreements granting possessory rights in, on, or covering the Land or Improvements to the tenants listed on the Rent Roll to be delivered to Buyer pursuant to Section 7(a) below (the "Rent Roll"), together with (i) all modifications, extensions, amendments, and guarantees, letters of credit or other security devices relating thereto and (ii) such other leases of the Improvements as may be made prior to Closing (as defined below) in accordance with the terms of this Agreement (collectively, the "Leases");

 

(d)          Contracts. To the extent assignable, and subject to Buyer’s agreement or obligation to accept an assignment thereof pursuant to the terms of Section 7(d) below, all contracts, agreements, guarantees, warranties, and indemnities, if any, affecting the ownership, operation, management, and/or maintenance of the Land, Improvements, Appurtenant Rights, Personal Property, and Leases (collectively, the "Contracts");

 

(e)          Licenses. To the extent assignable, all licenses, franchises, occupancy and use certificates, permits, authorizations, consents, variances, waivers, approvals, and the like from any governmental or quasi-governmental entity or instrumentality affecting or relating to the ownership, operation, or maintenance of the Land or the Improvements (collectively, the "Licenses"); and

 

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(f)          Intangibles. To the extent the same exist and are assignable, (i) all plans, drawings, specifications, blueprints, studies or reports (including all environmental, architectural (including Americans with Disabilities Act compliance), engineering, structural, mechanical, roof, soils, seismic and geologic reports) and surveys relating in any way to the Property (as defined below), (ii) maintenance records prepared by or on behalf of Seller in connection with the ownership, operation, and/or maintenance of the Property, (ii) all logos, building and trade names, (iii) all transferable guaranties and warranties, if any, (iv) all advertising materials, development rights and other information and documentation in Seller’s possession relating to the Property that do not contain Seller’s name or are not deemed proprietary by Seller, and (v) all other intangible rights, titles, interests and privileges owned by Seller and relating to the Property (collectively, the "Intangibles").

 

The Land, Improvements and Appurtenant Rights are collectively referred to as the "Real Property," and the Real Property, Personal Property, Leases, Contracts, Licenses, Intangibles, and all other property rights pertaining thereto are collectively referred to as the "Property."

 

2.            Platform Listing; Agency Acknowledgement and Disclosure; BBRS Commission.

 

(a)          Platform Listing. Within three (3) days after Buyer's receipt of the Due Diligence Materials (as defined below) pursuant to Section 7(a) below, BBRS and Buyer will list the Property on the BuildingBits Platform, which is a crowdfunding based marketplace (the "Platform") that BBRS, Buyer and their affiliates will use to raise some or all of the equity required to purchase the Property from third-party investors ("BuildingBits Investors"). Seller, at no cost, expense or liability (actual or contingent) to Seller, shall reasonably cooperate with BBRS in all respects in connection with listing the Property on the Platform, which may include cooperating with, and granting full access to the Property to, any third-party vendor retained by BBRS to create marketing photography or video footage of the Property, subject to reasonable restrictions regarding time of entry and disruption of tenant’s business operations. Seller authorizes BBRS and Buyer to make any and all information, data, and documents relating to the Property (including without limitation the Due Diligence Materials furnished pursuant to the terms and provisions of Section 7(a)) obtained by Buyer from Seller or any other party or discovered by Buyer during the term of this Agreement available on the Platform for review and analysis by BuildingBits Investors. Other than requiring BuildingBits Investors to enter into confidentiality agreements in connection with gaining access to the Platform, BBRS and Buyer have no duty to ensure the confidentiality of the Due Diligence Materials or any other information, data or documents relating to the Property made available on the Platform, and BBRS and Buyer will have no liability to Seller if for any reason any of the Due Diligence Materials or any other information, data or documents relating to the Property become widely disseminated or publicly available.

 

(b)          Statement of Consideration. Seller acknowledges and agrees that the agreement of Buyer and BBRS to list the Property on the Platform constitutes sufficient consideration for the rights and options extended to Buyer under this Agreement, including, without limitation, the right to terminate this Agreement as provided herein.

 

(c)          Agency Acknowledgement and Disclosures. Buyer and Seller hereby acknowledge and consent to the following agency relationships in connection with the transactions contemplated by this Agreement:

 

(i)          Seller has not been represented by any brokers, finders, or agents in connection with the transactions contemplated by this Agreement.

 

(ii)         Buyer has been represented by BBRS in connection with the transactions contemplated by this Agreement. Seller acknowledges that (1) BBRS has affiliated with JDS Real Estate Services, Inc. (the "Broker of Record"), a third-party licensed real estate broker in the state where the Property is located; (2) BBRS is an affiliate of Buyer; and (3) BBRS and the Broker of Record has and will exclusively represent Buyer in connection with the transactions contemplated by this Agreement.

 

(iii)        Buyer and Seller acknowledge having received and having reviewed the disclosures set forth in attached Exhibit B.

 

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  Initials of Seller:   Initials of Buyer:  
         
         

 

(d)           Commission. Pursuant to a separate written agreement, Seller will be responsible for all fees, commissions, and other amounts due to Seller's Broker as a result of the transactions contemplated herein. In addition, Seller agrees to pay a commission to the Broker of Record in the amount of one percent (1%) of the Purchase Price (the "BBRS Commission"). Seller shall cause the Escrow Agent (as defined below) to deliver the BBRS Commission to the Broker of Record on the Closing Date (as defined below). The commissions described herein shall only be paid in the event this transaction closes, and may be shared by BBRS and the Broker of Record pursuant to a separate written agreement.

 

(e)           Indemnity. Each party agrees to indemnify, defend, and hold harmless the other party, its successors, assigns, and agents, from and against the payment of any commission, compensation, loss, damages, costs, and expenses (including without limitation attorney fees and costs) incurred in connection with, or arising out of, claims for any broker’s, agent’s, or finder’s fees of any person claiming by or through such party, other than Seller's Broker or BBRS which shall be compensated as provided above. The obligations of Seller and Buyer under this Section 2 will survive the Closing and the termination of this Agreement.

 

3.            Purchase Price. The purchase price for the Property (the "Purchase Price") will be One Million Nine Hundred Eighty Thousand Five Hundred Dollars ($1,980,500). The Purchase Price, plus or minus prorations, adjustments and credits provided for in this Agreement, will be paid in cash or cash equivalent to Seller at Closing.

 

4.            Closing. Subject to the terms and conditions of this Agreement, the closing of the transaction contemplated by this Agreement (the "Closing") will take place on or before the date (the "Closing Date") that is forty-five (45) days after the later to occur of: (a) the delivery date of the Contingency Approval Notice (as defined below); or (b) the expiration of the Funding Milestone #2 Period (as defined below). The Closing will occur through the Escrow (as defined below). No party shall be required to be present at the Closing.

 

5.            Escrow. This transaction will be closed through an escrow (the "Escrow") established with Stewart Title Guaranty Company, 10 S. Riverside Plaza, Suite 1450, Chicago, Illinois 60606, Attention: Alan R. Kalas (the "Escrow Agent") in accordance with this Agreement. Upon creation of the Escrow, anything herein to the contrary notwithstanding, the transfer and conveyance of the Property, the payment of funds, and the delivery of the Escrow Closing Documents (as defined below) and other documents required to close the transaction contemplated by this Agreement will be made through the Escrow. The Closing will take place so that the Title Company’s commitment to issue the Title Policy (as defined below) will be delivered to Buyer, and Seller will receive the net sale proceeds, on the Closing Date.

 

6.            Conveyance and Title Matters.

 

(a)           Title Objections. Seller shall request Escrow Agent to cause to be delivered to Buyer a preliminary title report (the "Preliminary Report") from a title company affiliated with the Escrow Agent (the "Title Company"), showing the status of Seller’s title to the Property, together with complete and legible copies of all documents shown therein as exceptions to title ("Exceptions"). Buyer shall have until the date that is fifteen (15) days after the Title Company delivers the Preliminary Report and Exceptions to Buyer within which to give notice in writing to Seller of any objection to such title or to any liens or encumbrances affecting the Property. Within five (5) days after receipt of such notice from Buyer, Seller shall give Buyer written notice of whether it is willing and able to remove the objected-to Exceptions. If Seller fails to deliver such notice, Seller shall be deemed to have elected not to remove such Exceptions. Without the need for objection by Buyer, Seller shall, with respect to monetary liens that can be satisfied and released by the payment of money (e.g., mortgages, mechanic’s liens, judgment liens, delinquent taxes), eliminate such exceptions to title on or before Closing. Within five (5) days after receipt of such notice from Seller or five (5) days after Seller’s deemed election not to remove Exceptions (the "Title Contingency Date"), Buyer shall elect whether to: (i) purchase the Property subject to those objected-to Exceptions which Seller is not willing or able to remove; or (ii) terminate this Agreement. If Buyer fails to give Seller notice of Buyer’s election, then such inaction shall be deemed to be Buyer’s election to waive its objections and proceed to Closing. On or before the Closing Date (defined below), Seller shall remove all Exceptions to which Buyer objects and which Seller expressly agrees in writing that Seller is willing and able to remove. All remaining Exceptions set forth in the Preliminary Report and those Exceptions caused by or agreed to by Buyer shall be deemed "Permitted Exceptions."

 

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(b)           New Exceptions. In the event that (i) subsequent to the delivery to Buyer of the Preliminary Report, the Title Company issues an update to the Preliminary Report that shows an exception to title not previously listed (a "New Exception"), as long as such New Exception is not caused by Buyer Buyer shall have five (5) business days following receipt of such update to the Preliminary Report and the underlying documents to object in writing (the "Buyer’s New Exception Notice") to such New Exception. Buyer’s failure to approve or disapprove any New Exception within the period described in the initial sentence of this Section 6(b) shall be deemed approval thereof. If Buyer timely disapproves, or is deemed to have disapproved, any New Exception, then Seller may, but shall not be obligated to, correct such New Exceptions specified in such notice at or prior to the Closing Date; provided, however, if Seller is able and willing to eliminate or cure all of such New Exceptions which Buyer has disapproved, Seller shall notify Buyer in writing within five (5) days of Seller’s receipt of Buyer’s New Exception Notice or deemed disapproval ("Seller’s New Exception Notice Period") that Seller intends to eliminate or cure (said notice hereinafter called "Seller’s New Exception Notice") and in which case the elimination or curing by Seller of the New Exception(s) specified by Seller for cure or elimination in Seller’s New Exception Notice shall be completed on or before the Closing Date. If Seller does not deliver Seller’s New Exception Notice to Buyer within Seller’s New Exception Notice Period, Buyer is deemed to be notified that Seller is unable or unwilling to eliminate or cure the disapproved New Exception(s). If Seller (i) does not timely deliver Seller’s New Exception Notice, or (ii) notifies or is deemed to have notified Buyer that Seller is unable or unwilling to cure any disapproved New Exception(s), then, unless Buyer waives, in writing, those disapproved New Exception(s) for which Seller has elected or is deemed to have elected to not cure within five (5) days following Seller’s New Exception Notice Period, this Agreement shall terminate and the parties hereto shall have no further rights or obligations, other than those that by their terms survive the termination of this Agreement. If necessary, the Closing Date shall be extended to the third (3rd) business day following the running of the time limits stated in this Section 6(b).

 

7.            Due Diligence and Conditions to Closing.

 

(a)           Due Diligence Materials. Within five (5) business days following the Effective Date, and to the extent Seller has not already done so, Seller will provide Buyer with copies of the following documents to the extent in the possession of Seller (collectively, the "Due Diligence Materials"):

 

(i)          The Rent Roll

 

(ii)         A copy of Seller’s existing survey of the Property.

 

(iii)        The most recent real estate and personal property tax bills, notices of assessed valuation, and utility bills relating to the Property.

 

(iv)        All certificates of occupancy, floor plans, "as built" or working drawings, site plans, specifications, and the most recent title policy relating to the Property.

 

(v)         The Leases and any material correspondence with respect thereto.

 

(vi)        The Contracts and Licenses, if any.

 

(vii)       Statements of operations for the past two (2) complete calendar years and year to date for the current year and general ledgers maintained or prepared for the Property, but not for any longer period than Seller’s ownership of the Property.

 

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Buyer acknowledges and agrees that except as otherwise expressly provided herein, neither Seller nor any of its representatives or advisors have made or are making any representation or warranty, express or implied, as to the accuracy or completeness of the Due Diligence Materials and shall not be liable to Buyer (or to any of Buyer’s members, partners, investors (including the BuildingBits Investors), representatives, advisors, consultants, successors or assigns or any third parties) for any loss or damage resulting from Buyer’s use of, or reliance on, the Due Diligence Materials. Moreover, Buyer agrees that Buyer shall include the following language on its Platform with respect to the Property: “Building Bits Real Estate Services, LLC and BuildingBits Properties I, LLC (“BuildingBits”) is responsible for all information, documents and materials (“Due Diligence Materials”) included on this Platform. The Seller of the Property has not made any representation or statement regarding the truth or accuracy of the Due Diligence Materials and has no liability or responsibility to BuildingBits or any investors for any of the Due Diligence Materials. The Due Diligence Materials provided herein are subject to all waivers, releases, terms and provisions of the Purchase and Sale Agreement with Seller.”

 

(b)           Platform Funding Milestones. Seller acknowledges that Buyer intends to raise some or all of the equity required to acquire Property from BuildingBits Investors by listing the Property on the Platform in accordance with Section 2(a). Seller further acknowledges that Seller will have the right to access the Platform and will have the ability to monitor the status of the milestones contemplated in this Section 7(b). Moreover, Buyer and BBRS agree from time to time, following receipt of written request from Seller, to provide Seller with a status report concerning the status of the milestones contemplated in this Section 7(b). Buyer's obligation to purchase the Property shall be subject to the timely satisfaction of the following conditions:

 

(i)          Qualification. Buyer shall have an initial period of thirty (30) calendar days (the "Qualification Period") for Buyer to engage a third party CPA firm to prepare audited financial statements for the subject property ("Audit") and undertake the process of qualifying the asset as part of an SEC Regulation A+ offering ("Qualification") of the Property, to the extent necessary or desirable. If both the Audit and the Qualification are not completed within the initial Qualification Period, then the Qualification Period will be automatically extended for an additional thirty (30) calendar days. If both the Audit and the Qualification are not completed within the Qualification Period, as extended, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the Qualification Period, as extended, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). At any time within the Qualification Period, as it may be extended, Buyer may elect in its sole discretion to terminate this Agreement due to the actual or anticipated failure to complete the Audit and the Qualification by delivering written notice thereof to Seller, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

(ii)         Funding Milestone #1. Provided this Agreement has not been previously terminated in accordance with its terms, Buyer shall have an initial period of thirty (30) calendar days (the "Funding Milestone #1 Period") from the expiration of the Qualification Period to obtain satisfactory commitments on the Platform from BuildingBits Investors of an amount ("Funding Milestone #1") equal to the greater of: (1) two percent (2%) of the Purchase Price; or (2) six percent (6%) of Six Hundred Ninety-Three Thousand One Hundred Seventy-Five Dollars ($693,175) (the "Funding Goal"). If Funding Milestone #1 is not met by the expiration of the initial Funding Milestone #1 Period, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the initial Funding Milestone #1 Period, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). In the event that Seller does not timely exercise the foregoing termination right, then the Funding Milestone #1 Period will be automatically extended for an additional thirty (30) calendar days. If Funding Milestone #1 is not met by the expiration of the Funding Milestone #1 Period, as extended, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the Funding Milestone #1 Period, as extended, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). At any time within the Funding Milestone #1 Period, as it may be extended, Buyer may elect in its sole discretion to terminate this Agreement due to the actual or anticipated failure to meet Funding Milestone #1 by delivering written notice thereof to Seller, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

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(iii)        Funding Milestone #2. Provided this Agreement has not been previously terminated in accordance with its terms, Buyer shall have an initial period of thirty (30) calendar days (the "Funding Milestone #2 Period") from the expiration of the Funding Milestone #1 Period to obtain satisfactory commitments on the Platform from BuildingBits Investors of an amount ("Funding Milestone #2") equal to the greater of: (1) twelve percent (12%) of the Purchase Price; or (2) thirty-five percent (35%) of the Funding Goal. If Funding Milestone #2 is not met by the expiration of the initial Funding Milestone #2 Period, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the initial Funding Milestone #2 Period, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). In the event that Seller does not timely exercise the foregoing termination right, then the Funding Milestone #2 Period will be automatically extended for an additional thirty (30) calendar days. If Funding Milestone #2 is not met by the expiration of the Funding Milestone #2 Period, as extended, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the Funding Milestone #2 Period, as extended, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). At any time within the Funding Milestone #2 Period, as it may be extended, Buyer may elect in its sole discretion to terminate this Agreement due to the actual or anticipated failure to meet Funding Milestone #2 by delivering written notice thereof to Seller, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

(c)            Buyer’s Inspection Condition.

 

(i)          Duration; Scope of Inspections. Buyer (and Buyer’s representatives, agents and consultants), will have a period commencing on the Effective Date and ending upon the later to occur of (i) the date that is sixty (60) days after the Effective Date; or (ii) the expiration of the Funding Milestone #2 Period (the "Inspection Period"), to inspect the Property. Buyer may continue with such inspections after the Inspection Period if Buyer has delivered its Approval Notice (as defined below). Without limiting the generality of the foregoing, but subject to the terms of this Section 7(c), (1) except as provided below, Seller will permit Buyer to examine, at all reasonable times, all books and records (including without limitation financial and operating statements) in Seller’s possession or control relating to the Property, (2) Buyer will have the right to (A) inspect the Land, Improvements, Appurtenant Rights, and Personal Property, (B) review the Leases, Contracts, Licenses, Intangibles and all Due Diligence Materials, (C) discuss the Property with, and obtain additional information from, tenants and any property manager, and (D) conduct geophysical feasibility tests of the Property and an environmental audit or audits of the Property (with copies of the reports relating to such audits delivered to Seller when completed), including sampling, and (3) Buyer will be given complete access to the Property for the purpose of making such tests, inspections, and investigations.

 

(ii)         Conduct of Inspections. Buyer and its agents, employees and contractors, in the conduct of its due diligence investigation of the Real Property or otherwise, will not interfere with or hinder the operation of the Real Property or the tenants or occupants thereof. Seller will provide Buyer and Buyer’s representatives, agents and consultants with reasonable access to the Real Property between 9:00 a.m. and 5:00 p.m. on weekdays, subject to the rights of the Real Property tenants or occupants and provided that: (A) Buyer will notify Seller or one of Seller’s agents not less than two (2) business days in advance of entering the Real Property; (B) neither Buyer nor its representatives, agents or consultants will communicate directly with any tenant of the Real Property without the accompaniment by Seller, Seller’s manager or Seller’s agents for the Real Property if requested by Seller; (C) Buyer and its representatives, agents and consultants will keep the Real Property free and clear of any mechanic’s or materialmen’s liens arising out of any such entry, will promptly restore any damage caused by them, will perform all investigations in a safe and professional manner, will not allow any dangerous or hazardous conditions, and will comply with all applicable laws and governmental regulations; (D) Seller or any of its representatives or agents may accompany Buyer and any of its representatives and agents during their visit to the Real Property; (E) Buyer will not perform or authorize any invasive testing of the Real Property without Seller’s prior written consent, which shall not be unreasonably withheld or delayed; and (F) prior to entry upon the Real Property, Buyer will deliver to Seller evidence of such party’s liability insurance coverage by an insurer reasonably acceptable to Seller and with combined single limits of not less than One Million Dollars ($1,000,000) per occurrence. All such tests, investigations, and studies will be at Buyer’s sole cost and expense.

 

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(iii)        Indemnification For Inspection Activities. In the event of any damage to the Property caused by Buyer, its agents, engineers, employees, contractors, or surveyors (including without limitation pavement, landscaping, and surface damage), Buyer will restore the Property, at Buyer’s sole cost and expense, to the condition existing prior to the performance of such tests, investigations, or studies. Buyer will defend, indemnify, and hold Seller harmless from any and all damage, liability, cost, and expense (including without limitation reasonable attorney fees, court costs, and costs of appeal) suffered or incurred by Seller or third parties for injury to persons or property caused by Buyer, its agents, engineers, employees, contractors or surveyors or by Buyer’s entry, investigations, tests, studies, and/or inspections of the Property (provided that the foregoing indemnification shall not apply to the discovery of pre-existing conditions at the Property as a result of Buyer’s investigations). The obligations of Buyer under this subparagraph will survive termination of this Agreement and Closing.

 

(iv)        Buyer’s Approval of Property. In addition to conducting inspections, Buyer may conduct and complete such analyses, evaluations, tests, and investigations of the Property as Buyer may determine in its sole discretion. If, in the sole discretion and at the sole election of Buyer, any of Buyer’s evaluations, tests, inspections, or investigations are unsatisfactory to Buyer, in any manner or for any reason (or for no reason whatsoever) in Buyer’s sole discretion, including without limitation for reasons relating to Buyer’s financial analysis of the Property for Buyer’s intended use or any purpose, restrictions on use of the Property, matters relating to zoning, government approvals, appraised value, or other matters impacting the condition or value of the Property, Buyer may terminate this Agreement. If Buyer notifies Seller, in writing, on or before 5:00 p.m. Pacific time on the last business day of the Inspection Period (the "Contingency Removal Date") of Buyer’s approval of the Property in all respects and Buyer’s election to proceed under this Agreement ("Contingency Approval Notice"), then this Agreement will remain in full force and effect. If Buyer fails to deliver its Contingency Approval Notice on or before the Contingency Removal Date, this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

(d)           Seller’s Termination of Contracts Not Assumed by Buyer Prior to Closing, Buyer shall provide Seller with written notice of those Contracts Buyer elects to assume at Closing (the "Assumed Contracts"). Seller will be responsible for terminating all of the Contracts that Buyer does not elect to assume, at or prior to Closing.

 

(e)           Buyer Financing. The obligation of Buyer to close the transaction contemplated by this Agreement is contingent upon the closing of a mortgage loan secured by the Property from Buyer's lender of choice on terms satisfactory to Buyer in Buyer's sole and absolute discretion (the "Buyer Financing"). Without limiting the foregoing, so long as this Agreement remains in effect, Buyer, at its expense, shall use commercially reasonable efforts to obtain a commitment for the Buyer Financing and to satisfy the closing conditions of the Buyer Financing applicable to Buyer. Buyer shall be responsible for any costs, fees or expenses arising out of the Buyer Financing. Buyer may terminate this Agreement at any time prior to the Closing Date due to the actual or anticipated failure to close the Buyer Financing by delivering written notice thereof to Seller, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

(f)           Delivery of Tenant Estoppel Certificates to Buyer. Seller will present to the tenant and will use commercially reasonable efforts to deliver to Buyer, not less than five (5) business days prior to the Closing Date, an estoppel letter from the tenant of the Property in the form of attached Exhibit C or in such other form as may be reasonably acceptable to Buyer and Buyer’s lender but nothing more nor contrary what tenant is required to provide under the Lease (the "Tenant Estoppel Certificate"), certified to Buyer and Buyer’s lender. It is an express condition of Buyer’s obligations under this Agreement that Seller shall deliver the Tenant Estoppel Certificate, dated no more than thirty (30) days prior to Closing from the tenant of the Property, with the Tenant Estoppel Certificate containing no material adverse facts or qualifications (the "Estoppel Minimum"). Seller’s failure to deliver the Estoppel Minimum will in no instance constitute a default by Seller under this Agreement, and in the event of such failure Buyer’s sole right will be either to terminate this Agreement or to waive the requirement for such estoppel letter (to the extent not provided) and proceed with Closing.]

 

(g)           Further Conditions of Buyer’s Obligations. The obligation of Buyer to close the transaction contemplated by this Agreement is further subject to the conditions that (i) all of the representations and warranties of Seller contained in this Agreement are true and correct, in all material respects, at the Effective Date and as of the Closing Date, and (ii) all of the obligations and duties of Seller to be performed hereunder on or before the Closing Date shall have been completed in a timely manner and performed in all material respects.

 

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(h)           Conditions of Seller’s Obligations. The obligation of Seller to close the transaction contemplated by this Agreement is subject to the conditions that (i) all of the representations and warranties of Buyer contained in this Agreement are true and correct, in all material respects, at the Effective Date and as of the Closing Date, and (ii) all of the obligations and duties of Buyer to be performed hereunder on or before the Closing Date shall have been completed in a timely manner and performed in all material respects.

 

(i)            Failure of Condition. If any of the conditions in paragraphs (a) – (g) above is not timely satisfied, for a reason other than the default of Seller under this Agreement, then Buyer may, at Buyer’s option, either (i) waive such condition in writing delivered to Seller or (ii) terminate this Agreement by notice to Seller, in which case (A) the Escrow and the rights and obligations of Buyer and Seller shall terminate, except as otherwise expressly provided herein; (B) Escrow Agent is hereby instructed to promptly return to Seller and Buyer all funds, together with any accrued interest on such funds, and documents deposited by them, respectively, into Escrow which are held by Escrow Agent on the date of said termination; and (C) the cancellation charges required to be paid by and to Escrow Agent and the Title Company shall be borne one-half (1/2) by Seller and one-half (1/2) by Buyer and all other charges shall be borne by the party incurring same.

 

8.            Representations and Warranties. Seller makes the following representations and warranties to Buyer, as of the Effective Date and again as of the Closing Date:

 

(a)           Seller has full power and lawful authority to enter into and carry out the terms and provisions of this Agreement and to execute and deliver all documents which are contemplated by this Agreement.

 

(b)           There are no parties in possession and no leases or occupancy agreements affecting all or any part of the Property, except as disclosed in the Rent Roll, and there are no written or oral promises, understandings, agreements or other commitments between Seller and any tenant or other person affecting the Property, that will be in force or effect on and after the Closing Date, except as disclosed in the Due Diligence Materials.

 

(c)           To Seller's actual knowledge, the Due Diligence Materials are true, accurate and complete copies or originals.

 

(d)           Seller has received no written notice of and has no actual knowledge that eminent domain or other legal proceedings affecting the Real Property are pending or threatened.

 

(e)           Seller is not a "foreign person" within the meaning of Section 1445(f)(3) of the Internal Revenue Code.

 

(f)           Seller has not received any written notice of any violation of any applicable law (including any environmental law), code, rule, regulation, ordinance, requirement, covenant, condition or restriction relating to the condition or present use or occupancy of the Property by any person, authority or agency having jurisdiction.

 

(g)           Seller has no actual knowledge regarding the existence of hazardous materials affecting the Property independent of any environmental reports delivered to Buyer as part of the Due Diligence Materials.

 

(h)          There are no suits or claims pending or, to Seller's actual knowledge, threatened with respect to or in any manner affecting Seller or Seller’s interest in the Property.

 

(i)           Seller has not granted to a third party any option, right of first refusal or other right to purchase the Property or any part thereof or interest therein.

 

(j)           Seller has entered into no brokerage or leasing commission agreements with respect to the Property, where a commission or fee has been earned but not fully paid or which will remain in effect after Closing.

 

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(k)           There are no claims or unpaid bills for labor performed on and/or materials furnished to the Property for or at the request of Seller, other than those disclosed in the Due Diligence Materials.

 

9.           Seller’s Covenants. From and after the Effective Date through the Closing Date, Seller and Seller’s agents will, at Seller’s expense:

 

(a)           Perform all of Sellers’s obligations under the Leases, Contracts, and Licenses;

 

(b)           Keep in existence all fire, extended coverage, business interruption, rent loss, or similar insurance policies, and all public liability insurance policies, that are in existence as of the Effective Date with respect to the Property to the extent required under the Lease(s);

 

(c)           Not (i) amend, waive any rights under, terminate, or extend any Lease, Contract, or License, (ii) apply any security or other deposits held under any Lease, Contract, or License to delinquent rents, or (iii) enter into new leases, contracts, or licenses without written notice to Buyer. Without limiting the foregoing, in the event that Seller enters into a new lease applicable to the Property without Buyer's prior written consent, Buyer shall have the right to terminate this Agreement by delivering written termination notice to Seller, in which case the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive the termination of this Agreement);

 

(d)           Not (i) market the Property; (ii) sell, offer to sell, or negotiate to sell the Property to any party other than Buyer; or (iii) take any action to solicit, initiate, or encourage the submission of a back up offer for the Property;

 

(e)           Promptly advise Buyer in writing of any changes in circumstances that would render the representations and warranties made by Seller in this Agreement false or misleading in any material respect; and

 

(f)           Give appropriate notices of termination of those Contracts not assumed by Buyer, as provided for in Section 7(d) above, so that each non-assumed Contract will be terminated as of the Closing Date.

 

10.          Survival; Limit on Liability. All the representations, warranties, and covenants of Seller and Buyer contained in this Agreement or in any of the Escrow Closing Documents (as defined below) are material, none will merge into the Deed, and all will survive the Closing Date or termination of this Agreement for a period of six (6) months (the "Survival Period"). All rights of Buyer hereunder or under any of the Escrow Closing Documents, with respect to any surviving representation, warranty, covenant, or indemnity will be deemed waived if Buyer does not, by written notice to Seller, advise Seller of any alleged breach of representation, warranty, or covenant, or any alleged indemnification obligation, prior to the expiration of the Survival Period. In addition, and notwithstanding anything to the contrary contained in this Agreement or in any of the Escrow Closing Documents, after Closing the recourse of Buyer against Seller with respect to any claim based on or arising out of any untruth or inaccuracy of any representations or warranties of Seller under this Agreement or the Escrow Closing Documents will be limited to an amount not to exceed One Hundred Thousand Dollars ($100,000) in the aggregate. Subject to the limitations set forth in this Section, all remedies will be those set forth in Section 16 below. The provisions of this Section 10 will survive Closing.

 

11.          Deliveries at Closing.

 

(a)           Conveyance Documents. On the Closing Date, Seller will transfer and convey title to the Property to Buyer free and clear of all liens and encumbrances, other than real and personal property taxes not yet due and payable, and the Permitted Exceptions, by:

 

(i)          Delivering a recordable special warranty/limited deed executed by Seller, in the form of the attached Exhibit D, conveying fee simple title to the Real Property and Appurtenances to Buyer, subject to (1) all matters of record, (2) unpaid taxes and assessments not yet due and payable, (3) zoning ordinances, (4) the Lease(s), and (5) matters visible upon a physical inspection or matters which would be set forth in an accurate ALTA survey (the "Deed");

 

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(ii)         Delivering a Quit Claim Bill of Sale executed by Seller, in the form of the attached Exhibit D, transferring the Personal Property to Buyer without warranty or recourse (the "Bill of Sale"); and

 

(iii)        Delivering two originals of an Assignment and Assumption Agreement executed by Seller, in the form of the attached Exhibit E, transferring all of Seller’s right, title, and interest in and to the Assumed Contracts, the Licenses, the Leases, and the Intangibles to Buyer (the "Assignment Agreement").

 

The foregoing documents and instruments are collectively referred to herein as the "Conveyance Documents."

 

(b)           Escrow Closing Documents. On the Closing Date, Seller will deliver the following documents (the "Escrow Closing Documents") to the Escrow Agent, all duly executed by Seller, where appropriate, each of which will be a condition precedent to Buyer’s obligation to close the transaction contemplated by this Agreement (and one or more of which may be waived in writing by Buyer, in its sole discretion, on or prior

to the Closing Date):

 

(i)          The Conveyance Documents;

 

(ii)         To the extent required by the Title Company, an ALTA statement or affidavit and gap indemnity agreement, each in customary form;

 

(iii)        Seller’s counterpart of an estimated closing statement setting forth credits and prorations made in accordance with Section 12 below (the "Prorate Statement");

 

(iv)        A certification of non foreign status satisfying Section 1445 of the Internal Revenue Code of 1986, as amended;

 

(v)         Executed counterparts of real estate transfer declarations, if applicable;

 

(vi)        Evidence of Seller’s existence and authority to perform its obligations under this Agreement, in form and substance reasonably satisfactory to the Title Company;

 

(vii)       A current Rent Roll certified by an officer of Seller; and

 

(viii)      Such other documents, instruments, gap undertakings, consents or agreements as may be reasonably requested by the Title Company or the Escrow Agent, in order to issue to Buyer an extended coverage owner’s title insurance policy (the "Title Policy") in the amount of the Purchase Price, subject only to the Permitted Exceptions and including those endorsements that the Title Company has agreed to issue to Buyer or Buyer’s lender (it being understood that the Title Policy may be issued at Closing in the form of a title commitment or a pro forma title policy, hand-marked and initialed by Buyer and the Title Company, and dated as of the Closing Date, so as to be the equivalent of the Title Policy).

 

(c)           Seller Closing Items. On the Closing Date, Seller will deliver the following items and documents (the "Seller Closing Items") to Buyer, all duly executed by Seller, where appropriate, each of which will be a condition precedent to Buyer’s obligation to close the transaction contemplated by this Agreement (and one or more of which may be waived in writing by Buyer, in its sole discretion, on or prior to the Closing Date):

 

(i)          All keys and access cards to, and combinations to locks and other security devices located at, the Property, if applicable; and

 

(ii)         All of the original Leases, Contracts, and Licenses in possession of Seller, together with (1) a letter from Seller advising the tenants under the Leases of the assignment of their respective Leases to Buyer and the manner in which rent is to be paid subsequent to Closing, in a form reasonably satisfactory to Buyer; and (2) evidence of termination of the Contracts designated by Buyer as not being assumed by Buyer, if applicable.

 

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(d)           Buyer Deliveries. On the Closing Date, Buyer will deliver the following to the Escrow Agent, in form and substance reasonably acceptable to Seller, all duly executed by Buyer, where appropriate, each of which will be a condition precedent to Seller’s obligation to close the transaction contemplated by this Agreement:

 

(i)          Executed counterparts of the real estate transfer declarations described above, if applicable;

 

(ii)         Two original counterparts of the Assignment Agreement;

 

(iii)        Buyer’s counterpart of the Prorate Statement;

 

(iv)        Evidence of Buyer’s existence and authority to perform its obligations under this Agreement, in form and substance reasonably satisfactory to the Title Company;

 

(v)         The Purchase Price, plus or minus prorations and adjustments as provided herein; and

 

(vi)        Such other documents, instruments, or agreements as may be reasonably requested by the Title Company or the Escrow Agent in order to issue the Title Policy and to otherwise consummate the Closing.

 

(e)           Closing. When the Escrow Agent has received all of the deposits listed in this Section 11, is prepared to issue the Title Policy having an effective date as of the date the Deed is recorded, in the amount of the Purchase Price and insuring the title of Buyer in the Property, subject only to the Permitted Exceptions and including those endorsements that the Title Company has agreed to issue to Buyer or Buyer’s lender, and is otherwise in a position to consummate the Closing, the Escrow Agent is then authorized and instructed to simultaneously proceed as follows:

 

(i)          Record the Deed;

 

(ii)         Pay the disbursements as shown on the Prorate Statement from the funds deposited by Buyer;

 

(iii)        Deliver to Buyer the Title Policy, the recorded Deed, the Bill of Sale, one original of the Assignment Agreement, Buyer’s counterpart to the Prorate Statement, and copies of all other documents submitted by the parties in connection with the Closing; and

 

(iv)        Deliver to Seller one original of the Assignment Agreement, Seller’s counterpart of the Prorate Statement, and copies of all other documents submitted by the parties in connection with the Closing.

 

The Title Policy may be issued at Closing in the form of a commitment or a pro forma title policy, hand-marked and initialed by Buyer and the Title Company, and dated as of the Closing Date, so as to be the equivalent of delivery of the Title Policy.

 

12.          Closing Costs; Prorations.

 

(a)          Generally. Buyer shall pay the premium for the Title Policy and/or any endorsements. Seller and Buyer shall each pay one-half (1/2) of the escrow fees charged by the Escrow Agent. Buyer shall pay the recording fee for the Deed. Any excise tax and/or transfer tax due in connection with the conveyance of the Property shall be paid by Buyer. Real property taxes for the tax year of the Closing, assessments (if a Permitted Exception), personal property taxes, rents and other charges arising from existing Leases paid for the month of Closing, interest on assumed obligations, utilities, and fees due under the Assumed Contracts shall be prorated as of the Closing Date (except to the extent such charges are paid by Tenant(s)). If applicable, prepaid rents, security deposits, and other unearned refundable deposits relating to Leases shall be assigned and delivered to Buyer at Closing.

 

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(b)           Rents. Except for delinquent rent as addressed below, all rent under the Leases shall be prorated effective as of the Closing Date. Delinquent rent due but not received prior to Closing shall not be prorated but shall remain the property of Seller. Payments received from Tenants from and after the date of Closing shall be applied first to rents then due for the current period and then to rents delinquent as of the date of Closing. Buyer shall use reasonable efforts to collect delinquent rents for the benefit of Seller for a period not to exceed sixty (60) days after the Closing Date, and shall cooperate with Seller in the collection of any delinquent amounts; provided, however, Buyer will not be obligated to sue any tenants or exercise any legal remedies under the Leases, including, but not limited to, unlawful detainers, or to incur any expense over and above its own regular collection expenses.

 

(c)           Taxes. If the Closing shall occur before the real property taxes payable on the Property for the tax year in which Closing ‎occurs are known, the proration of such taxes shall be upon the basis of the taxes payable for such ‎Property during the immediately preceding tax year. Subsequent to the Closing, but no later than ‎sixty (60) days after the actual taxes for the Property have been determined for the tax year in ‎which Closing occurs, the parties agree to adjust the proration of taxes and, if necessary, to refund or ‎pay such sums as shall be necessary to effect such adjustment.‎

 

13.          Possession. Possession of the Property will be delivered to Buyer at Closing, subject to the Lease(s) and other matters described in the Deed in the same condition as it exists on the Effective Date, ordinary wear and tear excepted and except as provided in Sections 14 and 15 hereof. Buyer will have the right to inspect the Property within three (3) days prior to Closing to verify that the condition of the Property is as required under this Agreement.

 

14.          Fire or Casualty. In the event of damage to the Property by fire or other casualty prior to the Closing Date, Seller will promptly notify Buyer of such fire or other casualty ("Casualty Notice"). Seller shall state in the Casualty Notice any information Seller has received concerning the cost to be incurred to repair the casualty loss. If there is an uninsured loss in excess of $100,000.00, Seller may elect to terminate this Agreement by written notice delivered to Buyer within thirty (30) days after the Casualty Notice, in which case parties will have no further obligations hereunder (except for obligations that are expressly intended to survive the termination of this Agreement). If the fire or other casualty damage estimate is in excess of five percent (5%) of the Purchase Price and this Agreement is not terminated by Seller on account of an uninsured loss, then Buyer may elect, by written notice delivered to Seller on or before the sooner of (i) the twentieth (20th) day after Buyer’s receipt of the Casualty Notice, or (ii) the Closing Date, to either: (a) close the transaction contemplated by this Agreement and receive all insurance claims and proceeds payable to Seller as a result of such fire or other casualty, with the same being paid or assigned to Buyer at Closing, or (b) terminate this Agreement, in which case the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive the termination of this Agreement). If the damage to the Property by fire or other casualty prior to the Closing Date would cost less than five percent (5%) of the Purchase Price to repair (as determined by Seller in good faith), Buyer will not have the right to terminate its obligations under this Agreement by reason thereof, and Seller will have the right to elect to either repair and restore the Property if such repair or restoration may be completed prior to the Closing Date and transfer to Buyer on the Closing Date all of Seller’s right, title and interest in and to all insurance proceeds paid or payable to Seller on account of such fire or casualty. Seller will fully cooperate with Buyer, at Buyer’s sole out-of-pocket expense, post-closing to adjust and settle any such claim.

 

15.          Condemnation. If, prior to the Closing Date, all or any part of the Property is taken by condemnation or a conveyance in lieu thereof, or if Seller receives notice of a condemnation proceeding with respect to the Property, then Seller will promptly notify Buyer of such condemnation or conveyance in lieu thereof. If the taking or threatened taking involves a material portion of the Property (as defined below), Buyer may elect, by written notice to be delivered to Seller on or before the sooner of (i) the twentieth (20th) day after Buyer’s receipt of such notice, or (ii) the Closing Date, to terminate this Agreement, in which event the parties hereto will have no further obligations hereunder (except for obligations that are expressly intended to survive the termination of this Agreement). If Buyer elects to close this transaction notwithstanding such taking or condemnation, Buyer will be entitled to any award given to Seller as a result of such condemnation proceedings, with the same being paid or assigned to Buyer at Closing. As used herein, a "material portion of the Property" means any part of the Property that results in a limitation on access or parking or is otherwise reasonably required for the operation of the Property in the manner operated on the Effective Date. If any taking or threatened taking does not involve a material portion of the Property, Buyer will be required to proceed with the Closing, in which event Seller will assign to Buyer any award given to Seller (or the right to receive any such award) as a result of such condemnation proceedings.

 

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16.          Default.

 

(a)           Pre-Closing Default by Seller. If Seller defaults hereunder upon or prior to Closing and fails to cure such default within three (3) business days after written notice of such default, or if prior to Closing it is determined that the representations and warranties of Seller set forth in this Agreement are not true and correct in all material respects on the Effective Date and as of the Closing Date, then as Buyer’s sole and exclusive remedy may elect either (i) to terminate this Agreement and receive damages equal to Buyer’s actual out-of-pocket costs incurred to purchase the Property not to exceed Five Thousand Dollars ($5,000), in which event each of the parties will be relieved of any further obligation to the other arising by virtue of this Agreement (except for obligations that are expressly intended to survive the termination of this Agreement), in which event each of the parties will be relieved of any further obligation to the other arising by virtue of this Agreement (except for obligations that are expressly intended to survive the termination of this Agreement), or (ii) to pursue specific performance of this Agreement.

 

(b)           Pre-Closing Default by Buyer or BBRS. If Buyer or BBRS defaults hereunder upon or prior to Closing and fails to cure such default within three (3) business days of written notice of such default, this Agreement will terminate and Seller will be entitled to recover from Buyer as liquidated damages the sum of Five Thousand Dollars ($5,000) (the "Liquidated Damages Amount") in full settlement of all claims against Buyer or BBRS (with the exception of claims against Buyer related to obligations that are expressly intended to survive the termination of this Agreement). The parties agree that the amount of actual damages that Seller would suffer as a result of Buyer's or BBRS's default would be extremely difficult to determine and have agreed, after specific negotiation, that Liquidated Damages Amount is a reasonable estimate of the Seller’s damages and the net detriment that Seller would suffer from a default by Buyer or BBRS and is intended to constitute a fixed amount of liquidated damages in lieu of other remedies available to Seller and is not intended to constitute a penalty. The foregoing does not limit Seller’s right to enforce the express indemnity provisions in this Agreement.

 

17.          Notices. Any notice, approval, demand, request, or other communication that either party may be required or may desire to give under this Agreement will be in writing and will be deemed to have been properly given if (a) hand delivered, (b) sent by a nationally recognized overnight delivery service, (c) sent by United States mail (certified mail, return receipt requested, or (d) sent by email, in each case, prepaid and addressed as shown below, or to such other or additional addresses as either party might designate by written notice to the other party.

 

If to Seller:

 

Quattro Williamsport, LLC

c/o Quattro Development, L.L.C.

1100 Jorie Blvd., Suite 140

Oak Brook, Illinois 60523

Attention: Mike Liyeos and Rob Walters

Email: mike@quattrodevelopment.com and rob@quattrodevelopment.com

 

If to Buyer:

 

BuildingBits Properties I, LLC

c/o BuildingBits Holdings, LLC

425 NW 10th Avenue, Suite 306

Portland, Oregon 97209

Attention: Alexander Aginsky, CEO

Email: a.aginsky@buildingbits.com

 

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If to BBRS:

 

BuildingBits Real Estate Services, LLC

c/o BuildingBits Holdings, LLC

425 NW 10th Avenue, Suite 306

Portland, Oregon 97209

Attention: Alexander Aginsky, CEO

Email: a.aginsky@buildingbits.com

 

Any such notice shall be deemed to have been given (i) upon delivery or refusal of a party to accept delivery thereof (including ignoring delivery attempts), if personally delivered or delivered by any nationally recognized form of airborne/overnight delivery service, or (ii) upon receipt or upon the expiration of three (3) business days, whichever is earlier, if mailed, or (iii) if by email, when such notice is sent, provided that emails and other electronic communications that are received at any time after 5:00 p.m. (Pacific time) on a Business Day shall be deemed to have been given on the next following Business Day. Any notice given by email must be confirmed within forty-eight (48) hours by letter mailed or delivered to the appropriate party at its respective address in accordance with clauses (b) or (c) above. Either party may change the address at which it desires to receive notice upon giving written notice of such request to the other party. Buyer and Seller, and their respective counsel, hereby agree that notices may be given hereunder by the parties’ respective counsel, and that if any communication is to be given hereunder by Buyer’s or Seller’s counsel, such counsel may communicate directly with all principals, as required to comply with the foregoing provisions.

 

18.          "AS IS" Sale; Disclaimer.

 

(a)          Buyer acknowledges that: (i) Buyer is a sophisticated investor, knowledgeable and experienced in the financial and business risks attendant to an investment of real property and capable of evaluating the merits and risks of entering into this Agreement and purchasing the Property, (ii) that Buyer has entered into this Agreement with the intention of relying upon its own or its experts investigation of the physical, environmental, economic and legal condition of the Property, including, without limitation, the compliance of the Property with laws and governmental regulations and the operation of the Property, and (iii) that, except for the express representations and warranties set forth in this Agreement and the Escrow Closing Documents, Buyer is not relying on any representations and warranties made by Seller or anyone acting or claiming to act on Seller’s behalf concerning the Property. Buyer further acknowledges that it has not received from Seller any accounting, tax, legal, architectural, engineering, property management or other advice with respect to this transaction and is relying upon the advice of its own accounting, tax, legal, architectural, engineering, property management and other advisors.

 

(b)          EXCEPT FOR THE EXPRESS REPRESENTATIONS AND WARRANTIES OF SELLER SET FORTH IN THIS AGREEMENT AND IN THE ESCROW CLOSING DOCUMENTS, BUYER ACKNOWLEDGES AND AGREES THAT (I) BUYER WILL BE PURCHASING THE PROPERTY BASED SOLELY UPON ITS INSPECTIONS AND INVESTIGATIONS OF THE PROPERTY, AND THAT BUYER WILL BE PURCHASING THE PROPERTY "AS IS", "WHERE IS" AND "WITH ALL FAULTS", BASED UPON THE CONDITION OF THE PROPERTY AS OF THE EFFECTIVE DATE, ORDINARY WEAR AND TEAR AND LOSS BY FIRE OR OTHER CASUALTY OR CONDEMNATION EXCEPTED, (II) BUYER IS NOT RELYING ON ANY REPRESENTATIONS OR WARRANTIES, DIRECT OR INDIRECT, MADE BY SELLER OR ON SELLER’S BEHALF, ORAL OR WRITTEN, EXPRESS OR IMPLIED, TO BUYER OR ANY AGENTS, REPRESENTATIVES, OR EMPLOYEES OF BUYER, WITH RESPECT TO THE CONDITION OF THE PROPERTY; ITS FITNESS FOR ANY PARTICULAR PURPOSE; ITS COMPLIANCE WITH ANY LAWS; ANY RESTRICTIONS RELATED TO THE DEVELOPMENT OF THE PROPERTY; THE SUITABILITY OF THE PROPERTY FOR ANY PURPOSES WHATSOEVER; THE APPLICABILITY OF OR COMPLIANCE OF THE PROPERTY WITH ANY GOVERNMENTAL REQUIREMENTS, INCLUDING BUT NOT LIMITED TO ZONING, LAND USE, SUBDIVISION AND ENVIRONMENTAL REQUIREMENTS PERTAINING TO THE PROPERTY; ANY INCOME, EXPENSES, CHARGES, LIENS, ENCUMBRANCES, RIGHTS, CLAIMS ON OR AFFECTING OR PERTAINING TO THE PROPERTY; OR TO ANY OTHER MATTER OR THING AFFECTING OR RELATING TO THE PROPERTY OR THIS AGREEMENT; AND (III) THAT SELLER MAKES NO WARRANTY OR REPRESENTATION, EXPRESS OR IMPLIED, OR ARISING BY OPERATION OF LAW, INCLUDING BUT NOT LIMITED TO ANY WARRANTY OF CONDITION, HABITABILITY, MERCHANTABILITY, OR FITNESS FOR A PARTICULAR PURPOSE, WITH RESPECT TO THE PROPERTY. Buyer acknowledges that, having been given the opportunity to inspect the Property, Buyer is relying solely on its own investigation of the Property and not on any information provided or to be provided by Seller, other than as expressly set forth in this Agreement and the Escrow Closing Documents.

 

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(c)          Buyer further acknowledges that the Due Diligence Materials and other information provided and to be provided with respect to the Property was or will be obtained from a variety of sources, and that Seller (i) has not made any independent investigation or verification of such information, and (ii) makes no representations as to the accuracy or completeness of such information, except as expressly provided herein.

 

(d)          Buyer acknowledges and agrees that the Purchase Price has been negotiated to take into account that the Property is being sold subject to the provisions of this Section 18 and that Seller would have charged a higher purchase price if the provisions in this Section 18 and the limitations of liability and releases provided in Section 18 below were not agreed to by Buyer.

 

(d)          The provisions of this Section 18 will survive the Closing.

 

19.          Assignment. Buyer will not have the right to assign this Agreement or any interest herein without the express written consent of Seller, which consent will not be unreasonably withheld, conditioned, or delayed; provided, however, that Seller’s consent will not be required if the assignment is to one or more affiliates of Buyer. For purposes of the foregoing, an "affiliate" will include: (a) any entity controlled by or under common control with Buyer; (b) any entity in which Buyer or an affiliate of Buyer is the managing member, manager, or general partner; (c) any person or entity who acquires an undivided interest in the Property with Buyer or an affiliate of Buyer in order to complete a Section 1031 exchange; and (d) any "joint venture" entity formed by Buyer or an affiliate of Buyer and in which Buyer or its affiliate has a one percent (1%) or more equity interest or otherwise is a material equity participant. With respect to any permitted assignment, Buyer will remain liable for, and the assignee(s) will assume, all obligations of Buyer hereunder. Buyer will notify Seller in writing of any assignment in sufficient time to allow the Closing to occur without delay or unreasonable burden.

 

20.          1031 Exchange. Either Seller or Buyer or their assignees (an "Exchanging Party") may elect to consummate the transaction hereunder in whole or in part as part of a like-kind exchange pursuant to Section 1031 of the Internal Revenue Code of 1986, as amended, provided that such like-kind exchange is accomplished at the sole cost of the Exchanging Party, without delaying the Closing Date or any other event scheduled under this Agreement, and without releasing the Exchanging Party from any obligation or liability under this Agreement. In connection with such exchange, the Exchanging Party will be permitted to assign its interest in this Agreement to one or more affiliates and/or to any exchange accommodator on behalf of such persons. If any such Exchanging Party so elects, the other party will reasonably cooperate with the Exchanging Party and will execute such documents and take such action as may be reasonably necessary in order to effectuate the transaction as a like-kind exchange in accordance with applicable rules governing such exchanges; provided, however, that (i) the Exchanging Party will have the responsibility to prepare any documentation required in order to effectuate such like-kind exchange, (ii) the cooperating party will have no obligation to incur any cost or take title to any other real or personal property, (iii) the Exchanging Party will assume all risks in connection with the designation, selection, and setting of terms of the purchase or sale of any exchange property, (iv) any documents to effectuate such exchange will be consistent with the terms and conditions contained in this Agreement, and (v) the Exchanging Party’s exchange will not result in any additional liability or cost to the other party.

 

21.          Miscellaneous Provisions.

 

(a)           Time of the Essence. Time is of the essence of each provision of this Agreement.

 

(b)           Entire Agreement. This Agreement (including its Exhibits and Schedules) contains the entire agreement between the parties relating to the transactions contemplated hereby.

 

(c)           Applicable Law. This Agreement will be governed by and construed in accordance with the laws of the State where the Land is located. In the event of any litigation in connection with this Agreement, the state court located in the county in which the Property is located shall be the exclusive venue for any lawsuit.

 

 15 

 

 

(d)           Partial Invalidity. If any of the provisions of this Agreement or the application thereof to any person or circumstance will, to any extent, be deemed invalid or unenforceable, the remainder of this Agreement and the application of such provisions to persons or circumstances other than those as to whom or which it is held invalid or unenforceable will not be affected thereby.

 

(e)           Counterparts. This Agreement and any document or instrument executed pursuant hereto may be executed in any number of counterparts, each of which will be deemed an original, but all of which, together, will constitute one and the same instrument.

 

(f)           Exclusivity. Seller agrees it will not enter into a back-up contract with any third party during the pendency of this Agreement.

 

(g)           Enforcement. In the event suit or action is commenced to interpret, enforce, or rescind this Agreement or otherwise arising out of or concerning this Agreement, the prevailing party will be entitled to recover from the other party all reasonable expenses paid or incurred by the prevailing party to prosecute or defend such suit or action, including without limitation attorney fees and other legal fees and costs, disbursements and court costs. The obligations under this Section 22(g) will survive the Closing or earlier termination of this Agreement.

 

(h)           Construction. This Agreement will not be construed more strictly against one party than against the other merely by virtue of the fact that the Agreement may have been prepared primarily by counsel for one of the parties, it being recognized that both Buyer and Seller have contributed substantially and materially to the preparation of this Agreement.

 

(i)           Signatures. A facsimile, scanned, or photocopy signature on this Agreement, any amendment hereto, any non-recorded Closing Document, or any notice delivered hereunder will have the same legal effect as an original signature.

 

(j)           Computation of Periods. If the final day of any period of time in any provision of this Agreement falls upon a day that is not a business day, then the time of such period will be extended to the next business day. Unless otherwise specified, in computing any period of time described in this Agreement, the day of the act or event after which the designated period of time begins to run is not to be included and the last day of the period is so computed is to be included. As used in this Agreement, the term "business day" means any day of the week other than a Saturday, a Sunday, or a holiday observed by federally insured banks in the state where the Land is located or by the United States Postal Service.

 

(k)           Captions or Headings; Interpretation. The captions or headings of the sections and subsections of this Agreement are for convenience only, and will not control or affect the meaning or construction of any of the terms or provisions of this Agreement. Wherever in this Agreement the singular number is used, the same will include the plural and vice versa and the masculine gender will include the feminine gender and vice versa as the context will require.

 

(l)           Amendments and Waivers. No change, alteration, amendment, modification, or waiver of any of the terms or provisions of this Agreement will be valid unless the same will be in writing and signed by Buyer and Seller.

 

22.          State Specific Provisions.

 

(a)           Status of Sewer.

 

(i)            Sewer System. Seller represents to Buyer that the Property is served by:

 

¨ Public Sewer

x Community Sewage Disposal System

¨ Ten-Acre Permit Exemption (see Sewage Notice 2)

¨ Individual On-Lot Sewage Disposal System (see Sewage Notice 1)

¨ Holding Tank (see Sewage Notice 3)

 

 16 

 

 

¨ Individual On-Lot Sewage Disposal System in Proximity to Well (see Sewage Notice 1; Sewage Notice 4, if applicable)

¨ None

¨ None Available / Permit Limitation in Effect (see Sewage Notice 5)

 

(ii)          Notices Pursuant to the Pennsylvania Sewage Facilities Act.

 

Notice 1: there is no currently existing community sewage system available for the subject property. Section 7 of the Pennsylvania Sewage Facilities Act provides that no person shall install, construct, request bid proposals for construction, alter, repair or occupy any building or structure for which an individual sewage system is to be installed, without first obtaining a permit. Buyer is advised by this notice that, before signing this Agreement, Buyer should contact the local agency charged with administering the Act to determine the procedure and requirements for obtaining a permit for an individual sewage system. The local agency charged with administering the Act will be the municipality where the Property is located or that municipality working cooperatively with others.

 

Notice 2: this Property is serviced by an individual sewage system installed under the ten-acre permit exemption provisions of Section 7 of the Pennsylvania sewage facilities act. (Section 7 provides that a permit may not be required before installing, constructing, awarding a contract for construction, altering, repairing or connecting to an individual sewage system where a ten-acre parcel or lot is subdivided from a parent tract after January 10, 1987). Buyer is advised that soils and site testing were not conducted and that, should the system malfunction, the owner of the Property or properties serviced by the system at the time of a malfunction may be held liable for any contamination, pollution, public health hazard or nuisance which occurs as a result.

 

Notice 3: this Property is serviced by a holding tank (permanent or temporary) to which sewage is conveyed by a water carrying system and which is designed and constructed to facilitate ultimate disposal of the sewage at another site. Pursuant to the Pennsylvania Sewage Facilities Act, Seller must provide a history of the annual cost of maintaining the tank from the date of its installation or December 14, 1995, whichever is later.

 

Notice 4: an individual sewage system has been installed at an isolation distance from a well that is less than the distance specified by regulation. The regulations at 25 Pa. Code §73.13 pertaining to minimum horizontal isolation distances provide guidance. Subsection (b) of §73.13 states that the minimum horizontal isolation distance between an individual water supply or water supply system suction line and treatment tanks shall be 50 feet. Subsection (c) of §73.13 states that the horizontal isolation distance between the individual water supply or water supply system suction line and the perimeter of the absorption area shall be 100 feet.

 

Notice 5: this lot is within an area in which permit limitations are in effect and is subject to those limitations. Sewage facilities are not available for this lot and construction of a structure to be served by sewage facilities may not begin until the municipality completes a major planning requirement pursuant to the Pennsylvania Sewage Facilities Act and regulations promulgated thereunder.

 

(b)          Coal Notice. THIS DOCUMENT MAY NOT SELL, CONVEY, TRANSFER, INCLUDE OR INSURE THE TITLE TO THE COAL AND RIGHT OF SUPPORT UNDERNEATH THE SURFACE LAND DESCRIBED OR REFERRED TO HEREIN, AND THE OWNER OR OWNERS OF SUCH COAL MAY HAVE THE COMPLETE LEGAL RIGHT TO REMOVE ALL SUCH COAL AND IN THAT CONNECTION, DAMAGE MAY RESULT TO THE SURFACE OF THE LAND AND ANY HOUSE, BUILDING OR OTHER STRUCTURE ON OR IN SUCH LAND. THE INCLUSION OF THIS NOTICE DOES NOT ENLARGE, RESTRICT OR MODIFY ANY LEGAL RIGHTS OR ESTATES OTHERWISE CREATED, TRANSFERRED, EXCEPTED OR RESERVED BY THIS INSTRUMENT. This notice is set forth in the manner provided in Section 1 of the Act of July 17, 1957, P.L. 984.

 

[Signatures appear on next page(s).]

 

 17 

 

 

IN WITNESS WHEREOF, this Agreement has been executed as of the Effective Date.

 

  "SELLER"
   
  Quattro Williamsport, LLC,
  an Illinois limited liability company
     
  By:  
  Name:  
  Title:  
     
  "BUYER"
   
  BuildingBits Properties I, LLC,
  a Delaware limited liability company
     
  By:  
  Name:  
  Title:  
     
  "BBRS"
   
  BuildingBits Real Estate Services, LLC,
  an Oregon limited liability company
     
  By:  
  Name:  
  Title:  

 

Attachments:  
   
Exhibit A: Legal Description of Property
Exhibit B: Broker Disclosures
Exhibit C: Form of Tenant Estoppel
Exhibit D: Form of Deed
Exhibit E: Form of Bill of Sale
Exhibit F: Form of Assignment Agreement
Schedule 7(a): Due Diligence Materials

 

 S-1 

 

 

EXHIBIT A

 

Legal Description:

 

ALL that legal description of part of the tract or parcel of land located along East Third Street; situated along the south of said road and north of the Interstate Route 190, approximately 550 feet West of Westminster Drive in Loyalsock Township, Lycoming County, Pennsylvania, Tax Parcel Number 26-010-101.

 

BEGINNING at a railroad spike in the southern right of way line of East Third Street, being at the northwest corner of the whole tract; thence running with said right of way line the following course and distance: South 74° 56' 36" East, 189.70 feet to a point; thence leaving said right of way line and running by new lines of division as shown on a plat entitled, "MINOR SUBDIVISION PLAT, LOT I and REMAINING LANDS, HOSS'S RESTAURANT OPERATIONS, INC., LIBER 3547, FOLIO 283" dated 6/22/15, prepared by Triad Engineering, Inc. and recorded among the land records of Lycoming County, Pennsylvania at Instrument Number 201500011201, in Book 8715, Page 59, the following six (6) courses and distances: (1) South 14° 56' 56" West, 27.62 feet to a point; thence (2) North 75° 00' 02" West, 54.72 feet to a point; thence (3) South 14° 59' 58' West, 87.15 feet to a point; thence (4) North 75° 00' 02" West, 6.33 feet to a point; thence (5) South 14° 58' 58" West, 78.55 feet to a point; thence (6) North 75° 42' 04" West, 26.23 feet to a point on the third line of the conveyance from Centura Development Company, Inc. unto Raymond A. Eck, t/a Eck Realty, dated November 19, 1990 and recorded among the aforesaid land records in Deed Book 1628, Page 322; thence running with the remaining portion of said third line and all of the fourth through sixth lines of said conveyance the following four (4) courses and distances: (1) North 14° 16' 11" East, 13.99 feet to a rebar and surveyor's cap; thence (2) North 75° 04' 49" West, 5.00 feet to a rebar and surveyors cap; thence (3) North 14° 16' 11" East, 65.00 feet to a rebar and surveyor's cap; thence (4) North 75° 04' 49" West, 95.00 feet to a rebar and surveyor's cap in the first line of the conveyance from Cecil F. Backus, Jr., Administrator of the Estate of Candace C. Backus unto Cecil F. Backus, Jr., dated December 30, 2011 and recorded among the aforementioned land records in Deed Book 7522. Page 210; thence running with said first line the following course and distance: North 14° 16' 11" East, 115.00 feet to the point of Beginning.

 

CONTAINING 19,364 square feet or 0.445 acres of land more or less.

 

Subject to and together with all rights, accruing to the benefit of the insured set forth in Access Easement between Ouattro Williamsport, LLC and Hoss's Restaurant Operations, Inc. dated September 15, 2015 and recorded October 26, 2015 in the Lycoming County Recorder of Deeds Office in Book 8767. Page 226.

 

 A-1 

 

EXHIBIT B

 

Broker Disclosures

 

PENNSYLVANIA

CONSUMER NOTICE

THIS IS NOT A CONTRACT

 

In an effort to enable consumers of real estate services to make informed decisions about the business relationships they may have with real estate brokers and salespersons (licensees), the Real Estate Licensing and Registration Act (RELRA) requires that consumers be provided with this Notice at the initial interview.

 

• Licensees may enter into the following agency relationships with consumers:

 

Seller Agent

As a seller agent, the licensee and the licensee’s company works exclusively for the seller/landlord and must act in the seller’s/landlord’s best interest, including making a continuous and good faith effort to find a buyer/tenant except while the property is subject to an existing agreement. All confidential information relayed by the seller/landlord must be kept confidential except that a licensee must reveal known material defects about the property. A subagent has the same duties and obligations as the seller agent.

 

Buyer Agent

As a buyer agent, the licensee and the licensee’s company work exclusively for the buyer/tenant even if paid by the seller/landlord. The buyer agent must act in the buyer/tenant’s best interest, including making a continuous and good faith effort to find a property for the buyer/tenant, except while the buyer is subject to an existing contract, and must keep all confidential information, other than known material defects about the property, confidential.

 

Dual Agent

As a dual agent, the licensee works for both the seller/landlord and the buyer/tenant. A dual agent may not take any action that is adverse or detrimental to either party but must disclose known material defects about the property. A licensee must have the written consent of both parties before acting as a dual agent.

 

Designated Agent

As a designated agent, the broker of the selected real estate company designates certain licensees within the company to act exclusively as the seller/landlord agent and other licensees within the company to act exclusively as the buyer/tenant agent in the transaction. Because the broker supervises all of the licensees, the broker automatically serves as a dual agent. Each of the designated licensees are required to act in the applicable capacity explained previously. Additionally, the broker has the duty to take reasonable steps to assure that confidential information is not disclosed within the company.

 

• In addition, a licensee may serve as a Transaction Licensee.

 

A transaction licensee provides real estate services without having any agency relationship with a consumer. Although a transaction licensee has no duty of loyalty or confidentiality, a transaction licensee is prohibited from disclosing that:

o The seller will accept a price less than the asking/listing price,

o The buyer will pay a price greater than the price submitted in the written offer,

and

o The seller or buyer will agree to financing terms other than those offered.

 

Like licensees in agency relationships, transaction licensees must disclose known material defects about the property.

 

• Regardless of the business relationship selected, all licensees owe consumers the duty to:

 

 B-1 

 

 

o Exercise reasonable professional skill and care which meets the practice standards required by the RELRA.

o Deal honestly and in good faith.

o Present, as soon as practicable, all written offers, counteroffers, notices and communications to and from the parties. This duty may be waived by the seller where the seller’s property is under contract and the waiver is in writing.

o Comply with Real Estate Seller Disclosure Law.

o Account for escrow and deposit funds.

o Disclose, as soon as practicable, all conflicts of interest and financial interests.

o Provide assistance with document preparation and advise the consumer regarding compliance with laws pertaining to real estate transactions.

o Advise the consumer to seek expert advice on matters about the transaction that are beyond the licensee’s expertise.

o Keep the consumer informed about the transaction and the tasks to be completed.

o Disclose financial interest in a service, such as financial, title transfer and preparation services, insurance, construction, repair or inspection, at the time service is recommended or the first time the licensee learns that the service will be used.

 

• The following contractual terms are negotiable between the licensee and the consumer and

must be addressed in an agreement/disclosure statement:

o The duration of the licensee’s employment, listing agreement or contract.

o The licensee’s fees or commission.

o The scope of the licensee’s activities or practices.

o The broker’s cooperation with and sharing of fees with other brokers.

 

• All sales agreements must contain the property’s zoning classification except where the property is zoned solely or primarily to permit single family dwellings.

 

• The Real Estate Recovery Fund exists to reimburse any person who has obtained a final civil judgment against a Pennsylvania real estate licensee owing to fraud, misrepresentation, or deceit in a real estate transaction and who has been unable to collect the judgment after exhausting all legal and equitable remedies. For complete details about the Fund, call (717) 783-3658.

 

Before you disclose any financial information to a licensee, be advised that unless you select a business relationship by signing a written agreement, the licensee is NOT representing you. A business relationship is NOT presumed.

 

 B-2 

 

 

EXHIBIT C

 

Form of Tenant Estoppel

 

[Date]

 

BuildingBits Properties I, LLC

c/o BuildingBits Holdings, LLC

425 NW 10th Avenue, Suite 306

Portland, Oregon 97209

Attention: Alexander Aginsky, CEO

 

[Lender Address:]

 

   
   
   
   
Attention:    

 

Ladies and Gentlemen:

 

_________________________________ ("Tenant") acknowledges that (a) ________________________ ("Landlord") has entered into an agreement with BuildingBits Properties I, LLC ("Buyer") for the sale and purchase of the real property and improvements commonly known as _______________________ (the "Property"), (b) Landlord has requested Tenant to execute and deliver this Tenant Estoppel Certificate to Buyer and Buyer’s lender, who is providing financing with respect to the Property ("Lender"), and (c) Buyer, Lender, and their respective successors and assigns will rely upon the certifications by Tenant in this Tenant Estoppel Certificate in connection with the purchase and financing of the Property.

 

Tenant hereby certifies as follows:

 

1.           Tenant currently leases at the Property the premises commonly known as ____________________(the "Premises"), pursuant to the terms and conditions of that certain Lease Agreement (or comparably-titled document) dated as of _______________, between Landlord and Tenant, as amended by the following amendments or modifications: ______________________________________________________ (the "Lease"). Except for the Lease, there are no agreements (written or oral) or documents that are binding on Landlord in connection with the lease of the Premises. The Lease is valid, binding, and in full force and effect, and has not been modified or amended in any manner whatsoever except as described above.

 

2.           The term of the Lease commenced on __________________________, and including any presently exercised option or renewal term(s), ends on ______________________________, subject to any rights of Tenant to extend the term expressly set forth in the Lease. Tenant has no rights to extend the term of the Lease except to the extent expressly set forth in the Lease.

 

3.           Landlord has delivered possession of the Premises to Tenant, and Tenant has accepted possession of, and currently occupies, the Premises.

 

 C-1 

 

 

4.           The current monthly base rent payable under the Lease is $________________, and the current monthly payment payable under the Lease on account of taxes and operating expenses is $___________________. Tenant’s percentage share of operating expenses and real estate taxes is _____%. Rent and all other charges payable under the Lease on or before the date hereof have been paid. No amounts of monthly base rent payable under the Lease have been prepaid except through the end of the current calendar month, and no other charges payable under the Lease have been prepaid for any period, other than estimated payments of operating expenses and taxes. There are no applicable abatements on rent or other charges now or hereafter existing under the Lease.

 

5.           To Tenant’s knowledge, all reconciliations of actual taxes and operating expenses for calendar year _________ and all previous calendar years (the "Expenses") with payments made by Tenant therefor have been made and a report thereof delivered to Tenant.

 

6.           Tenant has no options, rights of offer, rights of refusal, or other rights to purchase all or any portion of the Property. Tenant has no options, rights of offer, rights of refusal, or other rights to expand the Premises or lease any other premises at the Property, except to the extent expressly set forth in the Lease.

 

7.           All obligations, if any, of Landlord under the terms of the Lease with respect to improvements or repairs to the Premises have been fully performed, and all allowances, reimbursements, or other obligations of Landlord for the payment of monies to or for the benefit of Tenant have been fully paid, all in accordance with the terms of the Lease.

 

8.           To Tenant’s knowledge, neither Landlord nor Tenant is in default in the performance of any covenant, agreement, or condition contained in the Lease, and no event has occurred and no condition exists which, with the giving of notice, or the lapse of time, or both, would constitute a default by any party under the Lease.

 

9.           Tenant is not the subject of any bankruptcy, insolvency, or similar proceeding in any federal, state, or other court or jurisdiction and no such proceeding is contemplated by Tenant.

 

10.          Tenant is in possession of the Premises and has not subleased any portion of the Premises or assigned or otherwise transferred any of its rights under the Lease.

 

11.         Tenant has deposited _____________________ Dollars ($________________) with Landlord as a security deposit under the Lease. Tenant has provided no other security to Landlord with respect to the Lease.

 

12.         Tenant will attorn to and recognize Buyer as the Landlord under the Lease and will pay all rents and other amounts due thereunder to Buyer upon notice to Tenant that Buyer has become the owner of Landlord’s interest in the Premises under the Lease.

 

13.         The individual executing this Tenant Estoppel Certificate has the authority to do so on behalf of Tenant ad to bind Tenant to the terms hereof.

 

14.         The term "Lender" as used herein includes any successor or assign of the named Lender; the term "Landlord" includes any successor or assign of the named Landlord; and the term "Buyer" includes any successor or assign of the named Buyer and any person who acquires title to the Property as a cotenant with the named Buyer or any affiliate of the named Buyer, and their successors and assigns.

 

  [Tenant Name:]
   
   
  By:  
  Name:  
  Title:  

 

 C-2 

 

 

EXHIBIT D

 

Form of Deed

 

Space above this line reserved for Recorder

 

SPECIAL WARRANTY DEED

 

THIS INDENTURE, dated ___________________, 2018, is by and between Quattro Williamsport, LLC, an Illinois limited liability company, of _________________________,

 

GRANTOR

 

AND

 

_________________________, a ___________________, of _______________________,

 

GRANTEE

 

WITNESSETTH, that the said Grantor, for and in consideration of the sum of One Dollar ($1.00), lawful money of the United States of America, paid by the said Grantee to the said Grantor, at and before the sealing and delivery of these presents, the receipt whereof is hereby acknowledged, has granted, bargained, sold, conveyed, released and confirmed and by these presents does hereby grant, bargain, sell, convey, release and confirm to the said Grantee, its successors and assigns, the real property described on attached Exhibit A.

 

UNDER AND SUBJECT to all existing easements, restrictions and conditions of record.

 

TOGETHER with all and singular the tenements, hereditaments and appurtenances to the same belonging, or in anywise appertaining, and the reversion and reversions, remainder and remainders, rents, issues and profits thereof, and ALSO all the estate, right, title, interest, property, claim and demand whatsoever, both in law and equity, of the said Grantor, of, in, to or out of the said premises, and every part and parcel thereof.

 

TO HAVE AND TO HOLD the same premises, with all and singular the appurtenances, unto the said Grantee, their successors and assigns, to and for the only proper use and behoof of said Grantee, their successors and assigns forever.

 

And the said Grantor will SPECIALLY WARRANT AND FOREVER DEFEND the property hereby conveyed.

 

[Signature page follows.]

 

 D-1 

 

 

IN WITNESS WHEREOF, the said Grantor has hereunto set its hand and seals the day and year first above written.

 

SEALED AND DELIVERED,

 

In the Presence of:   Quattro Williamsport, LLC,
    an Illinois limited liability company
     
    By:           
    Name:  
    Title:  

 

State of     )  
      ) ss.  
County of     )  

 

The foregoing instrument was acknowledged before me on ____________________, 2018, by __________________, as the ____________________ of Quattro Williamsport, LLC, an Illinois limited liability company

 

WITNESS my hand and official seal.

 

   
  Notary Public for the State of  
  My commission expires:  

 

[Exhibit intentionally omitted]

 

 D-2 

 

 

EXHIBIT E

 

Bill of Sale

 

A.           BuildingBits Properties I, LLC, as Buyer ("BuildingBits"), and ___________________________, a ______________________("Seller"), entered into that certain Platform Listing and Sale Agreement dated as of ________________________, 20___ (including all amendments thereto, the "Purchase Agreement") with respect to the acquisition of that certain real property, together with all improvements thereon, commonly known as ___________________________, located at ___________________________, as more particularly described in the Purchase Agreement (the "Property").

 

B.           BuildingBits assigned its rights under the Purchase Agreement to ______________________, a _______________ ("Buyer") pursuant to that certain Assignment of Purchase Agreement dated on or about the date hereof.

 

For good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, Seller does hereby sell, assign, transfer, and set over to Buyer the following personal property (but only to the extent owned by Seller) presently located on the Property:

 

All equipment, fixtures and other personal property owned by Seller and located at or attached to the Property and used in connection with the ownership, operation, and maintenance thereof, including without limitation all furniture, artwork, heating, lighting, air conditioning, ventilating, plumbing, electrical, or mechanical equipment and any personal property described on Schedule 1 attached hereto (collectively, the "Personal Property").

 

Seller does hereby covenant with Buyer that at the time of delivery of this Bill of Sale, the Personal Property is free from all encumbrances made by Seller. SELLER HEREBY DISCLAIMS, AND BUYER HEREBY WAIVES ANY AND ALL WARRANTIES OF MERCHANTABILITY OR WARRANTIES OF FITNESS FOR A PARTICULAR PURPOSE WITH RESPECT TO THE PERSONAL PROPERTY BEING TRANSFERRED BY THIS INSTRUMENT.

 

Dated as of _______________________, 20___.

 

  SELLER:
   
   
  a(n)  
   
  By:  
  Name:  
  Title:  

 

Attachments:

 

Schedule 1: List of Personal Property

 

[Schedule intentionally omitted]

 

 E-1 

 

 

EXHIBIT F

 

Assignment Agreement

 

ASSIGNMENT AND ASSUMPTION AGREEMENT

 

This Assignment and Assumption Agreement (this "Agreement") is made and entered into as of ____________________, 20___ (the "Effective Date") by and between _________________________, a ______________________ ("Assignor"), and ________________________________, a _________________________ ("Assignee").

 

Background

 

A.           BuildingBits Properties I, LLC, as Buyer ("BuildingBits") and Assignor, as Seller, entered into that certain Platform Listing and Sale Agreement dated as of ________________________, 20___ (including all amendments thereto, the "Purchase Agreement") with respect to the acquisition of that certain real property, together with all improvements thereon, commonly known as _________________________, located at _________________________, as more particularly described in the Purchase Agreement (the "Property").

 

B.           BuildingBits assigned its rights under the Purchase Agreement to Assignee pursuant to that certain Assignment of Purchase Agreement dated on or about the date hereof.

 

Terms and Conditions

 

For good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, Assignor hereby sells, transfers, conveys, assigns, and sets over unto Assignee the following described property (collectively, the "Assigned Property"):

 

1.            All of Assignor’s right, title, and interest, as lessor, in and to all leases, licenses, cell tower or telecommunications agreements and other agreements (collectively, the "Leases") to occupy all or any portion of the Property, including without limitation the Leases listed on the attached Schedule 1, together with all rents due, or to become due under each such Lease on or after the date hereof and all guaranties by third parties of the tenants’ obligations thereunder, letters of credit or other security devices relating thereto; and

 

2.           All refundable lease security deposits under the Leases (to the extent sums are being paid to Assignee on the date hereof); and

 

3.           All of Assignor’s right, title, and interest in and to all those contracts, agreements, telecommunications agreements, guarantees, warranties, and indemnities, written or oral, affecting the ownership, operation, management, and/or maintenance of the Property listed on the attached Schedule 2 (collectively, the "Contracts"); and

 

4.           To the extent assignable without the payment of any fee or the occurrence of any obligation, or the execution of any documents (other than this Assignment and Assumption Agreement) that create liability or reserve against the Assignor, all of Assignor’s right, title, and interest in and to:

 

(a)          all licenses, franchises, occupancy and use certificates, permits, authorizations, consents, variances, waivers, approvals, and the like from any governmental or quasi-governmental entity or instrumentality affecting or relating to the ownership, operation, or maintenance of the Land or the Improvements (collectively, the "Licenses"); and

 

(b)          to the extent the same exist, (i) all plans, drawings, specifications, blueprints, studies or reports (including all environmental, architectural (including Americans with Disabilities Act compliance), engineering, structural, mechanical, roof, soils, seismic and geologic reports) and surveys relating in any way to the Property, (ii) maintenance records prepared by or on behalf of Assignor in connection with the ownership, operation, and/or maintenance of the Property, (ii) all logos, building and trade names, (iii) all transferable guaranties and warranties, if any, (iv) all advertising materials, development rights and other information and documentation in Assignor’s possession relating to the Property that do not contain Assignor’s name or are not deemed proprietary by Assignor, and (v) all other intangible rights, titles, interests and privileges owned by Assignor and relating to the Property (collectively, the "Intangibles").

 

 F-1 

 

 

Assignor does hereby covenant with Assignee that, at the time of delivery of this Assignment Agreement, the Leases, Contracts, Licenses, and Intangibles are free from all encumbrances made by Assignor and that Assignor will warrant and defend the same against the lawful claims and demands of all persons claiming by, through, or under Assignor, but against none other. Except as to the special warranty of title and any representation and warranty expressly set forth in the Purchase Agreement, the Assigned Property is conveyed "AS IS" as provided in the Purchase Agreement and Assignor makes no other warranty with respect thereto.

 

Assignor agrees to indemnify, defend and hold Assignee harmless from and against all liabilities, obligations, actions, suits, proceedings, or claims, and all costs and expenses (including without limitation reasonable attorney fees and costs) incurred in connection with the Leases, Contracts, Licenses, or Intangibles, or any of them, based upon or arising out of any breach or alleged breach of the Leases, Contracts, Licenses, or Intangibles, or any of them, by Assignor occurring or alleged to have occurred prior to the date hereof.

 

Dated as of _____________________, 20___.

 

  ASSIGNOR:
   
   
  a        
     
  By:  
  Name:  
  Title:  

 

ACCEPTANCE

 

Assignee hereby accepts the foregoing assignment as of the date hereof and as of such date hereby assumes, and agrees to be subject to, the performance of all the terms, covenants, and conditions of the Assigned Property, including without limitation the obligation to return the refundable lease security deposits under the Leases to the extent the same are received as a credit at Closing, with respect to the period from and after the date hereof.

 

Assignee agrees to indemnify, defend, and hold Assignor harmless from and against all liabilities, obligations, actions, suits, proceedings, or claims, and all costs and expenses (including without limitation reasonable attorney fees and costs) incurred in connection with the Leases, Contracts, Licenses, or Intangibles, or any of them, based upon or arising out of any breach or alleged breach of the Leases, Contracts, Licenses, or Intangibles, or any of them, occurring or alleged to have occurred on or after the date hereof.

 

Dated as of: _____________________, 20___.

 

  ASSIGNEE:
   
  ___________________________, a ____________________
   
  By:                                    
  Name:  
  Title:  

 

 F-2 

 

 

Attachments:

 

Schedule 1: Rent Roll
Schedule 2: List of Contracts

 

[Schedules intentionally omitted]

 

 F-3 

 

 

SCHEDULE 7(a)

 

DUE DILIGENCE MATERIALS

 

Seller will make available to Buyer for Buyer’s inspection the following documents and materials to the extent the same exist and are in Seller’s possession

 

PROPERTY

 

2. Historical Third Party Reports

a. Property Condition Assessment

b. Environmental Reports

c. Seismic/Structural Assessments

d. Mold Assessment

e. Zoning Report

f. ADA Surveys

g. Operation and Maintenance Programs

3. Certificates of Occupancy (building & tenants)

4. Licenses, Permits & Contracts

a. Elevator Permit/Inspection Certificates

b. Parking Management Agreement

c. Service Contracts (security, fire protection, alarm, elevators, HVACs, etc.)

5. ALTA Survey (existing)

6. Plans (site plan, floor plans, as-builts, stacking plan)

7. Warranties (roof and any serviceable warranties)

9. Litigation (current, pending & threatened)

 

INCOME

 

12. Rent Roll (current)

13. Security Deposits/Credits Schedule

14. Operating Statements (prior year of Seller’s ownership and YTD, if applicable)

15. General Ledger (current year)

16. Tenant Leases (including amendments and exhibits)

19. Tenant Contact Information

20. Percentage Rent/Tenant Sales (YTD) (if applicable)

21. Delinquency Report (YTD)

 

EXPENSE

 

24. Operating Budget (prior year, YTD)

27. CAM Reconciliation with tenant detail (prior three years and YTD)

 

 Schedule 7(a) 

EX1A-6 MAT CTRCT 10 tv493263_ex6-12.htm EXHIBIT 6.1.2

 

Exhibit 6.1.2

 

BUILDINGBITS PURCHASE AND SALE AGREEMENT

 

This BuildingBits Purchase and Sale Agreement (this "Agreement") is made and entered into as of April 10th, 2018 (the "Effective Date") by The Hollywood 12, LLC, an Oregon limited liability company ("Seller"), BuildingBits Real Estate Services, LLC, a Delaware limited liability company ("BBRS"), and BuildingBits Properties I, LLC, a Delaware limited liability company ("Buyer").

 

Background

 

A.           Seller is the owner of certain real property legally described on the attached Exhibit A (the "Land") and all buildings, fixtures, and other improvements situated on the Land (collectively, the "Improvements"), commonly known as The Hollywood 12 Apartments, located at 1728 NE 45th Ave, Portland, OR 97213.

 

B.           Seller desires to sell to Buyer, and Buyer desires to purchase from Seller, the Land and the Improvements, together with all of the other property and interests of Seller described in Section 1 below, subject to and on the terms and conditions contained in this Agreement.

 

Terms and Conditions

 

NOW, THEREFORE, in consideration of the mutual covenants and agreements contained in this Agreement, and for other good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, Seller, BBRS and Buyer agree as follows:

 

1.            Agreement of Purchase and Sale. Seller agrees to sell, and Buyer agrees to buy, subject to and on the terms and conditions contained herein, the Land and the Improvements, together with all of Seller’s right, title, and interest in and to:

 

(a)          Appurtenant Rights. (i) All rights of way, tenements, hereditaments, easements, interests, minerals and mineral rights, water and water rights, utility capacity, and appurtenances, if any, in any way belonging or appertaining to the Land and the Improvements, and (ii) all adjoining streets, alleys, roads, parking areas, curbs, curb cuts, sidewalks, landscaping, signage, sewers, and public ways (collectively, the "Appurtenant Rights");

 

(b)         Personal Property. All equipment, fixtures and other personal property owned by Seller and located at, or attached to, the Improvements and used in connection with the ownership, operation, and/or maintenance of the Land or the Improvements, including, without limitation, all furniture, artwork, and heating, lighting, air conditioning, ventilating, plumbing, electrical, or other mechanical equipment (collectively, the "Personal Property");

 

(c)          Leases. All leases, tenancies, cell tower or telecommunications agreements and rental or occupancy agreements granting possessory rights in, on, or covering the Land or Improvements to the tenants listed on the Rent Roll to be delivered to Buyer pursuant to Section 7(a) below (the "Rent Roll"), together with (i) all modifications, extensions, amendments, and guarantees, letters of credit or other security devices relating thereto and (ii) such other leases of the Improvements as may be made prior to Closing (as defined below) in accordance with the terms of this Agreement (collectively, the "Leases");

 

(d)          Contracts. To the extent assignable, and subject to Buyer’s agreement or obligation to accept an assignment thereof pursuant to the terms of Section 7(d) below, all contracts, agreements, guarantees, warranties, and indemnities, if any, affecting the ownership, operation, management, and/or maintenance of the Land, Improvements, Appurtenant Rights, Personal Property, and Leases (collectively, the "Contracts");

 

(e)          Licenses. To the extent assignable, all licenses, franchises, occupancy and use certificates, permits, authorizations, consents, variances, waivers, approvals, and the like from any governmental or quasi-governmental entity or instrumentality affecting or relating to the ownership, operation, or maintenance of the Land or the Improvements (collectively, the "Licenses"); and

 

 1 

 

 

(f)           Intangibles. To the extent the same exist and are assignable, (i) all plans, drawings, specifications, blueprints, studies or reports (including all environmental, architectural (including Americans with Disabilities Act compliance), engineering, structural, mechanical, roof, soils, seismic and geologic reports) and surveys relating in any way to the Property (as defined below), (ii) maintenance records prepared by or on behalf of Seller in connection with the ownership, operation, and/or maintenance of the Property, (ii) all logos, building and trade names, (iii) all transferable guaranties and warranties, if any, (iv) all advertising materials, development rights and other information and documentation in Seller’s possession relating to the Property that do not contain Seller’s name or are not deemed proprietary by Seller, and (v) all other intangible rights, titles, interests and privileges owned by Seller and relating to the Property (collectively, the "Intangibles").

 

The Land, Improvements and Appurtenant Rights are collectively referred to as the "Real Property," and the Real Property, Personal Property, Leases, Contracts, Licenses, Intangibles, and all other property rights pertaining thereto are collectively referred to as the "Property."

 

2.            Platform Listing; Agency Acknowledgement and Disclosure; BBRS Commission.

 

(a)          Platform Listing. Within Thirty (30) days after Buyer's receipt of the Due Diligence Materials (as defined below) pursuant to Section 7(a) below, BBRS and Buyer will list the Property on the BuildingBits Platform, which is a crowdfunding based marketplace (the "Platform") that BBRS, Buyer and their affiliates will use to raise some or all of the equity required to purchase the Property from third-party investors ("BuildingBits Investors"). Seller, at no cost, expense or liability (actual or contingent) to Seller, shall reasonably cooperate with BBRS in all respects in connection with listing the Property on the Platform, which may include cooperating with, and granting full access to the Property to, any third-party vendor retained by BBRS to create marketing photography or video footage of the Property. Seller authorizes BBRS and Buyer to make any and all information, data, and documents relating to the Property (including without limitation the Due Diligence Materials furnished pursuant to the terms and provisions of Section 7(a)) obtained by Buyer from Seller or any other party or discovered by Buyer during the term of this Agreement available on the Platform for review and analysis by BuildingBits Investors. BBRS and Buyer have no duty to maintain or ensure the confidentiality of the Due Diligence Materials or any other information, data or documents relating to the Property made available on the Platform, and BBRS and Buyer will have no liability to Seller if for any reason any of the Due Diligence Materials or any other information, data or documents relating to the Property become widely disseminated or publicly available.

 

(b)          Statement of Consideration. Seller acknowledges and agrees that Seller will derive a direct or indirect benefit from the Property being listed on the Platform and that the agreement of Buyer and BBRS to list the Property on the Platform constitutes sufficient consideration for the rights and options extended to Buyer under this Agreement, including, without limitation, the right to terminate this Agreement as provided herein.

 

(c)          Agency Acknowledgement and Disclosures. Buyer and Seller hereby acknowledge and consent to following agency relationships in connection with the transactions contemplated by this Agreement:

 

(i)       Seller has been represented by Thomas Geffner, Keller Williams Portland Central ("Seller's Broker") in connection with the transactions contemplated by this Agreement.

 

(ii)       Buyer has been represented by BBRS in connection with the transactions contemplated by this Agreement. Seller acknowledges that (1) BBRS is a licensed real estate broker in the state where the Property is located or has affiliated with a third-party licensed real estate broker in the state where the Property is located; (2) BBRS is an affiliate of Buyer; and (3) BBRS has and will exclusively represent Buyer in connection with the transactions contemplated by this Agreement.

 

(iii)       Buyer and Seller acknowledge having received and having reviewed the disclosures set forth in attached Exhibit B.

 

 2 

 

 

Initials of Seller:   Initials of Buyer:
     
_____________   _____________

 

(d)          Commission. Seller will be responsible for all fees, commissions, and other amounts due to Seller's Broker as a result of the transactions contemplated herein and agrees to pay a commission to BBRS in the amount of one percent (1%) of the Purchase Price (the "BBRS Commission"), which shall reduce Seller’s fee to Seller’s Broker per separate agreement. Seller shall cause the Escrow Agent (as defined below) to deliver the BBRS Commission to BBRS on the Closing Date (as defined below)..

 

(e)          Indemnity. Each party agrees to indemnify, defend, and hold harmless the other party, its successors, assigns, and agents, from and against the payment of any commission, compensation, loss, damages, costs, and expenses (including without limitation attorney fees and costs) incurred in connection with, or arising out of, claims for any broker’s, agent’s, or finder’s fees of any person claiming by or through such party, other than Seller's Broker or BBRS which shall be compensated as provided above. The obligations of Seller and Buyer under this Section 2 will survive the Closing and the termination of this Agreement.

 

3.            Purchase Price and Earnest Money. The purchase price for the Property (the "Purchase Price") will be Four Million Three Hundred Seventy Thousand Dollars ($4,370,000), payable as follows:

 

(a)          Earnest Money. Buyer will deposit with First American Title Insurance Company of Oregon (the "Escrow Agent") cash or certified funds, as earnest money deposits, in the following amounts (collectively, the "Earnest Money"):

 

(i)       Provided this Agreement has not been previously terminated in accordance with its terms, within three (3) business days after completion of the Audit (as defined below) and the Qualification (as defined below) Buyer will deposit Five Thousand Dollars ($5,000) (the "Initial Deposit") with Escrow Agent. From and after the date of deposit, the Initial Deposit will be part of the Earnest Money for all purposes of this Agreement.

 

(ii)       Provided this Agreement has not been previously terminated in accordance with its terms, within three (3) business days after Funding Milestone #1 (as defined below) is met Buyer will deposit an additional Five Thousand Dollars ($5,000) (the "First Additional Deposit") with Escrow Agent. From and after the date of deposit, the Second Additional Deposit will be part of the Earnest Money for all purposes of this Agreement.

 

(iii)       Provided this Agreement has not been previously terminated in accordance with its terms, within three (3) business days after Funding Milestone #2 (as defined below) is met Buyer will deposit an additional Five Thousand Dollars ($5,000) (the "Second Additional Deposit") with Escrow Agent. From and after the date of deposit, the Second Additional Deposit will be part of the Earnest Money for all purposes of this Agreement.

 

At Closing (as defined below), Buyer will receive a credit against the Purchase Price in the amount of the Earnest Money. Provided this Agreement has not been previously terminated in accordance with its terms, the Earnest Money shall become nonrefundable on the date that Buyer makes the Second Additional Deposit, except as otherwise expressly provided in this Agreement.

 

(b)          Remainder of Purchase Price. The remainder of the Purchase Price, plus or minus prorations, adjustments and credits provided for in this Agreement, will be paid in cash or cash equivalent to Seller at Closing.

 

4.            Closing. Subject to the terms and conditions of this Agreement, the closing of the transaction contemplated by this Agreement (the "Closing") will take place on or before the date (the "Closing Date") that is forty-five (45) days after the later to occur of: (a) the delivery date of the Contingency Approval Notice (as defined below); (b) the expiration of the Funding Milestone #2 Period; or (c) the day which Funding Milestone #2 was met (as defined below). The Closing will occur through the Escrow (as defined below). No party shall be required to be present at the Closing.

 

 3 

 

 

5.            Escrow. This transaction will be closed through an escrow (the "Escrow") established with Escrow Agent in accordance with this Agreement. Upon creation of the Escrow, anything herein to the contrary notwithstanding, the transfer and conveyance of the Property, the payment of funds, and the delivery of the Escrow Closing Documents (as defined below) and other documents required to close the transaction contemplated by this Agreement will be made through the Escrow. The Closing will take place so that the Title Company’s commitment to issue the Title Policy (as defined below) will be delivered to Buyer, and Seller will receive the net sale proceeds, on the Closing Date.

 

6.            Conveyance and Title Matters.

 

(a)       Title Objections. Seller shall request Escrow Agent to cause to be delivered to Buyer a preliminary title report (the "Preliminary Report") from a title company affiliated with the Escrow Agent (the "Title Company"), showing the status of Seller’s title to the Property, together with complete and legible copies of all documents shown therein as exceptions to title ("Exceptions"). Buyer shall have until the date that is five (5) days after the Title Company delivers the Preliminary Report and Exceptions to Buyer within which to give notice in writing to Seller of any objection to such title or to any liens or encumbrances affecting the Property. Within five (5) days after receipt of such notice from Buyer, Seller shall give Buyer written notice of whether it is willing and able to remove the objected-to Exceptions. Without the need for objection by Buyer, Seller shall, with respect to liens and encumbrances that can be satisfied and released by the payment of money, eliminate such exceptions to title on or before Closing. Within five (5) days after receipt of such notice from Seller (the "Title Contingency Date"), Buyer shall elect whether to: (i) purchase the Property subject to those objected-to Exceptions which Seller is not willing or able to remove; or (ii) terminate this Agreement. If Buyer fails to give Seller notice of Buyer’s election, then such inaction shall be deemed to be Buyer’s election to terminate this Agreement. On or before the Closing Date (defined below), Seller shall remove all Exceptions to which Buyer objects and which Seller agrees, or is deemed to have agreed, Seller is willing and able to remove. All remaining Exceptions set forth in the Preliminary Report and those Exceptions caused by or agreed to by Buyer shall be deemed "Permitted Exceptions."

 

(b)       New Exceptions. In the event that (i) subsequent to the delivery to Buyer of the Preliminary Report, the Title Company issues an update to the Preliminary Report that shows an exception to title not previously listed (a "New Exception"), Buyer shall have five (5) business days following receipt of such update to the Preliminary Report and the underlying documents to object in writing (the "Buyer’s New Exception Notice") to such New Exception. Buyer’s failure to approve or disapprove any New Exception within the period described in the initial sentence of this Section 6(b) shall be deemed disapproval thereof. If Buyer timely disapproves, or is deemed to have disapproved, any New Exception, then Seller may, but shall not be obligated to, correct such New Exceptions specified in such notice at or prior to the Closing Date; provided, however, if Seller is able and willing to eliminate or cure all of such New Exceptions which Buyer has disapproved, Seller shall notify Buyer in writing within five (5) days of Seller’s receipt of Buyer’s New Exception Notice or deemed disapproval ("Seller’s New Exception Notice Period") that Seller intends to eliminate or cure (said notice hereinafter called "Seller’s New Exception Notice") and in which case the elimination or curing by Seller of the New Exception(s) specified by Seller for cure or elimination in Seller’s New Exception Notice shall be completed on or before the Closing Date. If Seller does not deliver Seller’s New Exception Notice to Buyer within Seller’s New Exception Notice Period, Buyer is deemed to be notified that Seller is unable or unwilling to eliminate or cure the disapproved New Exception(s). If Seller (i) does not timely deliver Seller’s New Exception Notice, or (ii) notifies or is deemed to have notified Buyer that Seller is unable or unwilling to cure any disapproved New Exception(s), then, unless Buyer waives, in writing, those disapproved New Exception(s) for which Seller has elected or is deemed to have elected to not cure within five (5) days following Seller’s New Exception Notice Period, this Agreement shall terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties hereto shall have no further rights or obligations, other than those that by their terms survive the termination of this Agreement. If necessary, the Closing Date shall be extended to the third (3rd) business day following the running of the time limits stated in this Section 6(b).

 

 4 

 

 

7.            Conditions to Closing.

 

(a)          Due Diligence Materials. Within three (3) days following the Effective Date, and to the extent Seller has not already done so, Seller will provide Buyer with copies of the following documents to the extent in the possession or control of Seller:

 

(i)       The Rent Roll

 

(ii)       The Title Report and a copy of Seller’s existing survey of the Property.

 

(iii)       The most recent (for the prior three (3) years) real estate and personal property tax bills, notices of assessed valuation, and utility bills relating to the Property.

 

(iv)       All certificates of occupancy, floor plans, "as built" or working drawings, site plans, specifications, and the most recent title policy relating to the Property.

 

(v)       The Leases and any material correspondence with respect thereto.

 

(vi)       The Contracts and Licenses.

 

(vii)       Statements of operations for the past two (2) complete calendar years and year to date for the current year and general ledgers maintained or prepared for the Property.

 

In addition, Seller will make available to Buyer for inspection and copying at either Seller’s office or at the office of the Property those materials listed on the attached Schedule 7(a), to the extent not already mentioned above and to the extent such materials exist and are in Seller’s possession or control. The foregoing documents are collectively referred to herein as the "Due Diligence Materials."

 

(b)          Platform Funding Milestones. Seller acknowledges that Buyer intends to raise some or all of the equity required to acquire Property from BuildingBits Investors by listing the Property on the Platform in accordance with Section 2(a). Seller further acknowledges that Seller will have the right to access the Platform and will have the ability to monitor the status of the milestones contemplated in this Section 7(b). Moreover, Buyer and BBRS agree from time to time, following receipt of written request from Seller, to provide Seller with a status report concerning the status of the milestones contemplated in this Section 7(b). Buyer's obligation to purchase the Property shall be subject to the timely satisfaction of the following conditions:

 

(i)       Qualification. Buyer shall have an initial period of thirty (30) calendar days (the "Qualification Period") for Buyer to engage a third party CPA firm to prepare audited financial statements for the subject property ("Audit") and undertake the process of qualifying the asset as part of an SEC Regulation A+ offering ("Qualification") of the Property, to the extent necessary or desirable. If both the Audit and the Qualification are not completed within the initial Qualification Period, then the Qualification Period will be automatically extended for an additional fifteen (15) calendar days. If both the Audit and the Qualification are not completed within the Qualification Period, as extended, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the Qualification Period, as extended, in which case this Agreement will terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). At any time within the Qualification Period, as it may be extended, Buyer may elect in its sole discretion to terminate this Agreement due to the actual or anticipated failure to complete the Audit and the Qualification by delivering written notice thereof to Seller, in which case this Agreement will terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

 5 

 

 

(ii)       Funding Milestone #1. Provided this Agreement has not been previously terminated in accordance with its terms, Buyer shall have an initial period of thirty (30) calendar days (the "Funding Milestone #1 Period") from the expiration of the Qualification Period to obtain satisfactory commitments on the Platform from BuildingBits Investors of an amount ("Funding Milestone #1") equal six percent (6%) of one million five hundred thirty thousand ($1,530,000) (the "Funding Goal"). If Funding Milestone #1 is not met by the expiration of the initial Funding Milestone #1 Period, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the initial Funding Milestone #1 Period, in which case this Agreement will terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). In the event that Seller does not timely exercise the foregoing termination right, then the Funding Milestone #1 Period will be automatically extended for an additional thirty (30) calendar days. If Funding Milestone #1 is not met by the expiration of the Funding Milestone #1 Period, as extended, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the Funding Milestone #1 Period, as extended, in which case this Agreement will terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). At any time within the Funding Milestone #1 Period, as it may be extended, Buyer may elect in its sole discretion to terminate this Agreement due to the actual or anticipated failure to meet Funding Milestone #1 by delivering written notice thereof to Seller, in which case this Agreement will terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). When Funding Milestone #1 is met Buyer shall have two (2) business days to provide Seller or Seller’s Broker written notice that Funding Milestone #1 has been met. Said notice shall contain the date at which Funding Milestone #1 was met and Funding Milestone #2 shall commence the following day.

 

(iii)       Funding Milestone #2. Provided this Agreement has not been previously terminated in accordance with its terms, Buyer shall have an initial period of thirty (30) calendar days (the "Funding Milestone #2 Period") which shall commence the day following Funding Milestone #1 was met to obtain satisfactory commitments on the Platform from BuildingBits Investors of an amount ("Funding Milestone #2") equal to the greater of: (1) twelve percent (12%) of the Purchase Price; or (2) thirty-five percent (35%) of the Funding Goal. If Funding Milestone #2 is not met by the expiration of the initial Funding Milestone #2 Period, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the initial Funding Milestone #2 Period, in which case this Agreement will terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). In the event that Seller does not timely exercise the foregoing termination right, then the Funding Milestone #2 Period will be automatically extended for an additional thirty (30) calendar days. If Funding Milestone #2 is not met by the expiration of the Funding Milestone #2 Period, as extended, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the Funding Milestone #2 Period, as extended, in which case this Agreement will terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). At any time within the Funding Milestone #2 Period, as it may be extended, Buyer may elect in its sole discretion to terminate this Agreement due to the actual or anticipated failure to meet Funding Milestone #2 by delivering written notice thereof to Seller, in which case this Agreement will terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). When Funding Milestone #2 is met Buyer shall have two (2) business days to provide Seller or Seller’s Broker written notice that Funding Milestone #2 has been met. Said notice shall contain the date at which Funding Milestone #2 was met.

 

(c)          Buyer’s Inspection Condition.

 

(i)       Duration; Scope of Inspections. Buyer (and Buyer’s representatives, agents and consultants), will have a period commencing on the Effective Date and ending upon the later to occur of (i) the date that is sixty (60) days after the Effective Date; or (ii) the expiration of the Funding Milestone #2 Period (the "Inspection Period"), to inspect the Property. Buyer may continue with such inspections after the Inspection Period if Buyer has delivered its Approval Notice (as defined below). Without limiting the generality of the foregoing, but subject to the terms of this Section 7(c), (1) except as provided below, Seller will permit Buyer to examine, at all reasonable times, all books and records (including without limitation financial and operating statements) in Seller’s possession or control relating to the Property, (2) Buyer will have the right to (A) inspect the Land, Improvements, Appurtenant Rights, and Personal Property, (B) review the Leases, Contracts, Licenses, Intangibles and all Due Diligence Materials, (C) discuss the Property with, and obtain additional information from, tenants and any property manager, and (D) conduct geophysical feasibility tests of the Property and an environmental audit or audits of the Property (with copies of the reports relating to such audits delivered to Seller when completed), including sampling, and (3) Buyer will be given complete access to the Property for the purpose of making such tests, inspections, and investigations.

 

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(ii)       Conduct of Inspections. Buyer, in the conduct of its due diligence investigation of the Real Property or otherwise, will not interfere with or hinder the operation of the Real Property or the tenants or occupants thereof. Seller will provide Buyer and Buyer’s representatives, agents and consultants with reasonable access to the Real Property between 9:00 a.m. and 5:00 p.m. on weekdays, subject to the rights of the Real Property tenants or occupants and provided that: (A) Buyer will notify Seller or one of Seller’s agents not less than one (1) business day in advance of entering the Real Property; (B) neither Buyer nor its representatives, agents or consultants will communicate directly with any tenant of the Real Property without the accompaniment by Seller, Seller’s manager or Seller’s agents for the Real Property if requested by Seller; (C) Buyer and its representatives, agents and consultants will keep the Real Property free and clear of any mechanic’s or materialmen’s liens arising out of any such entry, will promptly restore any damage caused by them, will perform all investigations in a safe and professional manner, will not allow any dangerous or hazardous conditions, and will comply with all applicable laws and governmental regulations; (D) Seller or any of its representatives or agents may accompany Buyer and any of its representatives and agents during their visit to the Real Property; (E) Buyer will not perform or authorize any invasive testing of the Real Property without Seller’s prior written consent, which shall not be unreasonably withheld or delayed; and (F) prior to entry upon the Real Property, Buyer will deliver to Seller evidence of such party’s liability insurance coverage by an insurer reasonably acceptable to Seller and with combined single limits of not less than One Million Dollars ($1,000,000) per occurrence. All such tests, investigations, and studies will be at Buyer’s sole cost and expense.

 

(iii)       Indemnification For Inspection Activities. In the event of any damage to the Property caused by Buyer, its agents, engineers, employees, contractors, or surveyors (including without limitation pavement, landscaping, and surface damage), Buyer will pay the reasonable cost incurred by Seller to restore the Property to the condition existing prior to the performance of such tests, investigations, or studies. Buyer will defend, indemnify, and hold Seller harmless from any and all damage, liability, cost, and expense (including without limitation reasonable attorney fees, court costs, and costs of appeal) suffered or incurred by Seller for injury to persons or property caused by Buyer, its agents, engineers, employees, contractors or surveyors or by Buyer’s investigations, tests, studies, and/or inspections of the Property (provided that the foregoing indemnification shall not apply to the discovery of pre-existing conditions at the Property as a result of Buyer’s investigations). The obligations of Buyer under this subparagraph will survive termination of this Agreement.

 

(iv)       Buyer’s Approval of Property. In addition to conducting inspections, Buyer may conduct and complete such analyses, evaluations, tests, and investigations of the Property as Buyer may determine in its sole discretion. If, in the sole discretion and at the sole election of Buyer, any of Buyer’s evaluations, tests, inspections, or investigations are unsatisfactory to Buyer, in any manner or for any reason (or for no reason whatsoever) in Buyer’s sole discretion, including without limitation for reasons relating to Buyer’s financial analysis of the Property for Buyer’s intended use or any purpose, restrictions on use of the Property, matters relating to zoning, government approvals, appraised value, or other matters impacting the condition or value of the Property, Buyer may terminate this Agreement. If Buyer notifies Seller, in writing, on or before 5:00 p.m. Pacific time on the last business day of the Inspection Period (the "Contingency Removal Date") of Buyer’s approval of the Property in all respects and Buyer’s election to proceed under this Agreement ("Contingency Approval Notice"), then this Agreement will remain in full force and effect. If Buyer fails to deliver its Contingency Approval Notice on or before the Contingency Removal Date, this Agreement will terminate, the Earnest Money will be delivered to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

(d)          Seller’s Termination of Contracts Not Assumed by Buyer Prior to Closing, Buyer shall provide Seller with written notice of those Contracts Buyer elects to assume at Closing (the "Assumed Contracts"). Seller will be responsible for terminating all of the Contracts that Buyer does not elect to assume, at or prior to Closing.

 

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(e)          Buyer Financing. The obligation of Buyer to close the transaction contemplated by this Agreement is contingent upon the closing of a mortgage loan secured by the Property from Buyer's lender of choice on terms satisfactory to Buyer in Buyer's sole and absolute discretion (the "Buyer Financing"). Without limiting the foregoing, so long as this Agreement remains in effect, Buyer, at its expense, shall use commercially reasonable efforts to obtain a commitment for the Buyer Financing and to satisfy the closing conditions of the Buyer Financing applicable to Buyer. Buyer shall be responsible for any costs, fees or expenses arising out of the Buyer Financing. Buyer may terminate this Agreement at any time prior to the Closing Date due to the actual or anticipated failure to close the Buyer Financing by delivering written notice thereof to Seller, in which case this Agreement will terminate, the Escrow Agent will return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

(f)           Occupancy Contingency.  The obligation of Buyer to close the transaction contemplated by this Agreement is contingent upon, as of the Closing Date, not less than seven thousand five hundred forty-four (7,544) square feet, or eighty percent (80%) of the apartment units of the Property being occupied by unaffiliated tenants pursuant to written Leases on Seller’s standard form at a blended rate that is no less than two dollars and fifty-one cents ($2.51) per square foot (the “Occupancy Contingency”).  From time to time following written request from Buyer, Seller shall provide Buyer with a status report concerning the leasing activity of the Property and will provide Buyer with an updated Rent Roll.  Seller’s failure to satisfy the Occupancy Contingency will in no instance constitute a default by Seller under this Agreement, and in the event of such failure Buyer’s sole right will be either to terminate this Agreement, in which case the Earnest Money will be returned to Buyer, or to waive the Occupancy Contingency and proceed with Closing.

 

(g)          Further Conditions of Buyer’s Obligations. The obligation of Buyer to close the transaction contemplated by this Agreement is further subject to the conditions that (i) all of the representations and warranties of Seller contained in this Agreement are true and correct, in all material respects, at the Effective Date and as of the Closing Date, and (ii) all of the obligations and duties of Seller to be performed hereunder on or before the Closing Date shall have been completed in a timely manner and performed in all material respects.

 

(h)          Conditions of Seller’s Obligations. The obligation of Seller to close the transaction contemplated by this Agreement is subject to the conditions that (i) all of the representations and warranties of Buyer contained in this Agreement are true and correct, in all material respects, at the Effective Date and as of the Closing Date, and (ii) all of the obligations and duties of Buyer to be performed hereunder on or before the Closing Date shall have been completed in a timely manner and performed in all material respects.

 

(i)           Failure of Condition. If any of the conditions in paragraphs (a) – (g) above is not timely satisfied, for a reason other than the default of Seller under this Agreement, then Buyer may, at Buyer’s option, either (i) waive such condition in writing delivered to Seller or (ii) terminate this Agreement by notice to Seller, in which case (A) the Escrow and the rights and obligations of Buyer and Seller shall terminate, except as otherwise expressly provided herein; (B) Escrow Agent is hereby instructed to promptly return to Seller and Buyer all funds, together with any accrued interest on such funds, and documents deposited by them, respectively, into Escrow which are held by Escrow Agent on the date of said termination; and (C) the cancellation charges required to be paid by and to Escrow Agent and the Title Company shall be borne one-half (1/2) by Seller and one-half (1/2) by Buyer and all other charges shall be borne by the party incurring same.

 

8.            Representations and Warranties. To induce Buyer to execute and perform this Agreement, Seller makes the following representations and warranties to Buyer, as of the Effective Date and again as of the Closing Date:

 

(a)          Seller has full power and lawful authority to enter into and carry out the terms and provisions of this Agreement and to execute and deliver all documents which are contemplated by this Agreement.

 

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(b)          There are no parties in possession and no leases or occupancy agreements affecting all or any part of the Property, except as disclosed in the Rent Roll, and there are no written or oral promises, understandings, agreements or other commitments between Seller and any tenant or other person affecting the Property, that will be in force or effect on and after the Closing Date, except as disclosed in the Due Diligence Materials.

 

(c)          To the best of Seller's knowledge, the Due Diligence Materials and all other documents related to the Property provided or to be provided to Buyer pursuant to the terms of this Agreement are true, accurate and complete copies or originals.

 

(d)          Seller has received no written notice of and has no knowledge that eminent domain or other legal proceedings affecting the Real Property are pending or threatened.

 

(e)           Seller is not a "foreign person" within the meaning of Section 1445(f)(3) of the Internal Revenue Code.

 

(f)           Seller has not received any notice of any violation of any applicable law (including any environmental law), code, rule, regulation, ordinance, requirement, covenant, condition or restriction relating to the condition or present use or occupancy of the Property by any person, authority or agency having jurisdiction.

 

(g)          To the best of Seller's knowledge, neither Seller nor any prior owner or operator of the Property has used, generated, manufactured, stored or disposed of any hazardous materials in violation of any environmental law in, at, on, under or about the Property or any portion thereof, or transported any hazardous materials in violation of any environmental law to or from the Property.

 

(h)          To the best of Seller's knowledge, there are no concealed material defects with respect to the physical condition of the Property.

 

(i)           There are no suits or claims pending or, to the best of Seller’s knowledge, threatened with respect to or in any manner affecting the Property or Seller.

 

(j)           No person has any option, right of first refusal or other right to purchase the Property or any part thereof or interest therein.

 

(k)          To the best of Seller's knowledge, the Property is an independent legal lot of record and a separate tax lot, and the Property has lawful pedestrian and vehicular access to and from public rights-of-way.

 

(l)           Seller has entered into no brokerage or leasing commission agreements with respect to the Property, where a commission or fee has been earned but not fully paid or which will remain in effect after Closing.

 

(m)          There are no claims or bills for labor performed on and/or materials furnished to the Property other than those disclosed in the Due Diligence Materials.

 

9.            Seller’s Covenants. From and after the Effective Date through the Closing Date, Seller and Seller’s agents will, at Seller’s expense:

 

(a)          Maintain the Property in the condition in which it existed as of the Effective Date, normal wear and tear excepted, free from mechanics’ liens, and operate the Property in a manner consistent with current practice, and perform all of Sellers’s obligations under the Leases, Contracts, and Licenses;

 

(b)          Keep in existence all fire, extended coverage, business interruption, rent loss, or similar insurance policies, and all public liability insurance policies, that are in existence as of the Effective Date with respect to the Property;

 

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(c)          Not (i) amend, waive any rights under, terminate, or extend any Lease, Contract, or License, (ii) apply any security or other deposits held under any Lease, Contract, or License to delinquent rents, or (iii) Seller and Buyer shall mutually agree to a Lease form, which shall be attached as Exhibit G.

 

(d)          Not (i) market the Property; (ii) sell, offer to sell, or negotiate to sell the Property to any party other than Buyer; or (iii) take any action to solicit, initiate, or encourage the submission of a back up offer for the Property.

 

(e)           Promptly advise Buyer in writing of any changes in circumstances that would render the representations and warranties made by Seller in this Agreement false or misleading in any material respect; and

 

(f)           Give appropriate notices of termination of those Contracts not assumed by Buyer, as provided for in Section 7(d) above, so that each non-assumed Contract will be terminated as of the Closing Date.

 

10.          Survival.

 

(a)          Survival of Representations. All the representations, warranties, and covenants of Seller and Buyer contained in this Agreement or in any of the Escrow Closing Documents (as defined below) are material, none will merge into the Deed, and all will survive the Closing Date or termination of this Agreement for a period of eighteen (18) months (the "Survival Period"). All rights of Buyer hereunder or under any of the Escrow Closing Documents, with respect to any surviving representation, warranty, covenant, or indemnity will be deemed waived if Buyer does not, by written notice to Seller, advise Seller of any alleged breach of representation, warranty, or covenant, or any alleged indemnification obligation, prior to the expiration of the Survival Period. Subject to the limitation set forth in the immediately preceding sentence, all remedies will be those set forth in Section 16 below. The provisions of this Section 10 will survive Closing.

 

(b)          Survival of Provisions.

 

(i)       Buyer’s Acceptance of Deed. Acceptance by Buyer of the Deed at Closing will constitute an acknowledgment by Buyer of full performance by Seller of all of Seller’s obligations under this Agreement, subject to the obligations of Seller that are expressly provided in this Agreement to survive Closing.

 

(ii)       Survival of Buyer’s Obligations. Any of Buyer’s obligations under this Agreement that are expressly provided in this Agreement to survive Closing or that imply or contemplate performance or observance after the Closing Date will survive Closing.

 

(c)          Survival of this Section. The provisions of this Section 10 will survive Closing.

 

11.          Deliveries at Closing.

 

(a)          Conveyance Documents. On the Closing Date, Seller will transfer and convey title to the Property to Buyer free and clear of all liens and encumbrances, other than real and personal property taxes not yet due and payable, and the Permitted Exceptions, by:

 

(i)       Delivering a recordable deed (see EXHIBIT D) executed by Seller, in the form of the attached Exhibit C, subject only to the Permitted Exceptions, and conveying fee simple title to the Real Property and Appurtenances to Buyer (the "Deed");

 

(ii)       Delivering a Bill of Sale executed by Seller, in the form of the attached Exhibit D, transferring the Personal Property to Buyer (the "Bill of Sale"); and

 

(iii)       Delivering two originals of an Assignment and Assumption Agreement executed by Seller, in the form of the attached Exhibit E, transferring all of Seller’s right, title, and interest in and to the Assumed Contracts, the Licenses, the Leases, and the Intangibles to Buyer (the "Assignment Agreement").

 

The foregoing documents and instruments are collectively referred to herein as the "Conveyance Documents."

 

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(b)          Escrow Closing Documents. On the Closing Date, Seller will deliver the following documents (the "Escrow Closing Documents") to the Escrow Agent, all duly executed by Seller, where appropriate, each of which will be a condition precedent to Buyer’s obligation to close the transaction contemplated by this Agreement (and one or more of which may be waived in writing by Buyer, in its sole discretion, on or prior

to the Closing Date):

 

(i)       The Conveyance Documents;

 

(ii)       To the extent required by the Title Company, an ALTA statement or affidavit and gap indemnity agreement, each in customary form;

 

(iii)       Seller’s counterpart of an estimated closing statement setting forth credits and prorations made in accordance with Section 12 below (the "Prorate Statement");

 

(iv)       A certification of non foreign status satisfying Section 1445 of the Internal Revenue Code of 1986, as amended;

 

(v)       Executed counterparts of real estate transfer declarations, if applicable;

 

(vi)       Evidence of Seller’s existence and authority to perform its obligations under this Agreement, in form and substance reasonably satisfactory to the Title Company;

 

(vii)       A current Rent Roll certified by an officer of Seller; and

 

(viii)       Such other documents, instruments, gap undertakings, consents or agreements as may be reasonably requested by the Title Company or the Escrow Agent, in order to issue to Buyer an extended coverage owner’s title insurance policy (the "Title Policy") in the amount of the Purchase Price, subject only to the Permitted Exceptions and including those endorsements that the Title Company has agreed to issue to Buyer or Buyer’s lender (it being understood that the Title Policy may be issued at Closing in the form of a title commitment or a pro forma title policy, hand-marked and initialed by Buyer and the Title Company, and dated as of the Closing Date, so as to be the equivalent of the Title Policy).

 

(c)           Seller Closing Items. On the Closing Date, Seller will deliver the following items and documents (the "Seller Closing Items") to Buyer, all duly executed by Seller, where appropriate, each of which will be a condition precedent to Buyer’s obligation to close the transaction contemplated by this Agreement (and one or more of which may be waived in writing by Buyer, in its sole discretion, on or prior to the Closing Date):

 

(i)       All keys and access cards to, and combinations to locks and other security devices located at, the Property, if applicable; and

 

(ii)       All of the original Leases, Contracts, and Licenses in possession of Seller, together with (1) a letter from Seller advising the tenants under the Leases of the assignment of their respective Leases to Buyer and the manner in which rent is to be paid subsequent to Closing, in a form reasonably satisfactory to Buyer; and (2) evidence of termination of the Contracts designated by Buyer as not being assumed by Buyer, if applicable.

 

(d)          Buyer Deliveries. On the Closing Date, Buyer will deliver the following to the Escrow Agent, in form and substance reasonably acceptable to Seller, all duly executed by Buyer, where appropriate, each of which will be a condition precedent to Seller’s obligation to close the transaction contemplated by this Agreement:

 

(i)       Executed counterparts of the real estate transfer declarations described above, if applicable;

 

(ii)       Two original counterparts of the Assignment Agreement;

 

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(iii)       Buyer’s counterpart of the Prorate Statement;

 

(iv)       Evidence of Buyer’s existence and authority to perform its obligations under this Agreement, in form and substance reasonably satisfactory to the Title Company;

 

(v)       The Purchase Price, less the Earnest Money, and plus or minus prorations and adjustments as provided herein; and

 

(vi)       Such other documents, instruments, or agreements as may be reasonably requested by the Title Company or the Escrow Agent in order to issue the Title Policy and to otherwise consummate the Closing.

 

(e)          Closing. When the Escrow Agent has received all of the deposits listed in this Section 11, is prepared to issue the Title Policy having an effective date as of the date the Deed is recorded, in the amount of the Purchase Price and insuring the title of Buyer in the Property, subject only to the Permitted Exceptions and including those endorsements that the Title Company has agreed to issue to Buyer or Buyer’s lender, and is otherwise in a position to consummate the Closing, the Escrow Agent is then authorized and instructed to simultaneously proceed as follows:

 

(i)       Record the Deed;

 

(ii)       Pay the disbursements as shown on the Prorate Statement from the funds deposited by Buyer;

 

(iii)       Deliver to Buyer the Title Policy, the recorded Deed, the Bill of Sale, one original of the Assignment Agreement, Buyer’s counterpart to the Prorate Statement, and copies of all other documents submitted by the parties in connection with the Closing; and

 

(iv)       Deliver to Seller one original of the Assignment Agreement, Seller’s counterpart of the Prorate Statement, and copies of all other documents submitted by the parties in connection with the Closing.

 

(v)       The Purchase Price, less the Earnest Money, and plus or minus prorations and adjustments as provided herein; and

 

The Title Policy may be issued at Closing in the form of a commitment or a pro forma title policy, hand-marked and initialed by Buyer and the Title Company, and dated as of the Closing Date, so as to be the equivalent of delivery of the Title Policy.

 

12.          Closing Costs; Prorations.

 

(a)          Generally. Seller and Buyer shall each pay one-half (1/2) of the premium for the Title Policy, provided, however, if Buyer elects to obtain an ALTA extended form policy of title insurance and/or any endorsements, Buyer shall pay the difference in the premium relating to such election. Seller and Buyer shall each pay one-half (1/2) of the escrow fees charged by the Escrow Agent. Any excise tax and/or transfer tax due in connection with the conveyance of the Property shall be paid by Seller. Real property taxes for the tax year of the Closing, assessments (if a Permitted Exception), personal property taxes, rents and other charges arising from existing Leases paid for the month of Closing, interest on assumed obligations, utilities, and fees due under the Assumed Contracts shall be prorated as of the Closing Date. If applicable, prepaid rents, security deposits, and other unearned refundable deposits relating to Leases shall be assigned and delivered to Buyer at Closing.

 

(b)          Rents. Except for delinquent rent as addressed below, all rent under the Leases shall be prorated effective as of the Closing Date. Delinquent rent due but not received prior to Closing shall not be prorated but shall remain the property of Seller. Payments received from Tenants from and after the date of Closing shall be applied first to rents then due for the current period and then to rents delinquent as of the date of Closing. Buyer shall use reasonable efforts to collect delinquent rents for the benefit of Seller for a period not to exceed sixty (60) days after the Closing Date, and shall cooperate with Seller in the collection of any delinquent amounts; provided, however, Buyer will not be obligated to sue any tenants or exercise any legal remedies under the Leases, including, but not limited to, unlawful detainers, or to incur any expense over and above its own regular collection expenses.

 

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(c)           Taxes. If the Closing shall occur before the real property taxes payable on the Property for the tax year in which Closing ‎occurs are known, the proration of such taxes shall be upon the basis of the taxes payable for such ‎Property during the immediately preceding tax year. Subsequent to the Closing, but no later than ‎sixty (60) days after the actual taxes for the Property have been determined for the tax year in ‎which Closing occurs, the parties agree to adjust the proration of taxes and, if necessary, to refund or ‎pay such sums as shall be necessary to effect such adjustment.‎

 

13.          Possession. Possession of the Property will be delivered to Buyer at Closing, free and clear of all liens and claims other than Permitted Exceptions and the rights of the tenants identified on the Rent Roll, as tenants only and without any purchase right or option, in the same condition as it exists on the Effective Date, ordinary wear and tear excepted and except as provided in Sections 14 and 15 hereof. Buyer will have the right to inspect the Property within three (3) days prior to Closing to verify that the condition of the Property is as required under this Agreement.

 

14.          Fire or Casualty. In the event of damage to the Property by fire or other casualty prior to the Closing Date, Seller will promptly notify Buyer of such fire or other casualty ("Casualty Notice"). Seller shall state in the Casualty Notice the cost that Seller in good faith estimates will be incurred to repair the casualty loss. If there is an uninsured loss in excess of ten thousand dollars ($10,000), Seller may elect to terminate this Agreement by written notice delivered to Buyer within five (5) days after the Casualty Notice, in which case the Earnest Money will be disbursed to Buyer and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive the termination of this Agreement). If the fire or other casualty damage estimate is in excess of five percent (5%) of the Purchase Price and this Agreement is not terminated by Seller on account of an uninsured loss, then Buyer may elect, by written notice delivered to Seller on or before the sooner of (i) the twentieth (20th) day after Buyer’s receipt of the Casualty Notice or (ii) the Closing Date, to either: (a) close the transaction contemplated by this Agreement and receive either a reduction in the Purchase Price in the amount of the insurance policy deductible and any uninsured loss and receive all insurance claims and proceeds payable to Seller as a result of such fire or other casualty, with the same being paid or assigned to Buyer at Closing, or (b) terminate this Agreement and receive a return of the Earnest Money, in which case the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive the termination of this Agreement). If the damage to the Property by fire or other casualty prior to the Closing Date would cost less than five percent (5%) of the Purchase Price to repair (as determined by Seller in good faith), Buyer will not have the right to terminate its obligations under this Agreement by reason thereof, and Seller will have the right to elect to either repair and restore the Property if such repair or restoration may be completed prior to the Closing Date or to credit the Purchase Price in the amount of the insurance policy deductible and any uninsured loss and assign and transfer to Buyer on the Closing Date all of Seller’s right, title and interest in and to all insurance proceeds paid or payable to Seller on account of such fire or casualty. Seller will fully cooperate with Buyer, at Buyer’s sole out-of-pocket expense, post-closing to adjust and settle any such claim.

 

15.          Condemnation. If, prior to the Closing Date, all or any part of the Property is taken by condemnation or a conveyance in lieu thereof, or if Seller receives notice of a condemnation proceeding with respect to the Property, then Seller will promptly notify Buyer of such condemnation or conveyance in lieu thereof. If the taking or threatened taking involves a material portion of the Property (as defined below), Buyer may elect, by written notice to be delivered to Seller on or before the sooner of (i) the twentieth (20th) day after Buyer’s receipt of such notice, or (ii) the Closing Date, to terminate this Agreement and receive a return of the Earnest Money in which event the parties hereto will have no further obligations hereunder (except for obligations that are expressly intended to survive the termination of this Agreement). If Buyer elects to close this transaction notwithstanding such taking or condemnation, Buyer will be entitled to any award given to Seller as a result of such condemnation proceedings, with the same being paid or assigned to Buyer at Closing. As used herein, a "material portion of the Property" means any part of the Property that results in a limitation on access or parking or is otherwise reasonably required for the operation of the Property in the manner operated on the Effective Date. If any taking or threatened taking does not involve a material portion of the Property, Buyer will be required to proceed with the Closing, in which event Seller will assign to Buyer any award given to Seller (or the right to receive any such award) as a result of such condemnation proceedings.

 

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16.Default.

 

(a)          Pre-Closing Default by Seller. If Seller defaults hereunder upon or prior to Closing and fails to cure such default within three (3) business days after written notice of such default, or if prior to Closing it is determined that the representations and warranties of Seller set forth in this Agreement are not true and correct in all material respects on the Effective Date and as of the Closing Date, then as Buyer’s sole and exclusive remedy may elect either (i) to terminate this Agreement and receive a return of the Earnest Money (to be released by Escrow Agent only after having received mutually executed release instructions) and receive damages equal to Buyer’s actual out-of-pocket costs incurred to purchase the Property in an amount no greater than fifteen thousand dollars ($15,000), in which event each of the parties will be relieved of any further obligation to the other arising by virtue of this Agreement (except for obligations that are expressly intended to survive the termination of this Agreement), or (ii) to pursue specific performance of this Agreement.

 

(b)          Pre-Closing Default by Buyer. If Buyer defaults hereunder upon or prior to Closing and fails to cure such default within three (3) business days of written notice of such default, this Agreement will terminate and the Earnest Money will be disbursed and paid to Seller (upon Escrow Agent’s receipt of mutually executed release instructions) in full settlement of all claims against Buyer (with the exception of claims against Buyer related to obligations that are expressly intended to survive the termination of this Agreement). The parties agree that the amount of actual damages that Seller would suffer as a result of Buyer’s default would be extremely difficult to determine and have agreed, after specific negotiation, that the amount of the Earnest Money is a reasonable estimate of the Seller’s damages and the net detriment that Seller would suffer from a default by Buyer and is intended to constitute a fixed amount of liquidated damages in lieu of other remedies available to Seller and is not intended to constitute a penalty.

 

17.          Notices. Any notice, approval, demand, request, or other communication that either party may be required or may desire to give under this Agreement will be in writing and will be deemed to have been properly given if (a) hand delivered, (b) sent by a nationally recognized overnight delivery service, (c) sent by United States mail (certified mail, return receipt requested, or (d) sent by email, in each case, prepaid and addressed as shown below, or to such other or additional addresses as either party might designate by written notice to the other party.

 

If to Seller:

 

____________________________________

____________________________________

____________________________________

____________________________________

Attention: _______________________________

Email: ___________________________

 

If to Buyer:

 

BuildingBits Properties I, LLC

c/o BuildingBits Holdings, LLC

425 NW 10th Avenue, Suite 306

Portland, Oregon 97209

Attention: Alexander Aginsky, CEO

Email: a.aginsky@buildingbits.com

 

If to BBRS:

 

BuildingBits Real Estate Services, LLC

c/o BuildingBits Holdings, LLC

425 NW 10th Avenue, Suite 306

Portland, Oregon 97209

Attention: Alexander Aginsky, CEO

Email: a.aginsky@buildingbits.com

 

 14 

 

 

Any such notice shall be deemed to have been given (i) upon delivery or refusal of a party to accept delivery thereof (including ignoring delivery attempts), if personally delivered or delivered by any nationally recognized form of airborne/overnight delivery service, or (ii) upon receipt or upon the expiration of three (3) business days, whichever is earlier, if mailed, or (iii) if by email, when such notice is sent, provided that emails and other electronic communications that are received at any time after 5:00 p.m. (Pacific time) on a Business Day shall be deemed to have been given on the next following Business Day. Any notice given by email must be confirmed within forty-eight (48) hours by letter mailed or delivered to the appropriate party at its respective address in accordance with clauses (b) or (c) above. Either party may change the address at which it desires to receive notice upon giving written notice of such request to the other party. Buyer and Seller, and their respective counsel, hereby agree that notices may be given hereunder by the parties’ respective counsel, and that if any communication is to be given hereunder by Buyer’s or Seller’s counsel, such counsel may communicate directly with all principals, as required to comply with the foregoing provisions.

 

18.       Management Fees and Employees. On the Closing Date, Seller will deliver evidence satisfactory to Buyer that, unless expressly assumed by Buyer in writing, any current management or leasing agreements for the Property have been terminated (or notice of termination given), and that the manager and any brokers have been paid all commissions or fees due and payable. Buyer is not required to continue the employment of any employees of Seller or any property manager after the Closing Date. Seller will satisfy all obligations to all employees, if any, employed by Seller in the operation of the Property and provide Buyer with evidence thereof satisfactory to Buyer on the Closing Date.

 

19.       "AS IS" Sale. EXCEPT FOR THE EXPRESS REPRESENTATIONS AND WARRANTIES OF SELLER SET FORTH IN THIS AGREEMENT AND IN THE ESCROW CLOSING DOCUMENTS, BUYER ACKNOWLEDGES AND AGREES THAT BUYER WILL BE PURCHASING THE PROPERTY BASED SOLELY UPON ITS INSPECTIONS AND INVESTIGATIONS OF THE PROPERTY, AND THAT BUYER WILL BE PURCHASING THE PROPERTY "AS IS" AND "WITH ALL FAULTS", BASED UPON THE CONDITION OF THE PROPERTY AS OF THE EFFECTIVE DATE, ORDINARY WEAR AND TEAR AND LOSS BY FIRE OR OTHER CASUALTY OR CONDEMNATION EXCEPTED, AND THAT SELLER MAKES NO WARRANTY OR REPRESENTATION, EXPRESS OR IMPLIED, OR ARISING BY OPERATION OF LAW, INCLUDING BUT NOT LIMITED TO ANY WARRANTY OF CONDITION, HABITABILITY, MERCHANTABILITY, OR FITNESS FOR A PARTICULAR PURPOSE, WITH RESPECT TO THE PROPERTY. Buyer acknowledges that, having been given the opportunity to inspect the Property, Buyer is relying solely on its own investigation of the Property and not on any information provided or to be provided by Seller, other than as expressly set forth in this Agreement and the Escrow Closing Documents. The provisions of this Section 19 will survive the Closing.

 

20.       Assignment. Buyer will not have the right to assign this Agreement or any interest herein without the express written consent of Seller, which consent will not be unreasonably withheld, conditioned, or delayed; provided, however, that Seller’s consent will not be required if the assignment is to one or more affiliates of Buyer. For purposes of the foregoing, an "affiliate" will include: (a) any entity controlled by or under common control with Buyer; (b) any entity in which Buyer or an affiliate of Buyer is the managing member, manager, or general partner; (c) any person or entity who acquires an undivided interest in the Property with Buyer or an affiliate of Buyer in order to complete a Section 1031 exchange; and (d) any "joint venture" entity formed by Buyer or an affiliate of Buyer and in which Buyer or its affiliate has a one percent (1%) or more equity interest or otherwise is a material equity participant. With respect to any permitted assignment, Buyer will remain liable for, and the assignee(s) will assume, all obligations of Buyer hereunder. Buyer will notify Seller in writing of any assignment in sufficient time to allow the Closing to occur without delay or unreasonable burden.

 

 15 

 

 

21.         1031 Exchange. Either Seller or Buyer or their assignees (an "Exchanging Party") may elect to consummate the transaction hereunder in whole or in part as part of a like-kind exchange pursuant to Section 1031 of the Internal Revenue Code of 1986, as amended, provided that such like-kind exchange is accomplished at the sole cost of the Exchanging Party, without delaying the Closing Date or any other event scheduled under this Agreement, and without releasing the Exchanging Party from any obligation or liability under this Agreement. In connection with such exchange, the Exchanging Party will be permitted to assign its interest in this Agreement to one or more affiliates and/or to any exchange accommodator on behalf of such persons. If any such Exchanging Party so elects, the other party will reasonably cooperate with the Exchanging Party and will execute such documents and take such action as may be reasonably necessary in order to effectuate the transaction as a like-kind exchange in accordance with applicable rules governing such exchanges; provided, however, that (i) the Exchanging Party will have the responsibility to prepare any documentation required in order to effectuate such like-kind exchange, (ii) the cooperating party will have no obligation to incur any cost or take title to any other real or personal property, (iii) the Exchanging Party will assume all risks in connection with the designation, selection, and setting of terms of the purchase or sale of any exchange property, (iv) any documents to effectuate such exchange will be consistent with the terms and conditions contained in this Agreement, and (v) the Exchanging Party’s exchange will not result in any additional liability or cost to the other party.

 

22.          Miscellaneous Provisions.

 

(a)       Time of the Essence. Time is of the essence of each provision of this Agreement.

 

(b)       Entire Agreement. This Agreement (including its Exhibits and Schedules) contains the entire agreement between the parties relating to the transactions contemplated hereby.

 

(c)       Applicable Law. This Agreement will be governed by and construed in accordance with the laws of the State where the Land is located.

 

(d)       Partial Invalidity. If any of the provisions of this Agreement or the application thereof to any person or circumstance will, to any extent, be deemed invalid or unenforceable, the remainder of this Agreement and the application of such provisions to persons or circumstances other than those as to whom or which it is held invalid or unenforceable will not be affected thereby.

 

(e)       Counterparts. This Agreement and any document or instrument executed pursuant hereto may be executed in any number of counterparts, each of which will be deemed an original, but all of which, together, will constitute one and the same instrument.

 

(f)       Exclusivity. Seller agrees it will neither market the Property nor negotiate for a sale thereof to any third party during the pendency of this Agreement.

 

(g)       Enforcement. In the event suit or action is commenced to interpret, enforce, or rescind this Agreement or otherwise arising out of or concerning this Agreement, the prevailing party will be entitled to recover from the other party all reasonable expenses paid or incurred by the prevailing party to prosecute or defend such suit or action, including without limitation attorney fees and other legal fees and costs, disbursements and court costs. The obligations under this Section 22(g) will survive the Closing or earlier termination of this Agreement.

 

(h)       Arbitration. Any controversy or claim arising out of or relating to any post-Closing dispute related to this Agreement, the Purchase Documents or the Property, including without limitation the making, performance, or interpretation of this Agreement or any term, provision, or section hereof, shall be settled by binding arbitration; provided, however, that any party may resort to a court of competent jurisdiction to pursue any remedy of specific performance or to seek provisional remedies if unavailable through arbitration. Unless otherwise agreed, any arbitration shall be conducted in Portland, Oregon using the services and in accordance with the then-current rules of the Arbitration Service of Portland, Inc. ("ASP"). If ASP is no longer in existence, the arbitration shall be conducted in accordance with the then-current rules of the American Arbitration Association. The parties agree that the arbitrator shall have no jurisdiction to consider evidence with respect to or render an award or judgment for punitive or exemplary damages, and the parties hereby waive any such claims. Judgment on the award may be entered in any court having jurisdiction. The parties agree that all facts and other information relating to any arbitration arising under this Agreement shall be kept confidential to the fullest extent permitted by law. This arbitration agreement shall survive Closing and/or termination of this Agreement.

 

 16 

 

 

(i)       Construction. This Agreement will not be construed more strictly against one party than against the other merely by virtue of the fact that the Agreement may have been prepared primarily by counsel for one of the parties, it being recognized that both Buyer and Seller have contributed substantially and materially to the preparation of this Agreement.

 

(j)       Signatures. A facsimile, scanned, or photocopy signature on this Agreement, any amendment hereto, any non-recorded Closing Document, or any notice delivered hereunder will have the same legal effect as an original signature.

 

(k)       Computation of Periods. If the final day of any period of time in any provision of this Agreement falls upon a day that is not a business day, then the time of such period will be extended to the next business day. Unless otherwise specified, in computing any period of time described in this Agreement, the day of the act or event after which the designated period of time begins to run is not to be included and the last day of the period is so computed is to be included. As used in this Agreement, the term "business day" means any day of the week other than a Saturday, a Sunday, or a holiday observed by federally insured banks in the state where the Land is located or by the United States Postal Service.

 

(l)       Captions or Headings; Interpretation. The captions or headings of the sections and subsections of this Agreement are for convenience only, and will not control or affect the meaning or construction of any of the terms or provisions of this Agreement. Wherever in this Agreement the singular number is used, the same will include the plural and vice versa and the masculine gender will include the feminine gender and vice versa as the context will require.

 

(m)       Amendments and Waivers. No change, alteration, amendment, modification, or waiver of any of the terms or provisions of this Agreement will be valid unless the same will be in writing and signed by Buyer and Seller.

 

23.          State Specific Provisions.

 

(a)       Statutory Notice. THE PROPERTY DESCRIBED IN THIS INSTRUMENT MAY NOT BE WITHIN A FIRE PROTECTION DISTRICT PROTECTING STRUCTURES. THE PROPERTY IS SUBJECT TO LAND USE LAWS AND REGULATIONS THAT, IN FARM OR FOREST ZONES, MAY NOT AUTHORIZE CONSTRUCTION OR SITING OF A RESIDENCE AND THAT LIMIT LAWSUITS AGAINST FARMING OR FOREST PRACTICES, AS DEFINED IN ORS 30.930, IN ALL ZONES. BEFORE SIGNING OR ACCEPTING THIS INSTRUMENT, THE PERSON TRANSFERRING FEE TITLE SHOULD INQUIRE ABOUT THE PERSON’S RIGHTS, IF ANY, UNDER ORS 195.300, 195.301 AND 195.305 TO 195.336 A ND SECTIONS 5 TO 11, CHAPTER 424, OREGON LAWS 2007, SECTIONS 2 TO 9 AND 17, CHAPTER 855, OREGON LAWS 2009, AND SECTIONS 2 TO 7, CHAPTER 8, OREGON LAWS 2010. BEFORE SIGNING OR ACCEPTING THIS INSTRUMENT, THE PERSON ACQUIRING FEE TITLE TO THE PROPERTY SHOULD CHECK WITH THE APPROPRIATE CITY OR COUNTY PLANNING DEPARTMENT TO VERIFY THAT THE UNIT OF LAND BEING TRANSFERRED IS A LAWFULLY ESTABLISHED LOT OR PARCEL, AS DEFINED IN ORS 92.010 OR 215.010, TO VERIFY THE APPROVED USES OF THE LOT OR PARCEL, TO VERIFY THE EXISTENCE OF FIRE PROTECTION FOR STRUCTURES AND TO INQUIRE ABOUT THE RIGHTS OF NEIGHBORING PROPERTY OWNERS, IF ANY, UNDER ORS 195.300, 195.301 AND 195.305 TO 195.336 AND SECTIONS 5 TO 11, CHAPTER 424, OREGON LAWS 2007, SECTIONS 2 TO 9 AND 17, CHAPTER 855, OREGON LAWS 2009, AND SECTIONS 2 TO 7, CHAPTER 8, OREGON LAWS 2010.

 

[Signatures appear on next page(s).]

 

 17 

 

 

IN WITNESS WHEREOF, this Agreement has been executed as of the Effective Date.

 

  "SELLER"
     
     
  a(n)  
     
  By:          
  Name:  
  Title:  
     
  "BUYER"
   
  BuildingBits Properties I, LLC,
  a Delaware limited liability company
     
  By:  
  Name:  
  Title:  
     
  "BBRS"
   
  BuildingBits Real Estate Services, LLC,
  a Delaware limited liability company
     
  By:  
  Name:  
  Title:  

 

Attachments:  
   
Exhibit A: Legal Description of Property
Exhibit B: Broker Disclosures
Exhibit C: Form of Tenant Estoppel
Exhibit D: Form of Deed
Exhibit E: Form of Bill of Sale
Exhibit F: Form of Assignment Agreement
Schedule 7(a): Due Diligence Materials
Exhibit G: Approved Lease Form

 

 S-1 

 

 

EXHIBIT A

 

Legal Description:

 

MENEFEE ADD, BLOCK 7, LOT 12 EXC PT IN ST

 

 A-1 

 

 

EXHIBIT B

 

Broker Disclosures

 

[INSERT STATE SPECIFIC DISCLOSURES]

 

 B-1 

 

 

EXHIBIT C

 

Form of Tenant Estoppel

 

[Date]

 

BuildingBits Properties I, LLC

c/o BuildingBits Holdings, LLC

425 NW 10th Avenue, Suite 306

Portland, Oregon 97209

Attention: Alexander Aginsky, CEO

 

[Lender Address:]

 

______________________________________

______________________________________

______________________________________

______________________________________

Attention: _____________________________

 

Ladies and Gentlemen:

 

_________________________________ ("Tenant") acknowledges that (a) ________________________ ("Landlord") has entered into an agreement with BuildingBits Properties I, LLC ("Buyer") for the sale and purchase of the real property and improvements commonly known as _______________________ (the "Property"), (b) Landlord has requested Tenant to execute and deliver this Tenant Estoppel Certificate to Buyer and Buyer’s lender, who is providing financing with respect to the Property ("Lender"), and (c) Buyer, Lender, and their respective successors and assigns will rely upon the certifications by Tenant in this Tenant Estoppel Certificate in connection with the purchase and financing of the Property.

 

Tenant hereby certifies as follows:

 

1.       Tenant currently leases at the Property the premises commonly known as ____________________(the "Premises"), pursuant to the terms and conditions of that certain Lease Agreement (or comparably-titled document) dated as of _______________, between Landlord and Tenant, as amended by the following amendments or modifications: ______________________________________________________ (the "Lease"). Except for the Lease, there are no agreements (written or oral) or documents that are binding on Landlord in connection with the lease of the Premises. The Lease is valid, binding, and in full force and effect, and has not been modified or amended in any manner whatsoever except as described above.

 

2.       The term of the Lease commenced on __________________________, and including any presently exercised option or renewal term(s), ends on ______________________________, subject to any rights of Tenant to extend the term expressly set forth in the Lease. Tenant has no rights to extend the term of the Lease except to the extent expressly set forth in the Lease.

 

3.       Landlord has delivered possession of the Premises to Tenant, and Tenant has accepted possession of, and currently occupies, the Premises.

 

4.       The current monthly base rent payable under the Lease is $________________, and the current monthly payment payable under the Lease on account of taxes and operating expenses is $___________________. Tenant’s percentage share of operating expenses and real estate taxes is _____%. Rent and all other charges payable under the Lease on or before the date hereof have been paid. No amounts of monthly base rent payable under the Lease have been prepaid except through the end of the current calendar month, and no other charges payable under the Lease have been prepaid for any period, other than estimated payments of operating expenses and taxes. There are no applicable abatements on rent or other charges now or hereafter existing under the Lease.

 

 C-1 

 

 

5.       To Tenant’s knowledge, all reconciliations of actual taxes and operating expenses for calendar year _________ and all previous calendar years (the "Expenses") with payments made by Tenant therefor have been made and a report thereof delivered to Tenant.

 

6.       Tenant has no options, rights of offer, rights of refusal, or other rights to purchase all or any portion of the Property. Tenant has no options, rights of offer, rights of refusal, or other rights to expand the Premises or lease any other premises at the Property, except to the extent expressly set forth in the Lease.

 

7.       All obligations, if any, of Landlord under the terms of the Lease with respect to improvements or repairs to the Premises have been fully performed, and all allowances, reimbursements, or other obligations of Landlord for the payment of monies to or for the benefit of Tenant have been fully paid, all in accordance with the terms of the Lease.

 

8.       To Tenant’s knowledge, neither Landlord nor Tenant is in default in the performance of any covenant, agreement, or condition contained in the Lease, and no event has occurred and no condition exists which, with the giving of notice, or the lapse of time, or both, would constitute a default by any party under the Lease.

 

9.       Tenant is not the subject of any bankruptcy, insolvency, or similar proceeding in any federal, state, or other court or jurisdiction and no such proceeding is contemplated by Tenant.

 

10.       Tenant is in possession of the Premises and has not subleased any portion of the Premises or assigned or otherwise transferred any of its rights under the Lease.

 

11.       Tenant has deposited _____________________ Dollars ($________________) with Landlord as a security deposit under the Lease. Tenant has provided no other security to Landlord with respect to the Lease.

 

12.       Tenant will attorn to and recognize Buyer as the Landlord under the Lease and will pay all rents and other amounts due thereunder to Buyer upon notice to Tenant that Buyer has become the owner of Landlord’s interest in the Premises under the Lease.

 

13.       The individual executing this Tenant Estoppel Certificate has the authority to do so on behalf of Tenant ad to bind Tenant to the terms hereof.

 

14.       The term "Lender" as used herein includes any successor or assign of the named Lender; the term "Landlord" includes any successor or assign of the named Landlord; and the term "Buyer" includes any successor or assign of the named Buyer and any person who acquires title to the Property as a cotenant with the named Buyer or any affiliate of the named Buyer, and their successors and assigns.

 

  [Tenant Name:]
     
     
  By:  
  Name:  
  Title:  

 

 C-2 

 

 

EXHIBIT D

 

Form of Deed

 

[See attached page(s).]

 

 D-1 

 

  

EXHIBIT E

 

Bill of Sale

 

A.       BuildingBits Properties I, LLC, as Buyer ("BuildingBits"), and ___________________________, a ______________________("Seller"), entered into that certain Platform Listing and Sale Agreement dated as of ________________________, 20___ (including all amendments thereto, the "Purchase Agreement") with respect to the acquisition of that certain real property, together with all improvements thereon, commonly known as ___________________________, located at ___________________________, as more particularly described in the Purchase Agreement (the "Property").

 

B.       BuildingBits assigned its rights under the Purchase Agreement to ______________________, a _______________ ("Buyer") pursuant to that certain Assignment of Purchase Agreement dated on or about the date hereof.

 

For good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, Seller does hereby sell, assign, transfer, and set over to Buyer the following personal property presently located on the Property:

 

All equipment, fixtures and other personal property owned by Seller and located at or attached to the Property and used in connection with the ownership, operation, and maintenance thereof, including without limitation all furniture, artwork, heating, lighting, air conditioning, ventilating, plumbing, electrical, or mechanical equipment and any personal property described on Schedule 1 attached hereto (collectively, the "Personal Property").

 

Seller does hereby covenant with Buyer that at the time of delivery of this Bill of Sale, the Personal Property is free from all encumbrances made by Seller and that Seller will warrant and defend the same against the lawful claims and demands of all persons claiming by, through, or under Seller, but against none other. SELLER HEREBY DISCLAIMS, AND BUYER HEREBY WAIVES ANY AND ALL WARRANTIES OF MERCHANTABILITY OR WARRANTIES OF FITNESS FOR A PARTICULAR PURPOSE WITH RESPECT TO THE PERSONAL PROPERTY BEING TRANSFERRED BY THIS INSTRUMENT.

 

Dated as of _______________________, 20___.

 

  SELLER:  
       
       
  a(n)  
       
  By:    
  Name:    
  Title:    

 

Attachments:  
   
Schedule 1: List of Personal Property

 

[Schedule intentionally omitted]

 

 E-1 

 

 

EXHIBIT F

 

Assignment Agreement

 

ASSIGNMENT AND ASSUMPTION AGREEMENT

 

This Assignment and Assumption Agreement (this "Agreement") is made and entered into as of ____________________, 20___ (the "Effective Date") by and between _________________________, a ______________________ ("Assignor"), and ________________________________, a _________________________ ("Assignee").

 

Background

 

A.       BuildingBits Properties I, LLC, as Buyer ("BuildingBits") and Assignor, as Seller, entered into that certain Platform Listing and Sale Agreement dated as of ________________________, 20___ (including all amendments thereto, the "Purchase Agreement") with respect to the acquisition of that certain real property, together with all improvements thereon, commonly known as _________________________, located at _________________________, as more particularly described in the Purchase Agreement (the "Property").

 

B.       BuildingBits assigned its rights under the Purchase Agreement to Assignee pursuant to that certain Assignment of Purchase Agreement dated on or about the date hereof.

 

Terms and Conditions

 

For good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, Assignor hereby sells, transfers, conveys, assigns, and sets over unto Assignee the following described property (collectively, the "Assigned Property"):

 

1.           All of Assignor’s right, title, and interest, as lessor, in and to all leases, licenses, cell tower or telecommunications agreements and other agreements (collectively, the "Leases") to occupy all or any portion of the Property, including without limitation the Leases listed on the attached Schedule 1, together with all rents due, or to become due under each such Lease on or after the date hereof and all guaranties by third parties of the tenants’ obligations thereunder, letters of credit or other security devices relating thereto; and

 

2.           All refundable lease security deposits under the Leases (to the extent sums are being paid to Assignee on the date hereof); and

 

3.           All of Assignor’s right, title, and interest in and to all those contracts, agreements, telecommunications agreements, guarantees, warranties, and indemnities, written or oral, affecting the ownership, operation, management, and/or maintenance of the Property listed on the attached Schedule 2 (collectively, the "Contracts"); and

 

4.           To the extent assignable without the payment of any fee or the occurrence of any obligation, or the execution of any documents (other than this Assignment and Assumption Agreement) that create liability or reserve against the Assignor, all of Assignor’s right, title, and interest in and to:

 

(a)       all licenses, franchises, occupancy and use certificates, permits, authorizations, consents, variances, waivers, approvals, and the like from any governmental or quasi-governmental entity or instrumentality affecting or relating to the ownership, operation, or maintenance of the Land or the Improvements (collectively, the "Licenses"); and

 

(b)       to the extent the same exist, (i) all plans, drawings, specifications, blueprints, studies or reports (including all environmental, architectural (including Americans with Disabilities Act compliance), engineering, structural, mechanical, roof, soils, seismic and geologic reports) and surveys relating in any way to the Property, (ii) maintenance records prepared by or on behalf of Assignor in connection with the ownership, operation, and/or maintenance of the Property, (ii) all logos, building and trade names, (iii) all transferable guaranties and warranties, if any, (iv) all advertising materials, development rights and other information and documentation in Assignor’s possession relating to the Property that do not contain Assignor’s name or are not deemed proprietary by Assignor, and (v) all other intangible rights, titles, interests and privileges owned by Assignor and relating to the Property (collectively, the "Intangibles").

 

 F-1 

 

 

Assignor does hereby covenant with Assignee that, at the time of delivery of this Assignment Agreement, the Leases, Contracts, Licenses, and Intangibles are free from all encumbrances made by Assignor and that Assignor will warrant and defend the same against the lawful claims and demands of all persons claiming by, through, or under Assignor, but against none other. Except as to the special warranty of title and any representation and warranty expressly set forth in the Purchase Agreement, the Assigned Property is conveyed "AS IS" as provided in the Purchase Agreement and Assignor makes no other warranty with respect thereto.

 

Assignor agrees to indemnify, defend and hold Assignee harmless from and against all liabilities, obligations, actions, suits, proceedings, or claims, and all costs and expenses (including without limitation reasonable attorney fees and costs) incurred in connection with the Leases, Contracts, Licenses, or Intangibles, or any of them, based upon or arising out of any breach or alleged breach of the Leases, Contracts, Licenses, or Intangibles, or any of them, by Assignor occurring or alleged to have occurred prior to the date hereof.

 

Dated as of _____________________, 20___.

 

  ASSIGNOR:    
       
     
a  
       
  By:  
  Name:    
  Title:    

 

ACCEPTANCE

 

Assignee hereby accepts the foregoing assignment as of the date hereof and as of such date hereby assumes the performance of all the terms, covenants, and conditions of the Assigned Property, including without limitation the obligation to return the refundable lease security deposits under the Leases to the extent the same are received as a credit at Closing, with respect to the period from and after the date hereof.

 

Assignee agrees to indemnify, defend, and hold Assignor harmless from and against all liabilities, obligations, actions, suits, proceedings, or claims, and all costs and expenses (including without limitation reasonable attorney fees and costs) incurred in connection with the Leases, Contracts, Licenses, or Intangibles, or any of them, based upon or arising out of any breach or alleged breach of the Leases, Contracts, Licenses, or Intangibles, or any of them, occurring or alleged to have occurred on or after the date hereof.

 

Dated as of: _____________________, 20___.

 

  ASSIGNEE:    
       
  ___________________________, a ____________________
       
  By:                                                     
  Name:    
  Title:    

 

Attachments:  
   
Schedule 1: Rent Roll
Schedule 2: List of Contracts

 

[Schedules intentionally omitted]

  

 F-2 

 

 

SCHEDULE 7(a)

 

DUE DILIGENCE MATERIALS

 

Seller will make available to Buyer for Buyer’s inspection the following documents and materials to the extent the same exist and are in Seller’s possession or control:

 

PROPERTY

 

1. Preliminary Title Report with underlying documents

2. Historical Third Party Reports

a. Property Condition Assessment

b. Environmental Reports

c. Seismic/Structural Assessments

d. Mold Assessment

e. Zoning Report

f. ADA Surveys

g. Operation and Maintenance Programs

3. Certificates of Occupancy (building & tenants)

4. Licenses, Permits & Contracts

a. Elevator Permit/Inspection Certificates

b. Parking Management Agreement

c. Service Contracts (security, fire protection, alarm, elevators, HVACs, etc.)

5. ALTA Survey (existing)

6. Plans (site plan, floor plans, as-builts, stacking plan)

7. Warranties (roof and any serviceable warranties)

8. Restrictive Documents (ground lease, REAs, CC&Rs, development agreements, historical designations)

9. Litigation (current, pending & threatened)

10. Personal Property Inventory

11. Appraisal (most recent)

 

INCOME

 

12. Rent Roll (current)

13. Security Deposits/Credits Schedule

14. Operating Statements (prior three years and YTD)

15. General Ledger (current year)

16. Tenant Leases (including amendments and exhibits)

17. Lease Abstracts

18. Leases/Negotiations in Process

19. Tenant Contact Information

20. Percentage Rent/Tenant Sales (prior three years and YTD) (if applicable)

21. Delinquency Report (prior three years and YTD)

22. Occupancy Report (prior three years and YTD)

23. Parking Allocation Income Report (if applicable)

 

EXPENSE

 

24. Operating Budget (prior three years, current and variance report)

25. Capital Expenses (prior three years, current and schedule of expenditures)

26. Tenant Improvements (prior three years and YTD)

27. CAM Reconciliation with tenant detail (prior three years and YTD)

28. Leasing Commissions (prior three years and YTD)

29. Real Estate Tax Bills (prior three years and YTD)

30. Utility Bills (for the last year)

31. Loan Documents

 

Schedule 7(a) 

 

 

 

 

EXHIBIT G

Approved Lease Form

 

Schedule 7(a)

 

 

 

EX1A-6 MAT CTRCT 11 tv493263_ex6-13.htm EXHIBIT 6.1.3

 

Exhibit 6.1.3

 

BUILDINGBITS PURCHASE AND SALE AGREEMENT

 

This BuildingBits Purchase and Sale Agreement (this "Agreement") is made and entered into as of April 12th, 2018 (the "Effective Date") by Maplewood Partners LLC, and/or assigns ("Seller"), BuildingBits Real Estate Services, LLC, an Oregon limited liability company ("BBRS"), and BuildingBits Properties I, LLC, a Delaware limited liability company ("Buyer").

 

Background

 

A.           Seller is the owner of certain real property legally described on the attached Exhibit A (the "Land") and all buildings, fixtures, and other improvements situated on the Land (collectively, the "Improvements"), commonly known as a free standing AT&T store, located at 3070 White Bear Avenue, Maplewood, MN 55109.

 

B.            Seller desires to sell to Buyer, and Buyer desires to purchase from Seller, the Land and the Improvements, together with all of the other property and interests of Seller described in Section 1 below, subject to and on the terms and conditions contained in this Agreement.

 

Terms and Conditions

 

NOW, THEREFORE, in consideration of the mutual covenants and agreements contained in this Agreement, and for other good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, Seller, BBRS and Buyer agree as follows:

 

1.             Agreement of Purchase and Sale. Seller agrees to sell, and Buyer agrees to buy, subject to and on the terms and conditions contained herein, the Land and the Improvements, together with all of Seller’s right, title, and interest in and to:

 

(a)          Appurtenant Rights. (i) All rights of way, tenements, hereditaments, easements, interests, minerals and mineral rights, water and water rights, utility capacity, and appurtenances, if any, in any way belonging or appertaining to the Land and the Improvements, and (ii) all adjoining streets, alleys, roads, parking areas, curbs, curb cuts, sidewalks, landscaping, signage, sewers, and public ways (collectively, the "Appurtenant Rights");

 

(b)          Personal Property. All equipment, fixtures and other personal property owned by Seller and located at, or attached to, the Improvements and used in connection with the ownership, operation, and/or maintenance of the Land or the Improvements, including, without limitation, all furniture, artwork, and heating, lighting, air conditioning, ventilating, plumbing, electrical, or other mechanical equipment (collectively, the "Personal Property");

 

(c)          Leases. All leases, tenancies, cell tower or telecommunications agreements and rental or occupancy agreements granting possessory rights in, on, or covering the Land or Improvements to the tenants listed on the Rent Roll to be delivered to Buyer pursuant to Section 7(a) below (the "Rent Roll"), together with (i) all modifications, extensions, amendments, and guarantees, letters of credit or other security devices relating thereto and (ii) such other leases of the Improvements as may be made prior to Closing (as defined below) in accordance with the terms of this Agreement (collectively, the "Leases");

 

(d)          Contracts. To the extent assignable, and subject to Buyer’s agreement or obligation to accept an assignment thereof pursuant to the terms of Section 7(d) below, all contracts, agreements, guarantees, warranties, and indemnities, if any, affecting the ownership, operation, management, and/or maintenance of the Land, Improvements, Appurtenant Rights, Personal Property, and Leases (collectively, the "Contracts");

 

(e)          Licenses. To the extent assignable, all licenses, franchises, occupancy and use certificates, permits, authorizations, consents, variances, waivers, approvals, and the like from any governmental or quasi-governmental entity or instrumentality affecting or relating to the ownership, operation, or maintenance of the Land or the Improvements (collectively, the "Licenses"); and

 

 

 

 

(f)          Intangibles. To the extent the same exist and are assignable, (i) all plans, drawings, specifications, blueprints, studies or reports (including all environmental, architectural (including Americans with Disabilities Act compliance), engineering, structural, mechanical, roof, soils, seismic and geologic reports) and surveys relating in any way to the Property (as defined below), (ii) maintenance records prepared by or on behalf of Seller in connection with the ownership, operation, and/or maintenance of the Property, (ii) all logos, building and trade names, (iii) all transferable guaranties and warranties, if any, (iv) all advertising materials, development rights and other information and documentation in Seller’s possession relating to the Property that do not contain Seller’s name or are not deemed proprietary by Seller, and (v) all other intangible rights, titles, interests and privileges owned by Seller and relating to the Property (collectively, the "Intangibles").

 

The Land, Improvements and Appurtenant Rights are collectively referred to as the "Real Property," and the Real Property, Personal Property, Leases, Contracts, Licenses, Intangibles, and all other property rights pertaining thereto are collectively referred to as the "Property."

 

2.             Platform Listing; Agency Acknowledgement and Disclosure; BBRS Commission.

 

(a)          Platform Listing. Within Three (3) days after Buyer's receipt of the Due Diligence Materials (as defined below) pursuant to Section 7(a) below, BBRS and Buyer will list the Property on the BuildingBits Platform, which is a crowdfunding based marketplace (the "Platform") that BBRS, Buyer and their affiliates will use to raise some or all of the equity required to purchase the Property from third-party investors ("BuildingBits Investors"). Seller, at no cost, expense or liability (actual or contingent) to Seller, shall reasonably cooperate with BBRS in all respects in connection with listing the Property on the Platform, which may include cooperating with, and granting full access to the Property to, any third-party vendor retained by BBRS to create marketing photography or video footage of the Property. Seller authorizes BBRS and Buyer to make any and all information, data, and documents relating to the Property (including without limitation the Due Diligence Materials furnished pursuant to the terms and provisions of Section 7(a)) obtained by Buyer from Seller or any other party or discovered by Buyer during the term of this Agreement available on the Platform for review and analysis by BuildingBits Investors. BBRS and Buyer have no duty to maintain or ensure the confidentiality of the Due Diligence Materials or any other information, data or documents relating to the Property made available on the Platform, and BBRS and Buyer will have no liability to Seller if for any reason any of the Due Diligence Materials or any other information, data or documents relating to the Property become widely disseminated or publicly available.

 

(b)          Statement of Consideration. Seller acknowledges and agrees that Seller will derive a direct or indirect benefit from the Property being listed on the Platform and that the agreement of Buyer and BBRS to list the Property on the Platform constitutes sufficient consideration for the rights and options extended to Buyer under this Agreement, including, without limitation, the right to terminate this Agreement as provided herein.

 

(c)          Agency Acknowledgement and Disclosures. Buyer and Seller hereby acknowledge and consent to following agency relationships in connection with the transactions contemplated by this Agreement:

 

(i)          Seller has been represented by Patrick Forkin – Baum Realty Group, LLC ("Seller's Broker") in connection with the transactions contemplated by this Agreement.

 

(ii)         Buyer has been represented by BBRS in connection with the transactions contemplated by this Agreement. Seller acknowledges that (1) BBRS is a licensed real estate broker in the state where the Property is located or has affiliated with a third-party licensed real estate broker in the state where the Property is located; (2) BBRS is an affiliate of Buyer; and (3) BBRS has and will exclusively represent Buyer in connection with the transactions contemplated by this Agreement.

 

(iii)        Buyer and Seller acknowledge having received and having reviewed the disclosures set forth in attached Exhibit B.

 

 

 

 

Initials of Seller:   Initials of Buyer:
     
_____________   _____________

 

(d)          Commission. [Pursuant to a separate written agreement, Seller will be responsible for all fees, commissions, and other amounts due to Seller's Broker as a result of the transactions contemplated herein.] [In addition,] Seller agrees to pay a commission to BBRS in the amount of one percent (1%) of the Purchase Price (the "BBRS Commission"). Seller shall cause the Escrow Agent (as defined below) to deliver the BBRS Commission to BBRS on the Closing Date (as defined below) or upon the termination of this Agreement pursuant to Section 16(a) based on Seller's breach of this Agreement, whichever occurs first.

 

(e)          Indemnity. Each party agrees to indemnify, defend, and hold harmless the other party, its successors, assigns, and agents, from and against the payment of any commission, compensation, loss, damages, costs, and expenses (including without limitation attorney fees and costs) incurred in connection with, or arising out of, claims for any broker’s, agent’s, or finder’s fees of any person claiming by or through such party, other than Seller's Broker or BBRS which shall be compensated as provided above. The obligations of Seller and Buyer under this Section 2 will survive the Closing and the termination of this Agreement.

 

3.             Purchase Price. The purchase price for the Property (the "Purchase Price") will be three million eight hundred seventy-five thousand four hundred dollars ($3,875,000) The Purchase Price, plus or minus prorations, adjustments and credits provided for in this Agreement, will be paid in cash or cash equivalent to Seller at Closing.

 

4.             Closing. Subject to the terms and conditions of this Agreement, the closing of the transaction contemplated by this Agreement (the "Closing") will take place on or before the date (the "Closing Date") that is forty-five (45) days after the later to occur of: (a) the delivery date of the Contingency Approval Notice (as defined below); or (b) the expiration of the Funding Milestone #2 Period (as defined below). The Closing will occur through the Escrow (as defined below). No party shall be required to be present at the Closing.

 

5.             Escrow. This transaction will be closed through an escrow (the "Escrow") established with First American Title of Minnestoa Title Insurance Company (the "Escrow Agent") in accordance with this Agreement. Upon creation of the Escrow, anything herein to the contrary notwithstanding, the transfer and conveyance of the Property, the payment of funds, and the delivery of the Escrow Closing Documents (as defined below) and other documents required to close the transaction contemplated by this Agreement will be made through the Escrow. The Closing will take place so that the Title Company’s commitment to issue the Title Policy (as defined below) will be delivered to Buyer, and Seller will receive the net sale proceeds, on the Closing Date.

 

6.             Conveyance and Title Matters.

 

(a)          Title Objections. Seller shall request Escrow Agent to cause to be delivered to Buyer a preliminary title report (the "Preliminary Report") from a title company affiliated with the Escrow Agent (the "Title Company"), showing the status of Seller’s title to the Property, together with complete and legible copies of all documents shown therein as exceptions to title ("Exceptions"). Buyer shall have until the date that is five (5) days after the Title Company delivers the Preliminary Report and Exceptions to Buyer within which to give notice in writing to Seller of any objection to such title or to any liens or encumbrances affecting the Property. Within five (5) days after receipt of such notice from Buyer, Seller shall give Buyer written notice of whether it is willing and able to remove the objected-to Exceptions. Without the need for objection by Buyer, Seller shall, with respect to liens and encumbrances that can be satisfied and released by the payment of money, eliminate such exceptions to title on or before Closing. Within five (5) days after receipt of such notice from Seller (the "Title Contingency Date"), Buyer shall elect whether to: (i) purchase the Property subject to those objected-to Exceptions which Seller is not willing or able to remove; or (ii) terminate this Agreement. If Buyer fails to give Seller notice of Buyer’s election, then such inaction shall be deemed to be Buyer’s election to terminate this Agreement. On or before the Closing Date (defined below), Seller shall remove all Exceptions to which Buyer objects and which Seller agrees, or is deemed to have agreed, Seller is willing and able to remove. All remaining Exceptions set forth in the Preliminary Report and those Exceptions caused by or agreed to by Buyer shall be deemed "Permitted Exceptions."

 

 

 

 

(b)                New Exceptions. In the event that (i) subsequent to the delivery to Buyer of the Preliminary Report, the Title Company issues an update to the Preliminary Report that shows an exception to title not previously listed (a "New Exception"), Buyer shall have five (5) business days following receipt of such update to the Preliminary Report and the underlying documents to object in writing (the "Buyer’s New Exception Notice") to such New Exception. Buyer’s failure to approve or disapprove any New Exception within the period described in the initial sentence of this Section 6(b) shall be deemed disapproval thereof. If Buyer timely disapproves, or is deemed to have disapproved, any New Exception, then Seller may, but shall not be obligated to, correct such New Exceptions specified in such notice at or prior to the Closing Date; provided, however, if Seller is able and willing to eliminate or cure all of such New Exceptions which Buyer has disapproved, Seller shall notify Buyer in writing within five (5) days of Seller’s receipt of Buyer’s New Exception Notice or deemed disapproval ("Seller’s New Exception Notice Period") that Seller intends to eliminate or cure (said notice hereinafter called "Seller’s New Exception Notice") and in which case the elimination or curing by Seller of the New Exception(s) specified by Seller for cure or elimination in Seller’s New Exception Notice shall be completed on or before the Closing Date. If Seller does not deliver Seller’s New Exception Notice to Buyer within Seller’s New Exception Notice Period, Buyer is deemed to be notified that Seller is unable or unwilling to eliminate or cure the disapproved New Exception(s). If Seller (i) does not timely deliver Seller’s New Exception Notice, or (ii) notifies or is deemed to have notified Buyer that Seller is unable or unwilling to cure any disapproved New Exception(s), then, unless Buyer waives, in writing, those disapproved New Exception(s) for which Seller has elected or is deemed to have elected to not cure within five (5) days following Seller’s New Exception Notice Period, this Agreement shall terminate and the parties hereto shall have no further rights or obligations, other than those that by their terms survive the termination of this Agreement. If necessary, the Closing Date shall be extended to the third (3rd) business day following the running of the time limits stated in this Section 6(b).

 

7.             Conditions to Closing.

 

(a)          Due Diligence Materials. Within five (5) days following the Effective Date, and to the extent Seller has not already done so, Seller will provide Buyer with copies of the following documents to the extent in the possession or control of Seller:

 

(i)          The Rent Roll

 

(ii)         The Title Report and a copy of Seller’s existing survey of the Property.

 

(iii)        The most recent (for the prior three (3) years) real estate and personal property tax bills, notices of assessed valuation, and utility bills relating to the Property.

 

(iv)        All certificates of occupancy, floor plans, "as built" or working drawings, site plans, specifications, and the most recent title policy relating to the Property.

 

(v)         The Leases and any material correspondence with respect thereto.

 

(vi)        The Contracts and Licenses.

 

(vii)       Statements of operations for the past two (2) complete calendar years and year to date for the current year and general ledgers maintained or prepared for the Property.

 

In addition, Seller will make available to Buyer for inspection and copying at either Seller’s office or at the office of the Property those materials listed on the attached Schedule 7(a), to the extent not already mentioned above and to the extent such materials exist and are in Seller’s possession or control. The foregoing documents are collectively referred to herein as the "Due Diligence Materials."

 

(b)          Platform Funding Milestones. Seller acknowledges that Buyer intends to raise some or all of the equity required to acquire Property from BuildingBits Investors by listing the Property on the Platform in accordance with Section 2(a). Seller further acknowledges that Seller will have the right to access the Platform and will have the ability to monitor the status of the milestones contemplated in this Section 7(b). Moreover, Buyer and BBRS agree from time to time, following receipt of written request from Seller, to provide Seller with a status report concerning the status of the milestones contemplated in this Section 7(b). Buyer's obligation to purchase the Property shall be subject to the timely satisfaction of the following conditions:

 

 

 

 

(i)          Qualification. Buyer shall have an initial period of thirty (30) calendar days (the "Qualification Period") for Buyer to engage a third party CPA firm to prepare audited financial statements for the subject property ("Audit") and undertake the process of qualifying the asset as part of an SEC Regulation A+ offering ("Qualification") of the Property, to the extent necessary or desirable. If both the Audit and the Qualification are not completed within the initial Qualification Period, then the Qualification Period will be automatically extended for an additional thirty (30) calendar days. If both the Audit and the Qualification are not completed within the Qualification Period, as extended, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the Qualification Period, as extended, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). At any time within the Qualification Period, as it may be extended, Buyer may elect in its sole discretion to terminate this Agreement due to the actual or anticipated failure to complete the Audit and the Qualification by delivering written notice thereof to Seller, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

(ii)         Funding Milestone #1. Provided this Agreement has not been previously terminated in accordance with its terms, Buyer shall have an initial period of thirty (30) calendar days (the "Funding Milestone #1 Period") from the expiration of the Qualification Period to obtain satisfactory commitments on the Platform from BuildingBits Investors of an amount ("Funding Milestone #1") equal to six percent (6%) of one million three hundred twenty-five thousand dollars ($1,325,000) (the "Funding Goal"). If Funding Milestone #1 is not met by the expiration of the initial Funding Milestone #1 Period, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the initial Funding Milestone #1 Period, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). In the event that Seller does not timely exercise the foregoing termination right, then the Funding Milestone #1 Period will be automatically extended for an additional thirty (30) calendar days. If Funding Milestone #1 is not met by the expiration of the Funding Milestone #1 Period, as extended, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the Funding Milestone #1 Period, as extended, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). At any time within the Funding Milestone #1 Period, as it may be extended, Buyer may elect in its sole discretion to terminate this Agreement due to the actual or anticipated failure to meet Funding Milestone #1 by delivering written notice thereof to Seller, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

(iii)        Funding Milestone #2. Provided this Agreement has not been previously terminated in accordance with its terms, Buyer shall have an initial period of thirty (30) calendar days (the "Funding Milestone #2 Period") from the expiration of the Funding Milestone #1 Period to obtain satisfactory commitments on the Platform from BuildingBits Investors of an amount ("Funding Milestone #2") equal to thirty-five percent (35%) of the Funding Goal. If Funding Milestone #2 is not met by the expiration of the initial Funding Milestone #2 Period, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the initial Funding Milestone #2 Period, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). In the event that Seller does not timely exercise the foregoing termination right, then the Funding Milestone #2 Period will be automatically extended for an additional thirty (30) calendar days. If Funding Milestone #2 is not met by the expiration of the Funding Milestone #2 Period, as extended, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the Funding Milestone #2 Period, as extended, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). At any time within the Funding Milestone #2 Period, as it may be extended, Buyer may elect in its sole discretion to terminate this Agreement due to the actual or anticipated failure to meet Funding Milestone #2 by delivering written notice thereof to Seller, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

 

 

 

(c)          Buyer’s Inspection Condition.

 

(i)          Duration; Scope of Inspections. Buyer (and Buyer’s representatives, agents and consultants), will have a period commencing on the Effective Date and ending upon the later to occur of (i) the date that is sixty (60) days after the Effective Date; or (ii) the expiration of the Funding Milestone #2 Period (the "Inspection Period"), to inspect the Property. Buyer may continue with such inspections after the Inspection Period if Buyer has delivered its Approval Notice (as defined below). Without limiting the generality of the foregoing, but subject to the terms of this Section 7(c), (1) except as provided below, Seller will permit Buyer to examine, at all reasonable times, all books and records (including without limitation financial and operating statements) in Seller’s possession or control relating to the Property, (2) Buyer will have the right to (A) inspect the Land, Improvements, Appurtenant Rights, and Personal Property, (B) review the Leases, Contracts, Licenses, Intangibles and all Due Diligence Materials, (C) discuss the Property with, and obtain additional information from, tenants and any property manager, and (D) conduct geophysical feasibility tests of the Property and an environmental audit or audits of the Property (with copies of the reports relating to such audits delivered to Seller when completed), including sampling, and (3) Buyer will be given complete access to the Property for the purpose of making such tests, inspections, and investigations.

 

(ii)         Conduct of Inspections. Buyer, in the conduct of its due diligence investigation of the Real Property or otherwise, will not interfere with or hinder the operation of the Real Property or the tenants or occupants thereof. Seller will provide Buyer and Buyer’s representatives, agents and consultants with reasonable access to the Real Property between 9:00 a.m. and 5:00 p.m. on weekdays, subject to the rights of the Real Property tenants or occupants and provided that: (A) Buyer will notify Seller or one of Seller’s agents not less than one (1) business day in advance of entering the Real Property; (B) neither Buyer nor its representatives, agents or consultants will communicate directly with any tenant of the Real Property without the accompaniment by Seller, Seller’s manager or Seller’s agents for the Real Property if requested by Seller; (C) Buyer and its representatives, agents and consultants will keep the Real Property free and clear of any mechanic’s or materialmen’s liens arising out of any such entry, will promptly restore any damage caused by them, will perform all investigations in a safe and professional manner, will not allow any dangerous or hazardous conditions, and will comply with all applicable laws and governmental regulations; (D) Seller or any of its representatives or agents may accompany Buyer and any of its representatives and agents during their visit to the Real Property; (E) Buyer will not perform or authorize any invasive testing of the Real Property without Seller’s prior written consent, which shall not be unreasonably withheld or delayed; and (F) prior to entry upon the Real Property, Buyer will deliver to Seller evidence of such party’s liability insurance coverage by an insurer reasonably acceptable to Seller and with combined single limits of not less than One Million Dollars ($1,000,000) per occurrence. All such tests, investigations, and studies will be at Buyer’s sole cost and expense.

 

(iii)        Indemnification For Inspection Activities. In the event of any damage to the Property caused by Buyer, its agents, engineers, employees, contractors, or surveyors (including without limitation pavement, landscaping, and surface damage), Buyer will pay the reasonable cost incurred by Seller to restore the Property to the condition existing prior to the performance of such tests, investigations, or studies. Buyer will defend, indemnify, and hold Seller harmless from any and all damage, liability, cost, and expense (including without limitation reasonable attorney fees, court costs, and costs of appeal) suffered or incurred by Seller for injury to persons or property caused by Buyer, its agents, engineers, employees, contractors or surveyors or by Buyer’s investigations, tests, studies, and/or inspections of the Property (provided that the foregoing indemnification shall not apply to the discovery of pre-existing conditions at the Property as a result of Buyer’s investigations). The obligations of Buyer under this subparagraph will survive termination of this Agreement.

 

 

 

 

(iv)        Buyer’s Approval of Property. In addition to conducting inspections, Buyer may conduct and complete such analyses, evaluations, tests, and investigations of the Property as Buyer may determine in its sole discretion. If, in the sole discretion and at the sole election of Buyer, any of Buyer’s evaluations, tests, inspections, or investigations are unsatisfactory to Buyer, in any manner or for any reason (or for no reason whatsoever) in Buyer’s sole discretion, including without limitation for reasons relating to Buyer’s financial analysis of the Property for Buyer’s intended use or any purpose, restrictions on use of the Property, matters relating to zoning, government approvals, appraised value, or other matters impacting the condition or value of the Property, Buyer may terminate this Agreement. If Buyer notifies Seller, in writing, on or before 5:00 p.m. Pacific time on the last business day of the Inspection Period (the "Contingency Removal Date") of Buyer’s approval of the Property in all respects and Buyer’s election to proceed under this Agreement ("Contingency Approval Notice"), then this Agreement will remain in full force and effect. If Buyer fails to deliver its Contingency Approval Notice on or before the Contingency Removal Date, this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

(d)          Seller’s Termination of Contracts Not Assumed by Buyer Prior to Closing, Buyer shall provide Seller with written notice of those Contracts Buyer elects to assume at Closing (the "Assumed Contracts"). Seller will be responsible for terminating all of the Contracts that Buyer does not elect to assume, at or prior to Closing.

 

(e)          Buyer Financing. The obligation of Buyer to close the transaction contemplated by this Agreement is contingent upon the closing of a mortgage loan secured by the Property from Buyer's lender of choice on terms satisfactory to Buyer in Buyer's sole and absolute discretion (the "Buyer Financing"). Without limiting the foregoing, so long as this Agreement remains in effect, Buyer, at its expense, shall use commercially reasonable efforts to obtain a commitment for the Buyer Financing and to satisfy the closing conditions of the Buyer Financing applicable to Buyer. Buyer shall be responsible for any costs, fees or expenses arising out of the Buyer Financing. Buyer may terminate this Agreement at any time prior to the Closing Date due to the actual or anticipated failure to close the Buyer Financing by delivering written notice thereof to Seller, in which case this Agreement will terminate and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

(f)          Delivery of Tenant Estoppel Certificates to Buyer. Seller will present to all tenants and will use commercially reasonable efforts to deliver to Buyer, not less than five (5) business days prior to the Closing Date, an estoppel letter from each tenant of the Property in the form of attached Exhibit C or in such other form as may be reasonably acceptable to Buyer and Buyer’s lender (the "Tenant Estoppel Certificates"), each certified to Buyer and Buyer’s lender. It is an express condition of Buyer’s obligations under this Agreement that Seller shall deliver Tenant Estoppel Certificates, dated no more than ___ days prior to Closing (i) from tenants who, in the aggregate, occupy at least one hundred percent (100%) of the aggregate occupied rentable space at the Property, and (ii) from each tenant occupying _______ square feet or/____ percent (__%) or more of the rentable space at the Property, in both cases with each of such Tenant Estoppel Certificates containing no material adverse facts or qualifications (the "Estoppel Minimum"). Seller’s failure to deliver the Estoppel Minimum will in no instance constitute a default by Seller under this Agreement, and in the event of such failure Buyer’s sole right will be either to terminate this Agreement or to waive the requirement for such estoppel letters (to the extent not provided) and proceed with Closing.

 

(g)          Delivery of SNDAs to Buyer. Seller also agrees to present to each tenant of the Property for consideration and execution, and use commercially reasonable efforts to obtain, Buyer’s lender’s requested form of subordination, non-disturbance, and attornment agreement ("SNDA"). It is an express condition of Buyer’s obligations under this Agreement that Seller shall deliver SNDAs (i) from tenants who, in the aggregate, occupy at least one hundred percent (100%) of the aggregate occupied rentable space at the Property, (ii) from each tenant occupying ____ percent (___%) or more of the rentable space at the Property, and (iii) from each tenant whose Lease is of record (the "SNDA Minimum"). Seller’s failure to deliver the SNDA Minimum will in no instance constitute a default by Seller under this Agreement, and in the event of such failure Buyer’s sole right will be either to terminate this Agreement or to waive the requirement for such SNDAs (to the extent not provided) and proceed with Closing.

 

(h)          Further Conditions of Buyer’s Obligations. The obligation of Buyer to close the transaction contemplated by this Agreement is further subject to the conditions that (i) all of the representations and warranties of Seller contained in this Agreement are true and correct, in all material respects, at the Effective Date and as of the Closing Date, and (ii) all of the obligations and duties of Seller to be performed hereunder on or before the Closing Date shall have been completed in a timely manner and performed in all material respects.

 

 

 

 

(i)          Conditions of Seller’s Obligations. The obligation of Seller to close the transaction contemplated by this Agreement is subject to the conditions that (i) all of the representations and warranties of Buyer contained in this Agreement are true and correct, in all material respects, at the Effective Date and as of the Closing Date, and (ii) all of the obligations and duties of Buyer to be performed hereunder on or before the Closing Date shall have been completed in a timely manner and performed in all material respects.

 

(j)          Failure of Condition. If any of the conditions in paragraphs (a) –(g) above is not timely satisfied, for a reason other than the default of Seller under this Agreement, then Buyer may, at Buyer’s option, either (i) waive such condition in writing delivered to Seller or (ii) terminate this Agreement by notice to Seller, in which case (A) the Escrow and the rights and obligations of Buyer and Seller shall terminate, except as otherwise expressly provided herein; (B) Escrow Agent is hereby instructed to promptly return to Seller and Buyer all funds, together with any accrued interest on such funds, and documents deposited by them, respectively, into Escrow which are held by Escrow Agent on the date of said termination; and (C) the cancellation charges required to be paid by and to Escrow Agent and the Title Company shall be borne one-half (1/2) by Seller and one-half (1/2) by Buyer and all other charges shall be borne by the party incurring same.

 

8.             Representations and Warranties. To induce Buyer to execute and perform this Agreement, Seller makes the following representations and warranties to Buyer, as of the Effective Date and again as of the Closing Date:

 

(a)          Seller has full power and lawful authority to enter into and carry out the terms and provisions of this Agreement and to execute and deliver all documents which are contemplated by this Agreement.

 

(b)          There are no parties in possession and no leases or occupancy agreements affecting all or any part of the Property, except as disclosed in the Rent Roll, and there are no written or oral promises, understandings, agreements or other commitments between Seller and any tenant or other person affecting the Property, that will be in force or effect on and after the Closing Date, except as disclosed in the Due Diligence Materials.

 

(c)          To the best of Seller's knowledge, the Due Diligence Materials and all other documents related to the Property provided or to be provided to Buyer pursuant to the terms of this Agreement are true, accurate and complete copies or originals.

 

(d)          Seller has received no written notice of and has no knowledge that eminent domain or other legal proceedings affecting the Real Property are pending or threatened.

 

(e)          Seller is not a "foreign person" within the meaning of Section 1445(f)(3) of the Internal Revenue Code.

 

(f)          Seller has not received any notice of any violation of any applicable law (including any environmental law), code, rule, regulation, ordinance, requirement, covenant, condition or restriction relating to the condition or present use or occupancy of the Property by any person, authority or agency having jurisdiction.

 

(g)          To the best of Seller's knowledge, neither Seller nor any prior owner or operator of the Property has used, generated, manufactured, stored or disposed of any hazardous materials in violation of any environmental law in, at, on, under or about the Property or any portion thereof, or transported any hazardous materials in violation of any environmental law to or from the Property.

 

(h)          To the best of Seller's knowledge, there are no concealed material defects with respect to the physical condition of the Property.

 

(i)          There are no suits or claims pending or, to the best of Seller’s knowledge, threatened with respect to or in any manner affecting the Property or Seller.

 

(j)          No person has any option, right of first refusal or other right to purchase the Property or any part thereof or interest therein.

 

 

 

 

(k)          To the best of Seller's knowledge, the Property is an independent legal lot of record and a separate tax lot, and the Property has lawful pedestrian and vehicular access to and from public rights-of-way.

 

(l)          Seller has entered into no brokerage or leasing commission agreements with respect to the Property, where a commission or fee has been earned but not fully paid or which will remain in effect after Closing.

(m)          There are no claims or bills for labor performed on and/or materials furnished to the Property other than those disclosed in the Due Diligence Materials.

 

9.             Seller’s Covenants. From and after the Effective Date through the Closing Date, Seller and Seller’s agents will, at Seller’s expense:

 

(a)          Maintain the Property in the condition in which it existed as of the Effective Date, normal wear and tear excepted, free from mechanics’ liens, and operate the Property in a manner consistent with current practice, and perform all of Sellers’s obligations under the Leases, Contracts, and Licenses;

 

(b)          Keep in existence all fire, extended coverage, business interruption, rent loss, or similar insurance policies, and all public liability insurance policies, that are in existence as of the Effective Date with respect to the Property;

 

(c)          Not (i) amend, waive any rights under, terminate, or extend any Lease, Contract, or License, (ii) apply any security or other deposits held under any Lease, Contract, or License to delinquent rents, or (iii) enter into new leases, contracts, or licenses without Buyer’s prior written consent, which consent will not be unreasonably withheld prior to the Contingency Removal Date and which consent may be withheld at Buyer’s sole discretion after the Contingency Removal Date;

 

(d)          Not (i) market the Property; (ii) sell, offer to sell, or negotiate to sell the Property to any party other than Buyer; or (iii) take any action to solicit, initiate, or encourage the submission of a back up offer for the Property.

 

(e)          Promptly advise Buyer in writing of any changes in circumstances that would render the representations and warranties made by Seller in this Agreement false or misleading in any material respect; and

 

(f)          Give appropriate notices of termination of those Contracts not assumed by Buyer, as provided for in Section 7(d) above, so that each non-assumed Contract will be terminated as of the Closing Date.

 

10.           Survival.

 

(a)          Survival of Representations. All the representations, warranties, and covenants of Seller and Buyer contained in this Agreement or in any of the Escrow Closing Documents (as defined below) are material, none will merge into the Deed, and all will survive the Closing Date or termination of this Agreement for a period of eighteen (18) months (the "Survival Period"). All rights of Buyer hereunder or under any of the Escrow Closing Documents, with respect to any surviving representation, warranty, covenant, or indemnity will be deemed waived if Buyer does not, by written notice to Seller, advise Seller of any alleged breach of representation, warranty, or covenant, or any alleged indemnification obligation, prior to the expiration of the Survival Period. Subject to the limitation set forth in the immediately preceding sentence, all remedies will be those set forth in Section 16 below. The provisions of this Section 10 will survive Closing.

 

(b)          Survival of Provisions.

 

(i)          Buyer’s Acceptance of Deed. Acceptance by Buyer of the Deed at Closing will constitute an acknowledgment by Buyer of full performance by Seller of all of Seller’s obligations under this Agreement, subject to the obligations of Seller that are expressly provided in this Agreement to survive Closing.

 

 

 

 

(ii)         Survival of Buyer’s Obligations. Any of Buyer’s obligations under this Agreement that are expressly provided in this Agreement to survive Closing or that imply or contemplate performance or observance after the Closing Date will survive Closing.

 

(c)          Survival of this Section. The provisions of this Section 10 will survive Closing.

 

11.           Deliveries at Closing.

 

(a)          Conveyance Documents. On the Closing Date, Seller will transfer and convey title to the Property to Buyer free and clear of all liens and encumbrances, other than real and personal property taxes not yet due and payable, and the Permitted Exceptions, by:

 

(i)          Delivering a recordable Statutory Warranty deed executed by Seller, in the form of the attached Exhibit C, subject only to the Permitted Exceptions, and conveying fee simple title to the Real Property and Appurtenances to Buyer (the "Deed");

 

(ii)         Delivering a Bill of Sale executed by Seller, in the form of the attached Exhibit D, transferring the Personal Property to Buyer (the "Bill of Sale"); and

 

(iii)        Delivering two originals of an Assignment and Assumption Agreement executed by Seller, in the form of the attached Exhibit E, transferring all of Seller’s right, title, and interest in and to the Assumed Contracts, the Licenses, the Leases, and the Intangibles to Buyer (the "Assignment Agreement").

 

The foregoing documents and instruments are collectively referred to herein as the "Conveyance Documents."

 

(b)          Escrow Closing Documents. On the Closing Date, Seller will deliver the following documents (the "Escrow Closing Documents") to the Escrow Agent, all duly executed by Seller, where appropriate, each of which will be a condition precedent to Buyer’s obligation to close the transaction contemplated by this Agreement (and one or more of which may be waived in writing by Buyer, in its sole discretion, on or prior

to the Closing Date):

 

(i)          The Conveyance Documents;

 

(ii)         To the extent required by the Title Company, an ALTA statement or affidavit and gap indemnity agreement, each in customary form;

 

(iii)        Seller’s counterpart of an estimated closing statement setting forth credits and prorations made in accordance with Section 12 below (the "Prorate Statement");

 

(iv)        A certification of non foreign status satisfying Section 1445 of the Internal Revenue Code of 1986, as amended;

 

(v)         Executed counterparts of real estate transfer declarations, if applicable;

 

(vi)        Evidence of Seller’s existence and authority to perform its obligations under this Agreement, in form and substance reasonably satisfactory to the Title Company;

 

(vii)       A current Rent Roll certified by an officer of Seller; and

 

(viii)      Such other documents, instruments, gap undertakings, consents or agreements as may be reasonably requested by the Title Company or the Escrow Agent, in order to issue to Buyer an extended coverage owner’s title insurance policy (the "Title Policy") in the amount of the Purchase Price, subject only to the Permitted Exceptions and including those endorsements that the Title Company has agreed to issue to Buyer or Buyer’s lender (it being understood that the Title Policy may be issued at Closing in the form of a title commitment or a pro forma title policy, hand-marked and initialed by Buyer and the Title Company, and dated as of the Closing Date, so as to be the equivalent of the Title Policy).

 

 

 

 

(c)          Seller Closing Items. On the Closing Date, Seller will deliver the following items and documents (the "Seller Closing Items") to Buyer, all duly executed by Seller, where appropriate, each of which will be a condition precedent to Buyer’s obligation to close the transaction contemplated by this Agreement (and one or more of which may be waived in writing by Buyer, in its sole discretion, on or prior to the Closing Date):

 

(i)          All keys and access cards to, and combinations to locks and other security devices located at, the Property, if applicable; and

 

(ii)         All of the original Leases, Contracts, and Licenses in possession of Seller, together with (1) a letter from Seller advising the tenants under the Leases of the assignment of their respective Leases to Buyer and the manner in which rent is to be paid subsequent to Closing, in a form reasonably satisfactory to Buyer; and (2) evidence of termination of the Contracts designated by Buyer as not being assumed by Buyer, if applicable.

 

(d)          Buyer Deliveries. On the Closing Date, Buyer will deliver the following to the Escrow Agent, in form and substance reasonably acceptable to Seller, all duly executed by Buyer, where appropriate, each of which will be a condition precedent to Seller’s obligation to close the transaction contemplated by this Agreement:

 

(i)          Executed counterparts of the real estate transfer declarations described above, if applicable;

 

(ii)         Two original counterparts of the Assignment Agreement;

 

(iii)        Buyer’s counterpart of the Prorate Statement;

 

(iv)        Evidence of Buyer’s existence and authority to perform its obligations under this Agreement, in form and substance reasonably satisfactory to the Title Company;

 

(v)         The Purchase Price, plus or minus prorations and adjustments as provided herein; and

 

(vi)        Such other documents, instruments, or agreements as may be reasonably requested by the Title Company or the Escrow Agent in order to issue the Title Policy and to otherwise consummate the Closing.

 

(e)          Closing. When the Escrow Agent has received all of the deposits listed in this Section 11, is prepared to issue the Title Policy having an effective date as of the date the Deed is recorded, in the amount of the Purchase Price and insuring the title of Buyer in the Property, subject only to the Permitted Exceptions and including those endorsements that the Title Company has agreed to issue to Buyer or Buyer’s lender, and is otherwise in a position to consummate the Closing, the Escrow Agent is then authorized and instructed to simultaneously proceed as follows:

 

(i)          Record the Deed;

 

(ii)         Pay the disbursements as shown on the Prorate Statement from the funds deposited by Buyer;

 

(iii)        Deliver to Buyer the Title Policy, the recorded Deed, the Bill of Sale, one original of the Assignment Agreement, Buyer’s counterpart to the Prorate Statement, and copies of all other documents submitted by the parties in connection with the Closing; and

 

(iv)        Deliver to Seller one original of the Assignment Agreement, Seller’s counterpart of the Prorate Statement, and copies of all other documents submitted by the parties in connection with the Closing.

 

 

 

 

The Title Policy may be issued at Closing in the form of a commitment or a pro forma title policy, hand-marked and initialed by Buyer and the Title Company, and dated as of the Closing Date, so as to be the equivalent of delivery of the Title Policy.

 

12.           Closing Costs; Prorations.

 

(a)          Generally. Seller shall pay the premium for the Title Policy, provided, however, if Buyer elects to obtain an ALTA extended form policy of title insurance and/or any endorsements, Buyer shall pay the difference in the premium relating to such election. Seller and Buyer shall each pay one-half (1/2) of the escrow fees charged by the Escrow Agent. Any excise tax and/or transfer tax due in connection with the conveyance of the Property shall be paid by Seller. Real property taxes for the tax year of the Closing, assessments (if a Permitted Exception), personal property taxes, rents and other charges arising from existing Leases paid for the month of Closing, interest on assumed obligations, utilities, and fees due under the Assumed Contracts shall be prorated as of the Closing Date. If applicable, prepaid rents, security deposits, and other unearned refundable deposits relating to Leases shall be assigned and delivered to Buyer at Closing.

 

(b)          Rents. Except for delinquent rent as addressed below, all rent under the Leases shall be prorated effective as of the Closing Date. Delinquent rent due but not received prior to Closing shall not be prorated but shall remain the property of Seller. Payments received from Tenants from and after the date of Closing shall be applied first to rents then due for the current period and then to rents delinquent as of the date of Closing. Buyer shall use reasonable efforts to collect delinquent rents for the benefit of Seller for a period not to exceed sixty (60) days after the Closing Date, and shall cooperate with Seller in the collection of any delinquent amounts; provided, however, Buyer will not be obligated to sue any tenants or exercise any legal remedies under the Leases, including, but not limited to, unlawful detainers, or to incur any expense over and above its own regular collection expenses.

 

(c)          Taxes. If the Closing shall occur before the real property taxes payable on the Property for the tax year in which Closing ‎occurs are known, the proration of such taxes shall be upon the basis of the taxes payable for such ‎Property during the immediately preceding tax year. Subsequent to the Closing, but no later than ‎sixty (60) days after the actual taxes for the Property have been determined for the tax year in ‎which Closing occurs, the parties agree to adjust the proration of taxes and, if necessary, to refund or ‎pay such sums as shall be necessary to effect such adjustment.‎

 

13.           Possession. Possession of the Property will be delivered to Buyer at Closing, free and clear of all liens and claims other than Permitted Exceptions and the rights of the tenants identified on the Rent Roll, as tenants only and without any purchase right or option, in the same condition as it exists on the Effective Date, ordinary wear and tear excepted and except as provided in Sections 14 and 15 hereof. Buyer will have the right to inspect the Property within three (3) days prior to Closing to verify that the condition of the Property is as required under this Agreement.

 

14.           Fire or Casualty. In the event of damage to the Property by fire or other casualty prior to the Closing Date, Seller will promptly notify Buyer of such fire or other casualty ("Casualty Notice"). Seller shall state in the Casualty Notice the cost that Seller in good faith estimates will be incurred to repair the casualty loss. If there is an uninsured loss in excess of $200,000, Seller may elect to terminate this Agreement by written notice delivered to Buyer within five (5) days after the Casualty Notice, in which case parties will have no further obligations hereunder (except for obligations that are expressly intended to survive the termination of this Agreement). If the fire or other casualty damage estimate is in excess of five percent (5%) of the Purchase Price and this Agreement is not terminated by Seller on account of an uninsured loss, then Buyer may elect, by written notice delivered to Seller on or before the sooner of (i) the twentieth (20th) day after Buyer’s receipt of the Casualty Notice or (ii) the Closing Date, to either: (a) close the transaction contemplated by this Agreement and receive either a reduction in the Purchase Price in the amount of the insurance policy deductible and any uninsured loss and receive all insurance claims and proceeds payable to Seller as a result of such fire or other casualty, with the same being paid or assigned to Buyer at Closing, or (b) terminate this Agreement, in which case the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive the termination of this Agreement). If the damage to the Property by fire or other casualty prior to the Closing Date would cost less than five percent (5%) of the Purchase Price to repair (as determined by Seller in good faith), Buyer will not have the right to terminate its obligations under this Agreement by reason thereof, and Seller will have the right to elect to either repair and restore the Property if such repair or restoration may be completed prior to the Closing Date or to credit the Purchase Price in the amount of the insurance policy deductible and any uninsured loss and assign and transfer to Buyer on the Closing Date all of Seller’s right, title and interest in and to all insurance proceeds paid or payable to Seller on account of such fire or casualty. Seller will fully cooperate with Buyer, at Buyer’s sole out-of-pocket expense, post-closing to adjust and settle any such claim.

 

 

 

 

15.           Condemnation. If, prior to the Closing Date, all or any part of the Property is taken by condemnation or a conveyance in lieu thereof, or if Seller receives notice of a condemnation proceeding with respect to the Property, then Seller will promptly notify Buyer of such condemnation or conveyance in lieu thereof. If the taking or threatened taking involves a material portion of the Property (as defined below), Buyer may elect, by written notice to be delivered to Seller on or before the sooner of (i) the twentieth (20th) day after Buyer’s receipt of such notice, or (ii) the Closing Date, to terminate this Agreement, in which event the parties hereto will have no further obligations hereunder (except for obligations that are expressly intended to survive the termination of this Agreement). If Buyer elects to close this transaction notwithstanding such taking or condemnation, Buyer will be entitled to any award given to Seller as a result of such condemnation proceedings, with the same being paid or assigned to Buyer at Closing. As used herein, a "material portion of the Property" means any part of the Property that results in a limitation on access or parking or is otherwise reasonably required for the operation of the Property in the manner operated on the Effective Date. If any taking or threatened taking does not involve a material portion of the Property, Buyer will be required to proceed with the Closing, in which event Seller will assign to Buyer any award given to Seller (or the right to receive any such award) as a result of such condemnation proceedings.

 

16.           Default.

 

(a)          Pre-Closing Default by Seller. If Seller defaults hereunder upon or prior to Closing and fails to cure such default within three (3) business days after written notice of such default, or if prior to Closing it is determined that the representations and warranties of Seller set forth in this Agreement are not true and correct in all material respects on the Effective Date and as of the Closing Date, then as Buyer’s sole and exclusive remedy may elect either (i) to terminate this Agreement and receive damages equal to Buyer’s actual out-of-pocket costs incurred to purchase the Property and payment to BBRS of the BBRS Commission, in which event each of the parties will be relieved of any further obligation to the other arising by virtue of this Agreement (except for obligations that are expressly intended to survive the termination of this Agreement), or (ii) to pursue specific performance of this Agreement.

 

(b)          Pre-Closing Default by Buyer or BBRS. If Buyer or BBRS defaults hereunder upon or prior to Closing and fails to cure such default within three (3) business days of written notice of such default, this Agreement will terminate and Seller will be entitled to recover from Buyer as liquidated damages the sum of Five Thousand Dollars ($5,000) (the "Liquidated Damages Amount") in full settlement of all claims against Buyer or BBRS (with the exception of claims against Buyer related to obligations that are expressly intended to survive the termination of this Agreement). The parties agree that the amount of actual damages that Seller would suffer as a result of Buyer's or BBRS's default would be extremely difficult to determine and have agreed, after specific negotiation, that Liquidated Damages Amount is a reasonable estimate of the Seller’s damages and the net detriment that Seller would suffer from a default by Buyer or BBRS and is intended to constitute a fixed amount of liquidated damages in lieu of other remedies available to Seller and is not intended to constitute a penalty.

 

17.         Notices. Any notice, approval, demand, request, or other communication that either party may be required or may desire to give under this Agreement will be in writing and will be deemed to have been properly given if (a) hand delivered, (b) sent by a nationally recognized overnight delivery service, (c) sent by United States mail (certified mail, return receipt requested, or (d) sent by email, in each case, prepaid and addressed as shown below, or to such other or additional addresses as either party might designate by written notice to the other party.

 

 

 

 

If to Seller:

 

____________________________________

____________________________________

____________________________________

____________________________________

Attention: _______________________________

Email: ___________________________

 

If to Buyer:

 

BuildingBits Properties I, LLC

c/o BuildingBits Holdings, LLC

425 NW 10th Avenue, Suite 306

Portland, Oregon 97209

Attention: Alexander Aginsky, CEO

Email: a.aginsky@buildingbits.com

 

If to BBRS:

 

BuildingBits Real Estate Services, LLC

c/o BuildingBits Holdings, LLC

425 NW 10th Avenue, Suite 306

Portland, Oregon 97209

Attention: Alexander Aginsky, CEO

Email: a.aginsky@buildingbits.com

 

Any such notice shall be deemed to have been given (i) upon delivery or refusal of a party to accept delivery thereof (including ignoring delivery attempts), if personally delivered or delivered by any nationally recognized form of airborne/overnight delivery service, or (ii) upon receipt or upon the expiration of three (3) business days, whichever is earlier, if mailed, or (iii) if by email, when such notice is sent, provided that emails and other electronic communications that are received at any time after 5:00 p.m. (Pacific time) on a Business Day shall be deemed to have been given on the next following Business Day. Any notice given by email must be confirmed within forty-eight (48) hours by letter mailed or delivered to the appropriate party at its respective address in accordance with clauses (b) or (c) above. Either party may change the address at which it desires to receive notice upon giving written notice of such request to the other party. Buyer and Seller, and their respective counsel, hereby agree that notices may be given hereunder by the parties’ respective counsel, and that if any communication is to be given hereunder by Buyer’s or Seller’s counsel, such counsel may communicate directly with all principals, as required to comply with the foregoing provisions.

 

18.           Management Fees and Employees. On the Closing Date, Seller will deliver evidence satisfactory to Buyer that, unless expressly assumed by Buyer in writing, any current management or leasing agreements for the Property have been terminated (or notice of termination given), and that the manager and any brokers have been paid all commissions or fees due and payable. Buyer is not required to continue the employment of any employees of Seller or any property manager after the Closing Date. Seller will satisfy all obligations to all employees, if any, employed by Seller in the operation of the Property and provide Buyer with evidence thereof satisfactory to Buyer on the Closing Date.

 

19.           "AS IS" Sale. EXCEPT FOR THE EXPRESS REPRESENTATIONS AND WARRANTIES OF SELLER SET FORTH IN THIS AGREEMENT AND IN THE ESCROW CLOSING DOCUMENTS, BUYER ACKNOWLEDGES AND AGREES THAT BUYER WILL BE PURCHASING THE PROPERTY BASED SOLELY UPON ITS INSPECTIONS AND INVESTIGATIONS OF THE PROPERTY, AND THAT BUYER WILL BE PURCHASING THE PROPERTY "AS IS" AND "WITH ALL FAULTS", BASED UPON THE CONDITION OF THE PROPERTY AS OF THE EFFECTIVE DATE, ORDINARY WEAR AND TEAR AND LOSS BY FIRE OR OTHER CASUALTY OR CONDEMNATION EXCEPTED, AND THAT SELLER MAKES NO WARRANTY OR REPRESENTATION, EXPRESS OR IMPLIED, OR ARISING BY OPERATION OF LAW, INCLUDING BUT NOT LIMITED TO ANY WARRANTY OF CONDITION, HABITABILITY, MERCHANTABILITY, OR FITNESS FOR A PARTICULAR PURPOSE, WITH RESPECT TO THE PROPERTY. Buyer acknowledges that, having been given the opportunity to inspect the Property, Buyer is relying solely on its own investigation of the Property and not on any information provided or to be provided by Seller, other than as expressly set forth in this Agreement and the Escrow Closing Documents. The provisions of this Section 19 will survive the Closing.

 

 

 

 

20.           Assignment. Buyer will not have the right to assign this Agreement or any interest herein without the express written consent of Seller, which consent will not be unreasonably withheld, conditioned, or delayed; provided, however, that Seller’s consent will not be required if the assignment is to one or more affiliates of Buyer. For purposes of the foregoing, an "affiliate" will include: (a) any entity controlled by or under common control with Buyer; (b) any entity in which Buyer or an affiliate of Buyer is the managing member, manager, or general partner; (c) any person or entity who acquires an undivided interest in the Property with Buyer or an affiliate of Buyer in order to complete a Section 1031 exchange; and (d) any "joint venture" entity formed by Buyer or an affiliate of Buyer and in which Buyer or its affiliate has a one percent (1%) or more equity interest or otherwise is a material equity participant. With respect to any permitted assignment, Buyer will remain liable for, and the assignee(s) will assume, all obligations of Buyer hereunder. Buyer will notify Seller in writing of any assignment in sufficient time to allow the Closing to occur without delay or unreasonable burden.

 

21.          1031 Exchange. Either Seller or Buyer or their assignees (an "Exchanging Party") may elect to consummate the transaction hereunder in whole or in part as part of a like-kind exchange pursuant to Section 1031 of the Internal Revenue Code of 1986, as amended, provided that such like-kind exchange is accomplished at the sole cost of the Exchanging Party, without delaying the Closing Date or any other event scheduled under this Agreement, and without releasing the Exchanging Party from any obligation or liability under this Agreement. In connection with such exchange, the Exchanging Party will be permitted to assign its interest in this Agreement to one or more affiliates and/or to any exchange accommodator on behalf of such persons. If any such Exchanging Party so elects, the other party will reasonably cooperate with the Exchanging Party and will execute such documents and take such action as may be reasonably necessary in order to effectuate the transaction as a like-kind exchange in accordance with applicable rules governing such exchanges; provided, however, that (i) the Exchanging Party will have the responsibility to prepare any documentation required in order to effectuate such like-kind exchange, (ii) the cooperating party will have no obligation to incur any cost or take title to any other real or personal property, (iii) the Exchanging Party will assume all risks in connection with the designation, selection, and setting of terms of the purchase or sale of any exchange property, (iv) any documents to effectuate such exchange will be consistent with the terms and conditions contained in this Agreement, and (v) the Exchanging Party’s exchange will not result in any additional liability or cost to the other party.

 

22.           Miscellaneous Provisions.

 

(a)          Time of the Essence. Time is of the essence of each provision of this Agreement.

 

(b)          Entire Agreement. This Agreement (including its Exhibits and Schedules) contains the entire agreement between the parties relating to the transactions contemplated hereby.

 

(c)          Applicable Law. This Agreement will be governed by and construed in accordance with the laws of the State where the Land is located.

 

(d)          Partial Invalidity. If any of the provisions of this Agreement or the application thereof to any person or circumstance will, to any extent, be deemed invalid or unenforceable, the remainder of this Agreement and the application of such provisions to persons or circumstances other than those as to whom or which it is held invalid or unenforceable will not be affected thereby.

 

(e)          Counterparts. This Agreement and any document or instrument executed pursuant hereto may be executed in any number of counterparts, each of which will be deemed an original, but all of which, together, will constitute one and the same instrument.

 

(f)          Exclusivity. Seller agrees it will neither market the Property nor negotiate for a sale thereof to any third party during the pendency of this Agreement.

 

 

 

 

(g)          Enforcement. In the event suit or action is commenced to interpret, enforce, or rescind this Agreement or otherwise arising out of or concerning this Agreement, the prevailing party will be entitled to recover from the other party all reasonable expenses paid or incurred by the prevailing party to prosecute or defend such suit or action, including without limitation attorney fees and other legal fees and costs, disbursements and court costs. The obligations under this Section 22(g) will survive the Closing or earlier termination of this Agreement.

 

(h)          Arbitration. Any controversy or claim arising out of or relating to any post-Closing dispute related to this Agreement, the Purchase Documents or the Property, including without limitation the making, performance, or interpretation of this Agreement or any term, provision, or section hereof, shall be settled by binding arbitration; provided, however, that any party may resort to a court of competent jurisdiction to pursue any remedy of specific performance or to seek provisional remedies if unavailable through arbitration. Unless otherwise agreed, any arbitration shall be conducted in Portland, Oregon using the services and in accordance with the then-current rules of the Arbitration Service of Portland, Inc. ("ASP"). If ASP is no longer in existence, the arbitration shall be conducted in accordance with the then-current rules of the American Arbitration Association. The parties agree that the arbitrator shall have no jurisdiction to consider evidence with respect to or render an award or judgment for punitive or exemplary damages, and the parties hereby waive any such claims. Judgment on the award may be entered in any court having jurisdiction. The parties agree that all facts and other information relating to any arbitration arising under this Agreement shall be kept confidential to the fullest extent permitted by law. This arbitration agreement shall survive Closing and/or termination of this Agreement.

 

(i)          Construction. This Agreement will not be construed more strictly against one party than against the other merely by virtue of the fact that the Agreement may have been prepared primarily by counsel for one of the parties, it being recognized that both Buyer and Seller have contributed substantially and materially to the preparation of this Agreement.

 

(j)          Signatures. A facsimile, scanned, or photocopy signature on this Agreement, any amendment hereto, any non-recorded Closing Document, or any notice delivered hereunder will have the same legal effect as an original signature.

 

(k)          Computation of Periods. If the final day of any period of time in any provision of this Agreement falls upon a day that is not a business day, then the time of such period will be extended to the next business day. Unless otherwise specified, in computing any period of time described in this Agreement, the day of the act or event after which the designated period of time begins to run is not to be included and the last day of the period is so computed is to be included. As used in this Agreement, the term "business day" means any day of the week other than a Saturday, a Sunday, or a holiday observed by federally insured banks in the state where the Land is located or by the United States Postal Service.

 

(l)          Captions or Headings; Interpretation. The captions or headings of the sections and subsections of this Agreement are for convenience only, and will not control or affect the meaning or construction of any of the terms or provisions of this Agreement. Wherever in this Agreement the singular number is used, the same will include the plural and vice versa and the masculine gender will include the feminine gender and vice versa as the context will require.

 

(m)          Amendments and Waivers. No change, alteration, amendment, modification, or waiver of any of the terms or provisions of this Agreement will be valid unless the same will be in writing and signed by Buyer and Seller.

 

[Signatures appear on next page(s).]

 

 

 

 

IN WITNESS WHEREOF, this Agreement has been executed as of the Effective Date.

 

  "SELLER"
     
     
  a(n)  
     
  By:  
  Name:  
  Title:  
     
  "BUYER"
   
  BuildingBits Properties I, LLC,
  A Delaware limited liability company
     
  By:  
  Name:  
  Title:  
     
  "BBRS"
   
  BuildingBits Real Estate Services, LLC,
  An Oregon limited liability company
     
  By:  
  Name:  
  Title:  

 

Attachments:  
   
Exhibit A: Legal Description of Property
Exhibit B: Broker Disclosures
Exhibit C: Form of Tenant Estoppel
Exhibit D: Form of Deed
Exhibit E: Form of Bill of Sale
Exhibit F: Form of Assignment Agreement
Schedule 7(a): Due Diligence Materials

 

 S-1 

 

  

EXHIBIT A

 

Legal Description:

 

[See attached page(s).]

 

 A-1 

 

 

EXHIBIT B

 

Broker Disclosures

 

[INSERT STATE SPECIFIC DISCLOSURES]

 

 B-1 

 

 

EXHIBIT C

 

Form of Tenant Estoppel

 

[Date]

 

BuildingBits Properties I, LLC

c/o BuildingBits Holdings, LLC

425 NW 10th Avenue, Suite 306

Portland, Oregon 97209

Attention: Alexander Aginsky, CEO

 

[Lender Address:]

 

______________________________________

______________________________________

______________________________________

______________________________________

Attention: _____________________________

 

Ladies and Gentlemen:

 

_________________________________ ("Tenant") acknowledges that (a) ________________________ ("Landlord") has entered into an agreement with BuildingBits Properties I, LLC ("Buyer") for the sale and purchase of the real property and improvements commonly known as _______________________ (the "Property"), (b) Landlord has requested Tenant to execute and deliver this Tenant Estoppel Certificate to Buyer and Buyer’s lender, who is providing financing with respect to the Property ("Lender"), and (c) Buyer, Lender, and their respective successors and assigns will rely upon the certifications by Tenant in this Tenant Estoppel Certificate in connection with the purchase and financing of the Property.

 

Tenant hereby certifies as follows:

 

1.          Tenant currently leases at the Property the premises commonly known as ____________________(the "Premises"), pursuant to the terms and conditions of that certain Lease Agreement (or comparably-titled document) dated as of _______________, between Landlord and Tenant, as amended by the following amendments or modifications: ______________________________________________________ (the "Lease"). Except for the Lease, there are no agreements (written or oral) or documents that are binding on Landlord in connection with the lease of the Premises. The Lease is valid, binding, and in full force and effect, and has not been modified or amended in any manner whatsoever except as described above.

 

2.          The term of the Lease commenced on __________________________, and including any presently exercised option or renewal term(s), ends on ______________________________, subject to any rights of Tenant to extend the term expressly set forth in the Lease. Tenant has no rights to extend the term of the Lease except to the extent expressly set forth in the Lease.

 

3.          Landlord has delivered possession of the Premises to Tenant, and Tenant has accepted possession of, and currently occupies, the Premises.

 

4.          The current monthly base rent payable under the Lease is $________________, and the current monthly payment payable under the Lease on account of taxes and operating expenses is $___________________. Tenant’s percentage share of operating expenses and real estate taxes is _____%. Rent and all other charges payable under the Lease on or before the date hereof have been paid. No amounts of monthly base rent payable under the Lease have been prepaid except through the end of the current calendar month, and no other charges payable under the Lease have been prepaid for any period, other than estimated payments of operating expenses and taxes. There are no applicable abatements on rent or other charges now or hereafter existing under the Lease.

 

 C-1 

 

 

5.          To Tenant’s knowledge, all reconciliations of actual taxes and operating expenses for calendar year _________ and all previous calendar years (the "Expenses") with payments made by Tenant therefor have been made and a report thereof delivered to Tenant.

 

6.          Tenant has no options, rights of offer, rights of refusal, or other rights to purchase all or any portion of the Property. Tenant has no options, rights of offer, rights of refusal, or other rights to expand the Premises or lease any other premises at the Property, except to the extent expressly set forth in the Lease.

 

7.          All obligations, if any, of Landlord under the terms of the Lease with respect to improvements or repairs to the Premises have been fully performed, and all allowances, reimbursements, or other obligations of Landlord for the payment of monies to or for the benefit of Tenant have been fully paid, all in accordance with the terms of the Lease.

 

8.          To Tenant’s knowledge, neither Landlord nor Tenant is in default in the performance of any covenant, agreement, or condition contained in the Lease, and no event has occurred and no condition exists which, with the giving of notice, or the lapse of time, or both, would constitute a default by any party under the Lease.

 

9.          Tenant is not the subject of any bankruptcy, insolvency, or similar proceeding in any federal, state, or other court or jurisdiction and no such proceeding is contemplated by Tenant.

 

10.         Tenant is in possession of the Premises and has not subleased any portion of the Premises or assigned or otherwise transferred any of its rights under the Lease.

 

11.         Tenant has deposited _____________________ Dollars ($________________) with Landlord as a security deposit under the Lease. Tenant has provided no other security to Landlord with respect to the Lease.

 

12.         Tenant will attorn to and recognize Buyer as the Landlord under the Lease and will pay all rents and other amounts due thereunder to Buyer upon notice to Tenant that Buyer has become the owner of Landlord’s interest in the Premises under the Lease.

 

13.         The individual executing this Tenant Estoppel Certificate has the authority to do so on behalf of Tenant ad to bind Tenant to the terms hereof.

 

14.         The term "Lender" as used herein includes any successor or assign of the named Lender; the term "Landlord" includes any successor or assign of the named Landlord; and the term "Buyer" includes any successor or assign of the named Buyer and any person who acquires title to the Property as a cotenant with the named Buyer or any affiliate of the named Buyer, and their successors and assigns.

 

  [Tenant Name:]  
       
       
       
  By:    
  Name:    
  Title:    

 

 C-2 

 

 

EXHIBIT D

 

Form of Deed

 

[See attached page(s).]

 

 D-1 

 

  

EXHIBIT E

 

Bill of Sale

 

A.           BuildingBits Properties I, LLC, as Buyer ("BuildingBits"), and ___________________________, a ______________________("Seller"), entered into that certain Platform Listing and Sale Agreement dated as of ________________________, 20___ (including all amendments thereto, the "Purchase Agreement") with respect to the acquisition of that certain real property, together with all improvements thereon, commonly known as ___________________________, located at ___________________________, as more particularly described in the Purchase Agreement (the "Property").

 

B.            BuildingBits assigned its rights under the Purchase Agreement to ______________________, a _______________ ("Buyer") pursuant to that certain Assignment of Purchase Agreement dated on or about the date hereof.

 

For good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, Seller does hereby sell, assign, transfer, and set over to Buyer the following personal property presently located on the Property:

 

All equipment, fixtures and other personal property owned by Seller and located at or attached to the Property and used in connection with the ownership, operation, and maintenance thereof, including without limitation all furniture, artwork, heating, lighting, air conditioning, ventilating, plumbing, electrical, or mechanical equipment and any personal property described on Schedule 1 attached hereto (collectively, the "Personal Property").

 

Seller does hereby covenant with Buyer that at the time of delivery of this Bill of Sale, the Personal Property is free from all encumbrances made by Seller and that Seller will warrant and defend the same against the lawful claims and demands of all persons claiming by, through, or under Seller, but against none other. SELLER HEREBY DISCLAIMS, AND BUYER HEREBY WAIVES ANY AND ALL WARRANTIES OF MERCHANTABILITY OR WARRANTIES OF FITNESS FOR A PARTICULAR PURPOSE WITH RESPECT TO THE PERSONAL PROPERTY BEING TRANSFERRED BY THIS INSTRUMENT.

 

Dated as of _______________________, 20___.

 

  SELLER:    
       
       
  a(n)    
       
  By:    
  Name:    
  Title:    

 

Attachments:  
   
Schedule 1: List of Personal Property

 

[Schedule intentionally omitted]

 

 E-1 

 

 

EXHIBIT F

 

Assignment Agreement

 

ASSIGNMENT AND ASSUMPTION AGREEMENT

 

This Assignment and Assumption Agreement (this "Agreement") is made and entered into as of ____________________, 20___ (the "Effective Date") by and between _________________________, a ______________________ ("Assignor"), and ________________________________, a _________________________ ("Assignee").

Background

 

A.           BuildingBits Properties I, LLC, as Buyer ("BuildingBits") and Assignor, as Seller, entered into that certain Platform Listing and Sale Agreement dated as of ________________________, 20___ (including all amendments thereto, the "Purchase Agreement") with respect to the acquisition of that certain real property, together with all improvements thereon, commonly known as _________________________, located at _________________________, as more particularly described in the Purchase Agreement (the "Property").

 

B.            BuildingBits assigned its rights under the Purchase Agreement to Assignee pursuant to that certain Assignment of Purchase Agreement dated on or about the date hereof.

 

Terms and Conditions

 

For good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, Assignor hereby sells, transfers, conveys, assigns, and sets over unto Assignee the following described property (collectively, the "Assigned Property"):

 

1.             All of Assignor’s right, title, and interest, as lessor, in and to all leases, licenses, cell tower or telecommunications agreements and other agreements (collectively, the "Leases") to occupy all or any portion of the Property, including without limitation the Leases listed on the attached Schedule 1, together with all rents due, or to become due under each such Lease on or after the date hereof and all guaranties by third parties of the tenants’ obligations thereunder, letters of credit or other security devices relating thereto; and

 

2.             All refundable lease security deposits under the Leases (to the extent sums are being paid to Assignee on the date hereof); and

 

3.             All of Assignor’s right, title, and interest in and to all those contracts, agreements, telecommunications agreements, guarantees, warranties, and indemnities, written or oral, affecting the ownership, operation, management, and/or maintenance of the Property listed on the attached Schedule 2 (collectively, the "Contracts"); and

 

4.             To the extent assignable without the payment of any fee or the occurrence of any obligation, or the execution of any documents (other than this Assignment and Assumption Agreement) that create liability or reserve against the Assignor, all of Assignor’s right, title, and interest in and to:

 

(a)          all licenses, franchises, occupancy and use certificates, permits, authorizations, consents, variances, waivers, approvals, and the like from any governmental or quasi-governmental entity or instrumentality affecting or relating to the ownership, operation, or maintenance of the Land or the Improvements (collectively, the "Licenses"); and

 

(b)          to the extent the same exist, (i) all plans, drawings, specifications, blueprints, studies or reports (including all environmental, architectural (including Americans with Disabilities Act compliance), engineering, structural, mechanical, roof, soils, seismic and geologic reports) and surveys relating in any way to the Property, (ii) maintenance records prepared by or on behalf of Assignor in connection with the ownership, operation, and/or maintenance of the Property, (ii) all logos, building and trade names, (iii) all transferable guaranties and warranties, if any, (iv) all advertising materials, development rights and other information and documentation in Assignor’s possession relating to the Property that do not contain Assignor’s name or are not deemed proprietary by Assignor, and (v) all other intangible rights, titles, interests and privileges owned by Assignor and relating to the Property (collectively, the "Intangibles").

 

 F-1 

 

 

Assignor does hereby covenant with Assignee that, at the time of delivery of this Assignment Agreement, the Leases, Contracts, Licenses, and Intangibles are free from all encumbrances made by Assignor and that Assignor will warrant and defend the same against the lawful claims and demands of all persons claiming by, through, or under Assignor, but against none other. Except as to the special warranty of title and any representation and warranty expressly set forth in the Purchase Agreement, the Assigned Property is conveyed "AS IS" as provided in the Purchase Agreement and Assignor makes no other warranty with respect thereto.

 

Assignor agrees to indemnify, defend and hold Assignee harmless from and against all liabilities, obligations, actions, suits, proceedings, or claims, and all costs and expenses (including without limitation reasonable attorney fees and costs) incurred in connection with the Leases, Contracts, Licenses, or Intangibles, or any of them, based upon or arising out of any breach or alleged breach of the Leases, Contracts, Licenses, or Intangibles, or any of them, by Assignor occurring or alleged to have occurred prior to the date hereof.

 

Dated as of _____________________, 20___.

 

  ASSIGNOR:    
       
       
  a    
       
  By:  
  Name:    
  Title:    

 

ACCEPTANCE

 

Assignee hereby accepts the foregoing assignment as of the date hereof and as of such date hereby assumes the performance of all the terms, covenants, and conditions of the Assigned Property, including without limitation the obligation to return the refundable lease security deposits under the Leases to the extent the same are received as a credit at Closing, with respect to the period from and after the date hereof.

 

Assignee agrees to indemnify, defend, and hold Assignor harmless from and against all liabilities, obligations, actions, suits, proceedings, or claims, and all costs and expenses (including without limitation reasonable attorney fees and costs) incurred in connection with the Leases, Contracts, Licenses, or Intangibles, or any of them, based upon or arising out of any breach or alleged breach of the Leases, Contracts, Licenses, or Intangibles, or any of them, occurring or alleged to have occurred on or after the date hereof.

 

Dated as of: _____________________, 20___.

 

  ASSIGNEE:  
     
  ___________________________, a ____________________
       
  By:                                
  Name:    
  Title:    

 

Attachments:  
   
Schedule 1: Rent Roll
Schedule 2: List of Contracts

 

[Schedules intentionally omitted]

 

 F-2 

 

 

SCHEDULE 7(a)

 

DUE DILIGENCE MATERIALS

 

Seller will make available to Buyer for Buyer’s inspection the following documents and materials to the extent the same exist and are in Seller’s possession or control:

 

PROPERTY

 

1. Preliminary Title Report with underlying documents

2. Historical Third Party Reports

a. Property Condition Assessment

b. Environmental Reports

c. Seismic/Structural Assessments

d. Mold Assessment

e. Zoning Report

f. ADA Surveys

g. Operation and Maintenance Programs

3. Certificates of Occupancy (building & tenants)

4. Licenses, Permits & Contracts

a. Elevator Permit/Inspection Certificates

b. Parking Management Agreement

c. Service Contracts (security, fire protection, alarm, elevators, HVACs, etc.)

5. ALTA Survey (existing)

6. Plans (site plan, floor plans, as-builts, stacking plan)

7. Warranties (roof and any serviceable warranties)

8. Restrictive Documents (ground lease, REAs, CC&Rs, development agreements, historical designations)

9. Litigation (current, pending & threatened)

10. Personal Property Inventory

11. Appraisal (most recent)

 

INCOME

 

12. Rent Roll (current)

13. Security Deposits/Credits Schedule

14. Operating Statements (prior three years and YTD)

15. General Ledger (current year)

16. Tenant Leases (including amendments and exhibits)

17. Lease Abstracts

18. Leases/Negotiations in Process

19. Tenant Contact Information

20. Percentage Rent/Tenant Sales (prior three years and YTD) (if applicable)

21. Delinquency Report (prior three years and YTD)

22. Occupancy Report (prior three years and YTD)

23. Parking Allocation Income Report (if applicable)

 

EXPENSE

 

24. Operating Budget (prior three years, current and variance report)

25. Capital Expenses (prior three years, current and schedule of expenditures)

26. Tenant Improvements (prior three years and YTD)

27. CAM Reconciliation with tenant detail (prior three years and YTD)

28. Leasing Commissions (prior three years and YTD)

29. Real Estate Tax Bills (prior three years and YTD)

30. Utility Bills (for the last year)

31. Loan Documents

 

Schedule 7(a)

 

EX1A-6 MAT CTRCT 12 tv493263_ex6-14.htm EXHIBIT 6.1.4

 

Exhibit 6.1.4

 

BUILDINGBITS PURCHASE AND SALE AGREEMENT

 

This BuildingBits Purchase and Sale Agreement (this "Agreement") is made and entered into as of April 27th, 2018 (the "Effective Date") by D3 Shenandoah, LLC, and/or assigns ("Seller"), BuildingBits Real Estate Services, LLC, an Oregon limited liability company ("BBRS"), and Building Bits Properties I, LLC, a Delaware limited liability company ("Buyer").

 

Background

 

A.           Seller is the owner of certain real property legally described on the attached Exhibit A (the "Land") and all buildings, fixtures, and other improvements situated on the Land (collectively, the "Improvements"), commonly known as a free standing Sleep Number Store, located at 18440 Interstate 45 S, Shenandoah, TX 77384

 

B.           Seller desires to sell to Buyer, and Buyer desires to purchase from Seller, the Land and the Improvements, together with all of the other property and interests of Seller described in Section 1 below, subject to and on the terms and conditions contained in this Agreement.

 

Terms and Conditions

 

NOW, THEREFORE, in consideration of the mutual covenants and agreements contained in this Agreement, and for other good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, Seller, BBRS and Buyer agree as follows:

 

1.          Agreement of Purchase and Sale. Seller agrees to sell, and Buyer agrees to buy, subject to and on the terms and conditions contained herein, the Land and the Improvements, together with all of Seller’s right, title, and interest in and to:

 

(a)          Appurtenant Rights. (i) All rights of way, tenements, hereditaments, easements, interests, minerals and mineral rights, water and water rights, utility capacity, and appurtenances, if any, in any way belonging or appertaining to the Land and the Improvements, and (ii) all adjoining streets, alleys, roads, parking areas, curbs, curb cuts, sidewalks, landscaping, signage, sewers, and public ways (collectively, the "Appurtenant Rights");

 

(b)          Personal Property. All equipment, fixtures and other personal property owned by Seller and located at, or attached to, the Improvements and used in connection with the ownership, operation, and/or maintenance of the Land or the Improvements, including, without limitation, all furniture, artwork, and heating, lighting, air conditioning, ventilating, plumbing, electrical, or other mechanical equipment (collectively, the "Personal Property");

 

(c)          Lease. That certain lease dated April 10, 2017 by and between D3 Shenandoah, LLC (“Landlord”) and Select Comfort Retail Corporation D/B/A Sleep Number (“Tenant”) for Premises located at I-45 Frontage Road, Shenandoah, Texas listed on the Rent Roll to be delivered to Buyer pursuant to Section 7(a) below (the "Rent Roll"), together with (i) all modifications, extensions, amendments, and guarantees, letters of credit or other security devices relating thereto and (ii) such other leases of the Improvements as may be made prior to Closing (as defined below) in accordance with the terms of this Agreement (collectively, the "Lease");

 

(d)          Contracts. To the extent assignable, and subject to Buyer’s agreement or obligation to accept an assignment thereof pursuant to the terms of Section 7(d) below, all contracts, agreements, guarantees, warranties, and indemnities, if any, affecting the ownership, operation, management, and/or maintenance of the Land, Improvements, Appurtenant Rights, Personal Property, and Leases (collectively, the "Contracts");

 

(e)          Licenses. To the extent assignable, all licenses, franchises, occupancy and use certificates, permits, authorizations, consents, variances, waivers, approvals, and the like from any governmental or quasi-governmental entity or instrumentality affecting or relating to the ownership, operation, or maintenance of the Land or the Improvements (collectively, the "Licenses"); and

 

 1 

 

 

(f)          Intangibles. To the extent the same exist and are assignable, (i) all plans, drawings, specifications, blueprints, studies or reports (including all environmental, architectural (including Americans with Disabilities Act compliance), engineering, structural, mechanical, roof, soils, seismic and geologic reports) and surveys relating in any way to the Property (as defined below), (ii) maintenance records prepared by or on behalf of Seller in connection with the ownership, operation, and/or maintenance of the Property, (ii) all logos, building and trade names, (iii) all transferable guaranties and warranties, if any, (iv) all advertising materials, development rights and other information and documentation in Seller’s possession relating to the Property that do not contain Seller’s name or are not deemed proprietary by Seller, and (v) all other intangible rights, titles, interests and privileges owned by Seller and relating to the Property (collectively, the "Intangibles").

 

The Land, Improvements and Appurtenant Rights are collectively referred to as the "Real Property," and the Real Property, Personal Property, Leases, Contracts, Licenses, Intangibles, and all other property rights pertaining thereto are collectively referred to as the "Property."

 

2.          Platform Listing; Agency Acknowledgement and Disclosure; BBRS Commission.

 

(a)          Platform Listing. Within Thirty (30) days after Buyer's receipt of the Due Diligence Materials (as defined below) pursuant to Section 7(a) below, BBRS and Buyer will list the Property on the BuildingBits Platform, which is a crowdfunding based marketplace (the "Platform") that BBRS, Buyer and their affiliates will use to raise some or all of the equity required to purchase the Property from third-party investors ("BuildingBits Investors"). Seller, at no cost, expense or liability (actual or contingent) to Seller, shall reasonably cooperate with BBRS in all respects in connection with listing the Property on the Platform, which may include cooperating with, and granting full access to the Property to, any third-party vendor retained by BBRS to create marketing photography or video footage of the Property. Seller authorizes BBRS and Buyer to make any and all information, data, and documents relating to the Property (including without limitation the Due Diligence Materials furnished pursuant to the terms and provisions of Section 7(a)) obtained by Buyer from Seller or any other party or discovered by Buyer during the term of this Agreement available on the Platform for review and analysis by BuildingBits Investors. BBRS and Buyer have no duty to maintain or ensure the confidentiality of the Due Diligence Materials or any other information, data or documents relating to the Property made available on the Platform; provided, however, each investor will sign a Non-disclosure Agreement prior to receiving access to any confidential Due Diligence Materials (including the Lease). BBRS and Buyer will have no liability to Seller if for any reason any of the Due Diligence Materials or any other information, data or documents relating to the Property become widely disseminated or publicly available.

 

(b)          Statement of Consideration. Seller acknowledges and agrees that Seller will derive a direct or indirect benefit from the Property being listed on the Platform and that the agreement of Buyer and BBRS to list the Property on the Platform constitutes sufficient consideration for the rights and options extended to Buyer under this Agreement, including, without limitation, the right to terminate this Agreement as provided herein.

  

(c)          Agency Acknowledgement and Disclosures. Buyer and Seller hereby acknowledge and consent to following agency relationships in connection with the transactions contemplated by this Agreement:

 

(i)          Seller has been represented by Bryan Belk – Franklin Street ("Seller's Broker") in connection with the transactions contemplated by this Agreement.

 

(ii)         Buyer has been represented by BBRS in connection with the transactions contemplated by this Agreement. Seller acknowledges that (1) BBRS is a licensed real estate broker in the state where the Property is located or has affiliated with a third-party licensed real estate broker in the state where the Property is located; (2) BBRS is an affiliate of Buyer; and (3) BBRS has and will exclusively represent Buyer in connection with the transactions contemplated by this Agreement.

 

(iii)        Buyer and Seller acknowledge having received and having reviewed the disclosures set forth in attached Exhibit B.

 

 2 

 

 

Initials of Seller:   Initials of Buyer:
     
_____________   _____________

 

(d)          Commission. Seller agrees to pay a commission to BBRS in the amount of one percent (1%) of the Purchase Price (the "BBRS Commission"). Seller shall cause the Escrow Agent (as defined below) to deliver the BBRS Commission to BBRS on the Closing Date (as defined below) or upon the termination of this Agreement pursuant to Section 16(a) based on Seller's breach of this Agreement.

 

(e)          Indemnity. Each party agrees to indemnify, defend, and hold harmless the other party, its successors, assigns, and agents, from and against the payment of any commission, compensation, loss, damages, costs, and expenses (including without limitation attorney fees and costs) incurred in connection with, or arising out of, claims for any broker’s, agent’s, or finder’s fees of any person claiming by or through such party, other than Seller's Broker or BBRS which shall be compensated as provided above. The obligations of Seller and Buyer under this Section 2 will survive the Closing and the termination of this Agreement.

 

3.          Purchase Price and Earnest Money. The purchase price for the Property (the "Purchase Price") will be three million seven hundred thousand dollars ($3,700,000). The Purchase Price, plus or minus prorations, adjustments and credits provided for in this Agreement, will be paid in cash or cash equivalent to Seller at Closing.

 

(a)          Earnest Money. Buyer will deposit with First American Title Insurance Company of South Carolina (the "Escrow Agent") cash or certified funds, as earnest money deposits, in the following amounts (collectively, the "Earnest Money"):

 

(i)          Provided this Agreement has not been previously terminated in accordance with its terms, within three (3) business days after completion of the Audit (as defined below) and the Qualification (as defined below) Buyer will deposit Five Thousand Dollars ($5,000) (the "Initial Deposit") with Escrow Agent. From and after the date of deposit, the Initial Deposit will be part of the Earnest Money for all purposes of this Agreement.

 

(ii)         Provided this Agreement has not been previously terminated in accordance with its terms, within three (3) business days after Funding Milestone #1 (as defined below) is met Buyer will deposit an additional Five Thousand Dollars ($5,000) (the "First Additional Deposit") with Escrow Agent. From and after the date of deposit, the Second Additional Deposit will be part of the Earnest Money for all purposes of this Agreement.

 

(iii)        Provided this Agreement has not been previously terminated in accordance with its terms, within three (3) business days after Funding Milestone #2 (as defined below) is met Buyer will deposit an additional Five Thousand Dollars ($5,000) (the "Second Additional Deposit") with Escrow Agent. From and after the date of deposit, the Second Additional Deposit will be part of the Earnest Money for all purposes of this Agreement.

 

At Closing (as defined below), Buyer will receive a credit against the Purchase Price in the amount of the Earnest Money. Provided this Agreement has not been previously terminated in accordance with its terms, the Earnest Money shall become nonrefundable on the date (the "Nonrefundable Date") that Buyer has obtained satisfactory commitments on the Platform from BuildingBits Investors of an amount equal to seventy-five percent (75%) of the Funding Goal (as defined below), except as otherwise expressly provided in this Agreement. Notwithstanding anything in this Agreement to the contrary, at any time prior to the Nonrefundable Date, Buyer may elect in its sole discretion to terminate this Agreement due to the actual or anticipated failure to obtain satisfactory commitments on the Platform from BuildingBits Investors of an amount equal to seventy-five percent (75%) of the Funding Goal by delivering written notice thereof to Seller, in which case this Agreement will terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

(b)          Remainder of Purchase Price. The remainder of the Purchase Price, plus or minus prorations, adjustments and credits provided for in this Agreement, will be paid in cash or cash equivalent to Seller at Closing.

 

 3 

 

 

4.          Closing. Subject to the terms and conditions of this Agreement, the closing of the transaction contemplated by this Agreement (the "Closing") will take place on or before the date (the "Closing Date") that is forty-five (45) days after the later to occur of: (a) the delivery date of the Contingency Approval Notice (as defined below); or (b) the expiration of the Funding Milestone #2 Period (as defined below). The Closing will occur through the Escrow (as defined below). No party shall be required to be present at the Closing.

 

5.          Escrow. This transaction will be closed through an escrow (the "Escrow") established with Fidelity National Title Insurance Company, National Services, Attention: Andrew McGarry, 5565 Glenridge Connector, Suite 300, Atlanta, Georgia 30342 (the "Escrow Agent") in accordance with this Agreement. Upon creation of the Escrow, anything herein to the contrary notwithstanding, the transfer and conveyance of the Property, the payment of funds, and the delivery of the Escrow Closing Documents (as defined below) and other documents required to close the transaction contemplated by this Agreement will be made through the Escrow. The Closing will take place so that the Title Company’s commitment to issue the Title Policy (as defined below) will be delivered to Buyer, and Seller will receive the net sale proceeds, on the Closing Date.

 

6.          Conveyance and Title Matters.

 

(a)          Title Objections. Seller shall request Escrow Agent to cause to be delivered to Buyer a preliminary title report (the "Preliminary Report") from a title company affiliated with the Escrow Agent (the "Title Company"), showing the status of Seller’s title to the Property, together with complete and legible copies of all documents shown therein as exceptions to title ("Exceptions"). Buyer shall have until the date that is five (5) days after the Title Company delivers the Preliminary Report and Exceptions to Buyer within which to give notice in writing to Seller of any objection to such title or to any liens or encumbrances affecting the Property. Within five (5) days after receipt of such notice from Buyer, Seller shall give Buyer written notice of whether it is willing and able to remove the objected-to Exceptions. Without the need for objection by Buyer, Seller shall, with respect to liens and encumbrances that can be satisfied and released by the payment of money, eliminate such exceptions to title on or before Closing. Within five (5) days after receipt of such notice from Seller (the "Title Contingency Date"), Buyer shall elect whether to: (i) purchase the Property subject to those objected-to Exceptions which Seller is not willing or able to remove; or (ii) terminate this Agreement. If Buyer fails to give Seller notice of Buyer’s election, then such inaction shall be deemed to be Buyer’s election to terminate this Agreement. On or before the Closing Date (defined below), Seller shall remove all Exceptions to which Buyer objects and which Seller agrees, or is deemed to have agreed, Seller is willing and able to remove. All remaining Exceptions set forth in the Preliminary Report and those Exceptions caused by or agreed to by Buyer shall be deemed "Permitted Exceptions."

 

(b)          New Exceptions. In the event that (i) subsequent to the delivery to Buyer of the Preliminary Report, the Title Company issues an update to the Preliminary Report that shows an exception to title not previously listed (a "New Exception"), Buyer shall have five (5) business days following receipt of such update to the Preliminary Report and the underlying documents to object in writing (the "Buyer’s New Exception Notice") to such New Exception. Buyer’s failure to approve or disapprove any New Exception within the period described in the initial sentence of this Section 6(b) shall be deemed disapproval thereof. If Buyer timely disapproves, or is deemed to have disapproved, any New Exception, then Seller may, but shall not be obligated to, correct such New Exceptions specified in such notice at or prior to the Closing Date; provided, however, if Seller is able and willing to eliminate or cure all of such New Exceptions which Buyer has disapproved, Seller shall notify Buyer in writing within five (5) days of Seller’s receipt of Buyer’s New Exception Notice or deemed disapproval ("Seller’s New Exception Notice Period") that Seller intends to eliminate or cure (said notice hereinafter called "Seller’s New Exception Notice") and in which case the elimination or curing by Seller of the New Exception(s) specified by Seller for cure or elimination in Seller’s New Exception Notice shall be completed on or before the Closing Date. If Seller does not deliver Seller’s New Exception Notice to Buyer within Seller’s New Exception Notice Period, Buyer is deemed to be notified that Seller is unable or unwilling to eliminate or cure the disapproved New Exception(s). If Seller (i) does not timely deliver Seller’s New Exception Notice, or (ii) notifies or is deemed to have notified Buyer that Seller is unable or unwilling to cure any disapproved New Exception(s), then, unless Buyer waives, in writing, those disapproved New Exception(s) for which Seller has elected or is deemed to have elected to not cure within five (5) days following Seller’s New Exception Notice Period, this Agreement shall terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties hereto shall have no further rights or obligations, other than those that by their terms survive the termination of this Agreement. If necessary, the Closing Date shall be extended to the third (3rd) business day following the running of the time limits stated in this Section 6(b).

 

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7.          Conditions to Closing.

 

(a)          Due Diligence Materials. Within three (3) days following the Effective Date, and to the extent Seller has not already done so, Seller will provide Buyer with copies of the following documents to the extent in the possession or control of Seller:

 

(i)          The Rent Roll

 

(ii)         The Title Report and a copy of Seller’s existing survey of the Property.

 

(iii)        This section intentionally deleted.

 

(iv)        All certificates of occupancy, floor plans, "as built" or working drawings, site plans, specifications, and the most recent title policy relating to the Property.

 

(v)         The Lease, subject to the confidentiality provisions in Section 40 thereof).

 

(vi)        The Contracts and Licenses.

 

(vii)       This section intentionally deleted.

 

In addition, Seller will make available to Buyer for inspection and copying at either Seller’s office or at the office of the Property those materials listed on the attached Schedule 7(a), to the extent not already mentioned above and to the extent such materials exist and are in Seller’s possession or control. The foregoing documents are collectively referred to herein as the "Due Diligence Materials."

 

(b)          Platform Funding Milestones. Seller acknowledges that Buyer intends to raise some or all of the equity required to acquire Property from BuildingBits Investors by listing the Property on the Platform in accordance with Section 2(a). Seller further acknowledges that Seller will have the right to access the Platform and will have the ability to monitor the status of the milestones contemplated in this Section 7(b). Moreover, Buyer and BBRS agree from time to time, following receipt of written request from Seller, to provide Seller with a status report concerning the status of the milestones contemplated in this Section 7(b). Buyer's obligation to purchase the Property shall be subject to the timely satisfaction of the following conditions:

 

(i)          Qualification. Buyer shall have an initial period of thirty (30) calendar days (the "Qualification Period") for Buyer to engage, at Buyer’s cost, a third party CPA firm to prepare audited financial statements for the subject property ("Audit") and undertake the process of qualifying the asset as part of an SEC Regulation A+ offering ("Qualification") of the Property, to the extent necessary or desirable. If both the Audit and the Qualification are not completed within the initial Qualification Period, then the Qualification Period will be automatically extended for an additional thirty (30) calendar days. If both the Audit and the Qualification are not completed within the Qualification Period, as extended, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the Qualification Period, as extended, in which case this Agreement will terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). At any time within the Qualification Period, as it may be extended, Buyer may elect in its sole discretion to terminate this Agreement due to the actual or anticipated failure to complete the Audit and the Qualification by delivering written notice thereof to Seller, in which case this Agreement will terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

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(ii)         Funding Milestone #1. Provided this Agreement has not been previously terminated in accordance with its terms, Buyer shall have an initial period of thirty (30) calendar days (the "Funding Milestone #1 Period") from the expiration of the Qualification Period to obtain satisfactory commitments on the Platform from BuildingBits Investors of an amount ("Funding Milestone #1") equal to six percent (6%) of one million three hundred thousand dollars ($1,300,000) (the "Funding Goal"). If Funding Milestone #1 is not met by the expiration of the initial Funding Milestone #1 Period, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the initial Funding Milestone #1 Period, in which case this Agreement will terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). In the event that Seller does not timely exercise the foregoing termination right, then the Funding Milestone #1 Period will be automatically extended for an additional thirty (30) calendar days. If Funding Milestone #1 is not met by the expiration of the Funding Milestone #1 Period, as extended, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the Funding Milestone #1 Period, as extended, in which case this Agreement will terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). At any time within the Funding Milestone #1 Period, as it may be extended, Buyer may elect in its sole discretion to terminate this Agreement due to the actual or anticipated failure to meet Funding Milestone #1 by delivering written notice thereof to Seller, in which case this Agreement will terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

(iii)        Funding Milestone #2. Provided this Agreement has not been previously terminated in accordance with its terms, Buyer shall have an initial period of thirty (30) calendar days (the "Funding Milestone #2 Period") which shall commence the day following Funding Milestone #1 was met to obtain satisfactory commitments on the Platform from BuildingBits Investors of an amount ("Funding Milestone #2") equal to thirty-five percent (35%) of the Funding Goal. If Funding Milestone #2 is not met by the expiration of the initial Funding Milestone #2 Period, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the initial Funding Milestone #2 Period, in which case this Agreement will terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). In the event that Seller does not timely exercise the foregoing termination right, then the Funding Milestone #2 Period will be automatically extended for an additional thirty (30) calendar days. If Funding Milestone #2 is not met by the expiration of the Funding Milestone #2 Period, as extended, then Seller may terminate this Agreement by delivering written notice thereof to Buyer within two (2) business days after the expiration of the Funding Milestone #2 Period, as extended, in which case this Agreement will terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement). At any time within the Funding Milestone #2 Period, as it may be extended, Buyer may elect in its sole discretion to terminate this Agreement due to the actual or anticipated failure to meet Funding Milestone #2 by delivering written notice thereof to Seller, in which case this Agreement will terminate, the Escrow Agent shall promptly return any Earnest Money on deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

(c)          Buyer’s Inspection Condition.

 

(i)          Duration; Scope of Inspections. Buyer (and Buyer’s representatives, agents and consultants), will have a period commencing on the Effective Date and ending upon the expiration of the Funding Milestone #2 Period (the "Inspection Period"), to inspect the Property. Buyer may continue with such inspections after the Inspection Period if Buyer has delivered its Approval Notice (as defined below). Without limiting the generality of the foregoing, but subject to the terms of this Section 7(c), (1) except as provided below, Seller will permit Buyer to examine, at all reasonable times, all books and records (including without limitation financial and operating statements) in Seller’s possession or control relating to the Property, (2) Buyer will have the right to (A) inspect the Land, Improvements, Appurtenant Rights, and Personal Property, (B) review the Leases, Contracts, Licenses, Intangibles and all Due Diligence Materials, (C) discuss the Property with, and obtain additional information from, tenants and any property manager, and (D) conduct geophysical feasibility tests of the Property and an environmental audit or audits of the Property (with copies of the reports relating to such audits delivered to Seller when completed), including sampling, and (3) Buyer will be given complete access to the Property for the purpose of making such tests, inspections, and investigations.

 

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(ii)         Conduct of Inspections. Buyer, in the conduct of its due diligence investigation of the Real Property or otherwise, will not interfere with or hinder the operation of the Real Property or the tenants or occupants thereof. Seller will provide Buyer and Buyer’s representatives, agents and consultants with reasonable access to the Real Property between 9:00 a.m. and 5:00 p.m. on weekdays, subject to the rights of the Real Property tenants or occupants and provided that: (A) Buyer will notify Seller or one of Seller’s agents not less than one (1) business day in advance of entering the Real Property; (B) neither Buyer nor its representatives, agents or consultants will communicate directly with any tenant of the Real Property without the accompaniment by Seller, Seller’s manager or Seller’s agents for the Real Property if requested by Seller; (C) Buyer and its representatives, agents and consultants will keep the Real Property free and clear of any mechanic’s or materialmen’s liens arising out of any such entry, will promptly restore any damage caused by them, will perform all investigations in a safe and professional manner, will not allow any dangerous or hazardous conditions, and will comply with all applicable laws and governmental regulations; (D) Seller or any of its representatives or agents may accompany Buyer and any of its representatives and agents during their visit to the Real Property; (E) Buyer will not perform or authorize any invasive testing of the Real Property without Seller’s prior written consent, which shall not be unreasonably withheld or delayed; and (F) prior to entry upon the Real Property, Buyer will deliver to Seller evidence of such party’s liability insurance coverage by an insurer reasonably acceptable to Seller and with combined single limits of not less than One Million Dollars ($1,000,000) per occurrence. All such tests, investigations, and studies will be at Buyer’s sole cost and expense.

 

(iii)        Indemnification For Inspection Activities. In the event of any damage to the Property caused by Buyer, its agents, engineers, employees, contractors, or surveyors (including without limitation pavement, landscaping, and surface damage), Buyer will pay the reasonable cost incurred by Seller to restore the Property to the condition existing prior to the performance of such tests, investigations, or studies. Buyer will defend, indemnify, and hold Seller harmless from any and all damage, liability, cost, and expense (including without limitation reasonable attorney fees, court costs, and costs of appeal) suffered or incurred by Seller for injury to persons or property caused by Buyer, its agents, engineers, employees, contractors or surveyors or by Buyer’s investigations, tests, studies, and/or inspections of the Property (provided that the foregoing indemnification shall not apply to the discovery of pre-existing conditions at the Property as a result of Buyer’s investigations). The obligations of Buyer under this subparagraph will survive termination of this Agreement.

 

(iv)        Buyer’s Approval of Property. In addition to conducting inspections, Buyer may conduct and complete such analyses, evaluations, tests, and investigations of the Property as Buyer may determine in its sole discretion. If, in the sole discretion and at the sole election of Buyer, any of Buyer’s evaluations, tests, inspections, or investigations are unsatisfactory to Buyer, in any manner or for any reason (or for no reason whatsoever) in Buyer’s sole discretion, including without limitation for reasons relating to Buyer’s financial analysis of the Property for Buyer’s intended use or any purpose, restrictions on use of the Property, matters relating to zoning, government approvals, appraised value, or other matters impacting the condition or value of the Property, Buyer may terminate this Agreement. If Buyer notifies Seller, in writing, on or before 5:00 p.m. Pacific time on the last business day of the Inspection Period (the "Contingency Removal Date") of Buyer’s approval of the Property in all respects and Buyer’s election to proceed under this Agreement ("Contingency Approval Notice"), then this Agreement will remain in full force and effect. If Buyer fails to deliver its Contingency Approval Notice on or before the Contingency Removal Date, this Agreement will terminate, the Earnest Money will be delivered to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

(d)          Seller’s Termination of Contracts Not Assumed by Buyer Prior to Closing, Buyer shall provide Seller with written notice of those Contracts Buyer elects to assume at Closing (the "Assumed Contracts"). Seller will be responsible for terminating all of the Contracts that Buyer does not elect to assume, at or prior to Closing.

 

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(e)          Buyer Financing. The obligation of Buyer to close the transaction contemplated by this Agreement is contingent upon the closing of a mortgage loan secured by the Property from Buyer's lender of choice on terms satisfactory to Buyer in Buyer's sole and absolute discretion (the "Buyer Financing"). Without limiting the foregoing, so long as this Agreement remains in effect, Buyer, at its expense, shall use commercially reasonable efforts to obtain a commitment for the Buyer Financing and to satisfy the closing conditions of the Buyer Financing applicable to Buyer. Buyer shall be responsible for any costs, fees or expenses arising out of the Buyer Financing. Buyer may terminate this Agreement at any time prior to the Closing Date due to the actual or anticipated failure to close the Buyer Financing by delivering written notice thereof to Seller, in which case this Agreement will terminate, the Escrow Agent will return any Earnest Money on Deposit with Escrow Agent to Buyer, and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive termination of this Agreement).

 

(f)          Delivery of Tenant Estoppel Certificates to Buyer. Seller will present to all tenants and will use commercially reasonable efforts to deliver to Buyer, not less than five (5) business days prior to the Closing Date, an estoppel letter from the Tenant of the Property in the form of attached Exhibit C or in such other form as may be reasonably acceptable to Buyer and Buyer’s lender (the "Tenant Estoppel Certificates"), each certified to Buyer and Buyer’s lender. It is an express condition of Buyer’s obligations under this Agreement that Seller shall deliver Tenant Estoppel Certificates, dated no more than thirty (30) days prior to Closing from Tenant with such Tenant Estoppel Certificate containing no material adverse facts or qualifications (the "Estoppel Minimum"). Seller’s failure to deliver the Estoppel Minimum will in no instance constitute a default by Seller under this Agreement, and in the event of such failure Buyer’s sole right will be either to terminate this Agreement or to waive the requirement for such estoppel letter (to the extent not provided) and proceed with Closing.

 

(g)          Delivery of SNDAs to Buyer. Seller also agrees to present to Tenant for consideration and execution, and use commercially reasonable efforts to obtain, Buyer’s lender’s requested form of subordination, non-disturbance, and attornment agreement ("SNDA"). It is an express condition of Buyer’s obligations under this Agreement that Seller shall deliver an SNDA from Tenant. Seller’s failure to deliver the SNDA will in no instance constitute a default by Seller under this Agreement, and in the event of such failure Buyer’s sole right will be either to terminate this Agreement or to waive the requirement for such SNDA and proceed with Closing.

 

(h)          Further Conditions of Buyer’s Obligations. The obligation of Buyer to close the transaction contemplated by this Agreement is further subject to the conditions that (i) all of the representations and warranties of Seller contained in this Agreement are true and correct, in all material respects, at the Effective Date and as of the Closing Date, and (ii) all of the obligations and duties of Seller to be performed hereunder on or before the Closing Date shall have been completed in a timely manner and performed in all material respects.

 

(i)          Conditions of Seller’s Obligations. The obligation of Seller to close the transaction contemplated by this Agreement is subject to the conditions that (i) all of the representations and warranties of Buyer contained in this Agreement are true and correct, in all material respects, at the Effective Date and as of the Closing Date, and (ii) all of the obligations and duties of Buyer to be performed hereunder on or before the Closing Date shall have been completed in a timely manner and performed in all material respects.

 

(j)          Failure of Condition. If any of the conditions in paragraphs (a) – (g) above is not timely satisfied, for a reason other than the default of Seller under this Agreement, then Buyer may, at Buyer’s option, either (i) waive such condition in writing delivered to Seller or (ii) terminate this Agreement by notice to Seller, in which case (A) the Escrow and the rights and obligations of Buyer and Seller shall terminate, except as otherwise expressly provided herein; (B) Escrow Agent is hereby instructed to promptly return to Seller and Buyer all funds, together with any accrued interest on such funds, and documents deposited by them, respectively, into Escrow which are held by Escrow Agent on the date of said termination; and (C) the cancellation charges required to be paid by and to Escrow Agent and the Title Company shall be borne one-half (1/2) by Seller and one-half (1/2) by Buyer and all other charges shall be borne by the party incurring same.

 

8.          Representations and Warranties. To induce Buyer to execute and perform this Agreement, Seller makes the following representations and warranties to Buyer, as of the Effective Date and again as of the Closing Date:

 

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(a)          Seller has full power and lawful authority to enter into and carry out the terms and provisions of this Agreement and to execute and deliver all documents which are contemplated by this Agreement.

 

(b)          There are no parties in possession and no leases or occupancy agreements affecting all or any part of the Property, except as disclosed in the Rent Roll, and there are no written or oral promises, understandings, agreements or other commitments between Seller and any tenant or other person affecting the Property, that will be in force or effect on and after the Closing Date, except as disclosed in the Due Diligence Materials.

 

(c)          To the best of Seller's knowledge, the Due Diligence Materials and all other documents related to the Property provided or to be provided to Buyer pursuant to the terms of this Agreement are true, accurate and complete copies or originals.

 

(d)          Seller has received no written notice of and has no knowledge that eminent domain or other legal proceedings affecting the Real Property are pending or threatened.

 

(e)          Seller is not a "foreign person" within the meaning of Section 1445(f)(3) of the Internal Revenue Code.

 

(f)          Seller has not received any notice of any violation of any applicable law (including any environmental law), code, rule, regulation, ordinance, requirement, covenant, condition or restriction relating to the condition or present use or occupancy of the Property by any person, authority or agency having jurisdiction.

 

(g)          To the best of Seller's knowledge, neither Seller nor any prior owner or operator of the Property has used, generated, manufactured, stored or disposed of any hazardous materials in violation of any environmental law in, at, on, under or about the Property or any portion thereof, or transported any hazardous materials in violation of any environmental law to or from the Property.

 

(h)          To the best of Seller's knowledge, there are no concealed material defects with respect to the physical condition of the Property.

 

(i)          There are no suits or claims pending or, to the best of Seller’s knowledge, threatened with respect to or in any manner affecting the Property or Seller.

 

(j)          No person has any option, right of first refusal or other right to purchase the Property or any part thereof or interest therein.

 

(k)          To the best of Seller's knowledge, the Property is an independent legal lot of record and a separate tax lot, and the Property has lawful pedestrian and vehicular access to and from public rights-of-way.

 

(l)          Seller has entered into no brokerage or leasing commission agreements with respect to the Property, where a commission or fee has been earned but not fully paid or which will remain in effect after Closing.

 

(m)          There are no claims or bills for labor performed on and/or materials furnished to the Property other than those disclosed in the Due Diligence Materials.

 

9.          Seller’s Covenants. From and after the Effective Date through the Closing Date, Seller and Seller’s agents will, at Seller’s expense:

 

(a)          Maintain the Property in the condition in which it existed as of the Effective Date, normal wear and tear excepted, free from mechanics’ liens, and operate the Property in a manner consistent with current practice, and perform all of Sellers’s obligations under the Leases, Contracts, and Licenses;

 

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(b)          Keep in existence all fire, extended coverage, business interruption, rent loss, or similar insurance policies, and all public liability insurance policies, that are in existence as of the Effective Date with respect to the Property;

 

(c)          Not (i) amend, waive any rights under, terminate, or extend any Lease, Contract, or License, (ii) apply any security or other deposits held under any Lease, Contract, or License to delinquent rents, or (iii) enter into new leases, contracts, or licenses without Buyer’s prior written consent, which consent will not be unreasonably withheld prior to the Contingency Removal Date and which consent may be withheld at Buyer’s sole discretion after the Contingency Removal Date;

 

(d)          Not (i) market the Property; (ii) sell, offer to sell, or negotiate to sell the Property to any party other than Buyer; or (iii) take any action to solicit, initiate, or encourage the submission of a back-up offer for the Property.

 

(e)          Promptly advise Buyer in writing of any changes in circumstances that would render the representations and warranties made by Seller in this Agreement false or misleading in any material respect; and

 

(f)          Give appropriate notices of termination of those Contracts not assumed by Buyer, as provided for in Section 8(d) above, so that each non-assumed Contract will be terminated within thirty (30) days of the Closing Date.

 

10.        Survival.

 

(a)          Survival of Representations. All the representations, warranties, and covenants of Seller and Buyer contained in this Agreement or in any of the Escrow Closing Documents (as defined below) are material, none will merge into the Deed, and all will survive the Closing Date or termination of this Agreement for a period of eighteen (18) months (the "Survival Period"). All rights of Buyer hereunder or under any of the Escrow Closing Documents, with respect to any surviving representation, warranty, covenant, or indemnity will be deemed waived if Buyer does not, by written notice to Seller, advise Seller of any alleged breach of representation, warranty, or covenant, or any alleged indemnification obligation, prior to the expiration of the Survival Period. Subject to the limitation set forth in the immediately preceding sentence, all remedies will be those set forth in Section 16 below. The provisions of this Section 10 will survive Closing.

 

(b)          Survival of Provisions.

 

(i)          Buyer’s Acceptance of Deed. Acceptance by Buyer of the Deed at Closing will constitute an acknowledgment by Buyer of full performance by Seller of all of Seller’s obligations under this Agreement, subject to the obligations of Seller that are expressly provided in this Agreement to survive Closing.

 

(ii)         Survival of Buyer’s Obligations. Any of Buyer’s obligations under this Agreement that are expressly provided in this Agreement to survive Closing or that imply or contemplate performance or observance after the Closing Date will survive Closing.

 

(c)          Survival of this Section. The provisions of this Section 10 will survive Closing.

 

11.        Deliveries at Closing.

 

(a)        Conveyance Documents. On the Closing Date, Seller will transfer and convey title to the Property to Buyer free and clear of all liens and encumbrances, other than real and personal property taxes not yet due and payable, and the Permitted Exceptions, by:

 

(i)          Delivering a recordable special Warranty deed executed by Seller, in the form of the attached Exhibit D, subject only to the Permitted Exceptions, and conveying fee simple title to the Real Property and Appurtenances to Buyer (the "Deed");

 

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(ii)         Delivering a Bill of Sale executed by Seller, in the form of the attached Exhibit E, transferring the Personal Property to Buyer (the "Bill of Sale"); and

 

(iii)        Delivering two originals of an Assignment and Assumption Agreement executed by Seller, in the form of the attached Exhibit F, transferring all of Seller’s right, title, and interest in and to the Assumed Contracts, the Licenses, the Leases, and the Intangibles to Buyer (the "Assignment Agreement").

 

The foregoing documents and instruments are collectively referred to herein as the "Conveyance Documents."

 

(b)          Escrow Closing Documents. On the Closing Date, Seller will deliver the following documents (the "Escrow Closing Documents") to the Escrow Agent, all duly executed by Seller, where appropriate, each of which will be a condition precedent to Buyer’s obligation to close the transaction contemplated by this Agreement (and one or more of which may be waived in writing by Buyer, in its sole discretion, on or prior

to the Closing Date):

 

(i)          The Conveyance Documents;

 

(ii)         To the extent required by the Title Company, an ALTA statement or affidavit and gap indemnity agreement, each in customary form;

 

(iii)        Seller’s counterpart of an estimated closing statement setting forth credits and prorations made in accordance with Section 12 below (the "Prorate Statement");

 

(iv)        A certification of non-foreign status satisfying Section 1445 of the Internal Revenue Code of 1986, as amended;

 

(v)         Executed counterparts of real estate transfer declarations, if applicable;

 

(vi)        Evidence of Seller’s existence and authority to perform its obligations under this Agreement, in form and substance reasonably satisfactory to the Title Company;

 

(vii)       A current Rent Roll certified by an officer of Seller; and

 

(viii)      Such other documents, instruments, gap undertakings, consents or agreements as may be reasonably requested by the Title Company or the Escrow Agent, in order to issue to Buyer an extended coverage owner’s title insurance policy (the "Title Policy") in the amount of the Purchase Price, subject only to the Permitted Exceptions and including those endorsements that the Title Company has agreed to issue to Buyer or Buyer’s lender (it being understood that the Title Policy may be issued at Closing in the form of a title commitment or a pro forma title policy, hand-marked and initialed by Buyer and the Title Company, and dated as of the Closing Date, so as to be the equivalent of the Title Policy).

 

(c)          Seller Closing Items. On the Closing Date, Seller will deliver the following items and documents (the "Seller Closing Items") to Buyer, all duly executed by Seller, where appropriate, each of which will be a condition precedent to Buyer’s obligation to close the transaction contemplated by this Agreement (and one or more of which may be waived in writing by Buyer, in its sole discretion, on or prior to the Closing Date):

 

(i)          All keys and access cards to, and combinations to locks and other security devices located at, the Property, if applicable; and

 

(ii)         All of the original Leases, Contracts, and Licenses in possession of Seller, together with (1) a letter from Seller advising the tenants under the Leases of the assignment of their respective Leases to Buyer and the manner in which rent is to be paid subsequent to Closing, in a form reasonably satisfactory to Buyer; and (2) evidence of termination of the Contracts designated by Buyer as not being assumed by Buyer, if applicable.

 

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(d)          Buyer Deliveries. On the Closing Date, Buyer will deliver the following to the Escrow Agent, in form and substance reasonably acceptable to Seller, all duly executed by Buyer, where appropriate, each of which will be a condition precedent to Seller’s obligation to close the transaction contemplated by this Agreement:

 

(i)          Executed counterparts of the real estate transfer declarations described above, if applicable;

 

(ii)         Two original counterparts of the Assignment Agreement;

 

(iii)        Buyer’s counterpart of the Prorate Statement;

 

(iv)        Evidence of Buyer’s existence and authority to perform its obligations under this Agreement, in form and substance reasonably satisfactory to the Title Company;

 

(v)         The Purchase Price, less the Earnest Money, and plus or minus prorations and adjustments as provided herein; and

 

(vi)        Such other documents, instruments, or agreements as may be reasonably requested by the Title Company or the Escrow Agent in order to issue the Title Policy and to otherwise consummate the Closing.

 

(e)          Closing. When the Escrow Agent has received all of the deposits listed in this Section 11, is prepared to issue the Title Policy having an effective date as of the date the Deed is recorded, in the amount of the Purchase Price and insuring the title of Buyer in the Property, subject only to the Permitted Exceptions and including those endorsements that the Title Company has agreed to issue to Buyer or Buyer’s lender, and is otherwise in a position to consummate the Closing, the Escrow Agent is then authorized and instructed to simultaneously proceed as follows:

 

(i)          Record the Deed;

 

(ii)         Pay the disbursements as shown on the Prorate Statement from the funds deposited by Buyer;

 

(iii)        Deliver to Buyer the Title Policy, the recorded Deed, the Bill of Sale, one original of the Assignment Agreement, Buyer’s counterpart to the Prorate Statement, and copies of all other documents submitted by the parties in connection with the Closing; and

 

(iv)        Deliver to Seller one original of the Assignment Agreement, Seller’s counterpart of the Prorate Statement, and copies of all other documents submitted by the parties in connection with the Closing.

 

(v)         The Purchase Price, less the Earnest Money, and plus or minus prorations and adjustments as provided herein; and

 

The Title Policy may be issued at Closing in the form of a commitment or a pro forma title policy, hand-marked and initialed by Buyer and the Title Company, and dated as of the Closing Date, so as to be the equivalent of delivery of the Title Policy.

 

12.        Closing Costs; Prorations.

 

(a)          Generally. Seller shall pay the premium for the Title Policy, provided, however, if Buyer elects to obtain an ALTA extended form policy of title insurance and/or any endorsements, Buyer shall pay the difference in the premium relating to such election. Seller and Buyer shall each pay one-half (1/2) of the escrow fees charged by the Escrow Agent. Any excise tax and/or transfer tax due in connection with the conveyance of the Property shall be paid by Seller. Real property taxes for the tax year of the Closing, assessments (if a Permitted Exception), personal property taxes, rents and other charges arising from existing Leases paid for the month of Closing, interest on assumed obligations, utilities, and fees due under the Assumed Contracts shall be prorated as of the Closing Date. If applicable, prepaid rents, security deposits, and other unearned refundable deposits relating to Leases shall be assigned and delivered to Buyer at Closing.

 

 12 

 

 

(b)          Rents. Except for delinquent rent as addressed below, all rent under the Leases shall be prorated effective as of the Closing Date. Delinquent rent due but not received prior to Closing shall not be prorated but shall remain the property of Seller. Payments received from Tenants from and after the date of Closing shall be applied first to rents then due for the current period and then to rents delinquent as of the date of Closing. Buyer shall use reasonable efforts to collect delinquent rents for the benefit of Seller for a period not to exceed sixty (60) days after the Closing Date, and shall cooperate with Seller in the collection of any delinquent amounts; provided, however, Buyer will not be obligated to sue any tenants or exercise any legal remedies under the Leases, including, but not limited to, unlawful detainers, or to incur any expense over and above its own regular collection expenses.

 

(c)          Taxes. If the Closing shall occur before the real property taxes payable on the Property for the tax year in which Closing ‎occurs are known, the proration of such taxes shall be upon the basis of the taxes payable for such ‎Property during the immediately preceding tax year. Subsequent to the Closing, but no later than ‎sixty (60) days after the actual taxes for the Property have been determined for the tax year in ‎which Closing occurs, the parties agree to adjust the proration of taxes and, if necessary, to refund or ‎pay such sums as shall be necessary to effect such adjustment.‎

 

13.        Possession. Possession of the Property will be delivered to Buyer at Closing, free and clear of all liens and claims other than Permitted Exceptions and the rights of the tenants identified on the Rent Roll, as tenants only and without any purchase right or option, in the same condition as it exists on the Effective Date, ordinary wear and tear excepted and except as provided in Sections 14 and 15 hereof. Buyer will have the right to inspect the Property within three (3) days prior to Closing to verify that the condition of the Property is as required under this Agreement.

 

14.        Fire or Casualty. In the event of damage to the Property by fire or other casualty prior to the Closing Date, Seller will promptly notify Buyer of such fire or other casualty ("Casualty Notice"). Seller shall state in the Casualty Notice the cost that Seller in good faith estimates will be incurred to repair the casualty loss. If there is an uninsured loss in excess of two hundred thousand dollars ($200,000), Seller may elect to terminate this Agreement by written notice delivered to Buyer within five (5) days after the Casualty Notice, in which case the Earnest Money will be disbursed to Buyer and the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive the termination of this Agreement). If the fire or other casualty damage estimate is in excess of five percent (5%) of the Purchase Price and this Agreement is not terminated by Seller on account of an uninsured loss, then Buyer may elect, by written notice delivered to Seller on or before the sooner of (i) the twentieth (20th) day after Buyer’s receipt of the Casualty Notice or (ii) the Closing Date, to either: (a) close the transaction contemplated by this Agreement and receive either a reduction in the Purchase Price in the amount of the insurance policy deductible and any uninsured loss and receive all insurance claims and proceeds payable to Seller as a result of such fire or other casualty, with the same being paid or assigned to Buyer at Closing, or (b) terminate this Agreement and receive a return of the Earnest Money, in which case the parties will have no further obligations hereunder (except for obligations that are expressly intended to survive the termination of this Agreement). If the damage to the Property by fire or other casualty prior to the Closing Date would cost less than five percent (5%) of the Purchase Price to repair (as determined by Seller in good faith), Buyer will not have the right to terminate its obligations under this Agreement by reason thereof, and Seller will have the right to elect to either repair and restore the Property if such repair or restoration may be completed prior to the Closing Date or to credit the Purchase Price in the amount of the insurance policy deductible and any uninsured loss and assign and transfer to Buyer on the Closing Date all of Seller’s right, title and interest in and to all insurance proceeds paid or payable to Seller on account of such fire or casualty. Seller will fully cooperate with Buyer, at Buyer’s sole out-of-pocket expense, post-closing to adjust and settle any such claim.

 

 13 

 

 

15.        Condemnation. If, prior to the Closing Date, all or any part of the Property is taken by condemnation or a conveyance in lieu thereof, or if Seller receives notice of a condemnation proceeding with respect to the Property, then Seller will promptly notify Buyer of such condemnation or conveyance in lieu thereof. If the taking or threatened taking involves a material portion of the Property (as defined below), Buyer may elect, by written notice to be delivered to Seller on or before the sooner of (i) the twentieth (20th) day after Buyer’s receipt of such notice, or (ii) the Closing Date, to terminate this Agreement and receive a return of the Earnest Money, in which event the parties hereto will have no further obligations hereunder (except for obligations that are expressly intended to survive the termination of this Agreement). If Buyer elects to close this transaction notwithstanding such taking or condemnation, Buyer will be entitled to any award given to Seller as a result of such condemnation proceedings, with the same being paid or assigned to Buyer at Closing. As used herein, a "material portion of the Property" means any part of the Property that results in a limitation on access or parking or is otherwise reasonably required for the operation of the Property in the manner operated on the Effective Date. If any taking or threatened taking does not involve a material portion of the Property, Buyer will be required to proceed with the Closing, in which event Seller will assign to Buyer any award given to Seller (or the right to receive any such award) as a result of such condemnation proceedings.

 

16.Default.

 

(a)          Pre-Closing Default by Seller. If Seller defaults hereunder upon or prior to Closing and fails to cure such default within three (3) business days after written notice of such default, or if prior to Closing it is determined that the representations and warranties of Seller set forth in this Agreement are not true and correct in all material respects on the Effective Date and as of the Closing Date, then as Buyer’s sole and exclusive remedy may elect either (i) to terminate this Agreement and receive a return of the Earnest Money (to be released by Escrow Agent only after having received mutually executed release instructions) and receive damages equal to Buyer’s actual out-of-pocket costs incurred to purchase the Property and payment to BBRS of the BBRS Commission, in which event each of the parties will be relieved of any further obligation to the other arising by virtue of this Agreement (except for obligations that are expressly intended to survive the termination of this Agreement), or (ii) to pursue specific performance of this Agreement.

 

(b)          Pre-Closing Default by Buyer. If Buyer defaults hereunder upon or prior to Closing and fails to cure such default within three (3) business days of written notice of such default, this Agreement will terminate and the Earnest Money will be disbursed and paid to Seller (upon Escrow Agent’s receipt of mutually executed release instructions) in full settlement of all claims against Buyer (with the exception of claims against Buyer related to obligations that are expressly intended to survive the termination of this Agreement). The parties agree that the amount of actual damages that Seller would suffer as a result of Buyer’s default would be extremely difficult to determine and have agreed, after specific negotiation, that the amount of the Earnest Money is a reasonable estimate of the Seller’s damages and the net detriment that Seller would suffer from a default by Buyer and is intended to constitute a fixed amount of liquidated damages in lieu of other remedies available to Seller and is not intended to constitute a penalty.

 

17.        Notices. Any notice, approval, demand, request, or other communication that either party may be required or may desire to give under this Agreement will be in writing and will be deemed to have been properly given if (a) hand delivered, (b) sent by a nationally recognized overnight delivery service, (c) sent by United States mail (certified mail, return receipt requested, or (d) sent by email, in each case, prepaid and addressed as shown below, or to such other or additional addresses as either party might designate by written notice to the other party.

 

If to Seller:

 

D3 Shenandoah, LLC

3841 Green Hills Village Dr., Suite 400

Nashville, TN 37215

Attention: _______________________________

Email: ___________________________

 

With Copy To:

 

E. H. Camp, III, Esq.

3841 Green Hills Village Dr., Suite 400

Nashville, TN 37215

Email: wcamp@oldacremcdonald.com

 

 14 

 

 

If to Buyer:

 

Building Bits Properties I, LLC

c/o Building Bits Holdings, LLC

425 NW 10th Avenue, Suite 306

Portland, Oregon 97209

Attention: Alexander Aginsky, CEO

Email: a.aginsky@buildingbits.com

 

If to BBRS:

 

BuildingBits Real Estate Services, LLC

c/o Building Bits Holdings, LLC

425 NW 10th Avenue, Suite 306

Portland, Oregon 97209

Attention: Alexander Aginsky, CEO

Email: a.aginsky@buildingbits.com

 

Any such notice shall be deemed to have been given (i) upon delivery or refusal of a party to accept delivery thereof (including ignoring delivery attempts), if personally delivered or delivered by any nationally recognized form of airborne/overnight delivery service, or (ii) upon receipt or refusal if mailed by U.S. Postal Service, Certified, or (iii) if by email, when such notice is sent, provided that emails and other electronic communications that are received at any time after 5:00 p.m. (Pacific time) on a Business Day shall be deemed to have been given on the next following Business Day. Any notice given by email must be confirmed within forty-eight (48) hours by letter mailed or delivered to the appropriate party at its respective address in accordance with clauses (b) or (c) above. Either party may change the address at which it desires to receive notice upon giving written notice of such request to the other party. Buyer and Seller, and their respective counsel, hereby agree that notices may be given hereunder by the parties’ respective counsel, and that if any communication is to be given hereunder by Buyer’s or Seller’s counsel, such counsel may communicate directly with all principals, as required to comply with the foregoing provisions.

 

18.         Management Fees and Employees. On the Closing Date, Seller will deliver evidence satisfactory to Buyer that, unless expressly assumed by Buyer in writing, any current management or leasing agreements for the Property have been terminated (or notice of termination given), and that the manager and any brokers have been paid all commissions or fees due and payable. Buyer is not required to continue the employment of any employees of Seller or any property manager after the Closing Date. Seller will satisfy all obligations to all employees, if any, employed by Seller in the operation of the Property and provide Buyer with evidence thereof satisfactory to Buyer on the Closing Date.

 

19.         "AS IS" Sale. EXCEPT FOR THE EXPRESS REPRESENTATIONS AND WARRANTIES OF SELLER SET FORTH IN THIS AGREEMENT AND IN THE ESCROW CLOSING DOCUMENTS, BUYER ACKNOWLEDGES AND AGREES THAT BUYER WILL BE PURCHASING THE PROPERTY BASED SOLELY UPON ITS INSPECTIONS AND INVESTIGATIONS OF THE PROPERTY, AND THAT BUYER WILL BE PURCHASING THE PROPERTY "AS IS" AND "WITH ALL FAULTS", BASED UPON THE CONDITION OF THE PROPERTY AS OF THE EFFECTIVE DATE, ORDINARY WEAR AND TEAR AND LOSS BY FIRE OR OTHER CASUALTY OR CONDEMNATION EXCEPTED, AND THAT SELLER MAKES NO WARRANTY OR REPRESENTATION, EXPRESS OR IMPLIED, OR ARISING BY OPERATION OF LAW, INCLUDING BUT NOT LIMITED TO ANY WARRANTY OF CONDITION, HABITABILITY, MERCHANTABILITY, OR FITNESS FOR A PARTICULAR PURPOSE, WITH RESPECT TO THE PROPERTY. Buyer acknowledges that, having been given the opportunity to inspect the Property, Buyer is relying solely on its own investigation of the Property and not on any information provided or to be provided by Seller, other than as expressly set forth in this Agreement and the Escrow Closing Documents. The provisions of this Section 19 will survive the Closing.

 

 15 

 

 

20.        Assignment. Buyer will not have the right to assign this Agreement or any interest herein without the express written consent of Seller, which consent will not be unreasonably withheld, conditioned, or delayed; provided, however, that Seller’s consent will not be required if the assignment is to one or more affiliates of Buyer. For purposes of the foregoing, an "affiliate" will include: (a) any entity controlled by or under common control with Buyer; (b) any entity in which Buyer or an affiliate of Buyer is the managing member, manager, or general partner; (c) any person or entity who acquires an undivided interest in the Property with Buyer or an affiliate of Buyer in order to complete a Section 1031 exchange; and (d) any "joint venture" entity formed by Buyer or an affiliate of Buyer and in which Buyer or its affiliate has a one percent (1%) or more equity interest or otherwise is a material equity participant. With respect to any permitted assignment, Buyer will remain liable for, and the assignee(s) will assume, all obligations of Buyer hereunder. Buyer will notify Seller in writing of any assignment in sufficient time to allow the Closing to occur without delay or unreasonable burden.

 

21.        1031 Exchange. Either Seller or Buyer or their assignees (an "Exchanging Party") may elect to consummate the transaction hereunder in whole or in part as part of a like-kind exchange pursuant to Section 1031 of the Internal Revenue Code of 1986, as amended, provided that such like-kind exchange is accomplished at the sole cost of the Exchanging Party, without delaying the Closing Date or any other event scheduled under this Agreement, and without releasing the Exchanging Party from any obligation or liability under this Agreement. In connection with such exchange, the Exchanging Party will be permitted to assign its interest in this Agreement to one or more affiliates and/or to any exchange accommodator on behalf of such persons. If any such Exchanging Party so elects, the other party will reasonably cooperate with the Exchanging Party and will execute such documents and take such action as may be reasonably necessary in order to effectuate the transaction as a like-kind exchange in accordance with applicable rules governing such exchanges; provided, however, that (i) the Exchanging Party will have the responsibility to prepare any documentation required in order to effectuate such like-kind exchange, (ii) the cooperating party will have no obligation to incur any cost or take title to any other real or personal property, (iii) the Exchanging Party will assume all risks in connection with the designation, selection, and setting of terms of the purchase or sale of any exchange property, (iv) any documents to effectuate such exchange will be consistent with the terms and conditions contained in this Agreement, and (v) the Exchanging Party’s exchange will not result in any additional liability or cost to the other party.

 

22.Miscellaneous Provisions.

 

(a)          Time of the Essence. Time is of the essence of each provision of this Agreement.

 

(b)          Entire Agreement. This Agreement (including its Exhibits and Schedules) contains the entire agreement between the parties relating to the transactions contemplated hereby.

 

(c)          Applicable Law. This Agreement will be governed by and construed in accordance with the laws of the State where the Land is located.

 

(d)          Partial Invalidity. If any of the provisions of this Agreement or the application thereof to any person or circumstance will, to any extent, be deemed invalid or unenforceable, the remainder of this Agreement and the application of such provisions to persons or circumstances other than those as to whom or which it is held invalid or unenforceable will not be affected thereby.

 

(e)          Counterparts. This Agreement and any document or instrument executed pursuant hereto may be executed in any number of counterparts, each of which will be deemed an original, but all of which, together, will constitute one and the same instrument.

 

(f)          Exclusivity. Seller agrees it will neither market the Property nor negotiate for a sale thereof to any third party during the pendency of this Agreement.

 

(g)          Enforcement. In the event suit or action is commenced to interpret, enforce, or rescind this Agreement or otherwise arising out of or concerning this Agreement, the prevailing party will be entitled to recover from the other party all reasonable expenses paid or incurred by the prevailing party to prosecute or defend such suit or action, including without limitation attorney fees and other legal fees and costs, disbursements and court costs. The obligations under this Section 22(g) will survive the Closing or earlier termination of this Agreement.

 

 16 

 

 

(h)          Arbitration. Any controversy or claim arising out of or relating to any post-Closing dispute related to this Agreement, the Purchase Documents or the Property, including without limitation the making, performance, or interpretation of this Agreement or any term, provision, or section hereof, shall be settled by binding arbitration; provided, however, that any party may resort to a court of competent jurisdiction to pursue any remedy of specific performance or to seek provisional remedies if unavailable through arbitration. Unless otherwise agreed, any arbitration shall be conducted in Portland, Oregon using the services and in accordance with the then-current rules of the Arbitration Service of Portland, Inc. ("ASP"). If ASP is no longer in existence, the arbitration shall be conducted in accordance with the then-current rules of the American Arbitration Association. The parties agree that the arbitrator shall have no jurisdiction to consider evidence with respect to or render an award or judgment for punitive or exemplary damages, and the parties hereby waive any such claims. Judgment on the award may be entered in any court having jurisdiction. The parties agree that all facts and other information relating to any arbitration arising under this Agreement shall be kept confidential to the fullest extent permitted by law. This arbitration agreement shall survive Closing and/or termination of this Agreement.

 

(i)          Construction. This Agreement will not be construed more strictly against one party than against the other merely by virtue of the fact that the Agreement may have been prepared primarily by counsel for one of the parties, it being recognized that both Buyer and Seller have contributed substantially and materially to the preparation of this Agreement.

 

(j)          Signatures. A facsimile, scanned, or photocopy signature on this Agreement, any amendment hereto, any non-recorded Closing Document, or any notice delivered hereunder will have the same legal effect as an original signature.

 

(k)          Computation of Periods. If the final day of any period of time in any provision of this Agreement falls upon a day that is not a business day, then the time of such period will be extended to the next business day. Unless otherwise specified, in computing any period of time described in this Agreement, the day of the act or event after which the designated period of time begins to run is not to be included and the last day of the period is so computed is to be included. As used in this Agreement, the term "business day" means any day of the week other than a Saturday, a Sunday, or a holiday observed by federally insured banks in the state where the Land is located or by the United States Postal Service.

 

(l)          Captions or Headings; Interpretation. The captions or headings of the sections and subsections of this Agreement are for convenience only, and will not control or affect the meaning or construction of any of the terms or provisions of this Agreement. Wherever in this Agreement the singular number is used, the same will include the plural and vice versa and the masculine gender will include the feminine gender and vice versa as the context will require.

 

(m)          Amendments and Waivers. No change, alteration, amendment, modification, or waiver of any of the terms or provisions of this Agreement will be valid unless the same will be in writing and signed by Buyer and Seller.

 

[Signatures appear on next page(s).]

 

 17 

 

 

IN WITNESS WHEREOF, this Agreement has been executed as of the Effective Date.

 

  "SELLER"
     
     
  a(n)   
     
  By:       
  Name:  
  Title:  
     
  "BUYER"
     
  Building Bits Properties I, LLC,
  A Delaware limited liability company
     
  By:  
  Name:  
  Title:  
     
  "BBRS"
     
  BuildingBits Real Estate Services, LLC,
  An Oregon limited liability company
     
  By:  
  Name:  
  Title:  

 

Attachments:  
   
Exhibit A: Legal Description of Property
Exhibit B: Broker Disclosures
Exhibit C: Form of Tenant Estoppel
Exhibit D: Form of Deed
Exhibit E: Form of Bill of Sale
Exhibit F: Form of Assignment Agreement
Schedule 7(a): Due Diligence Materials

 

 S-1 

 

 

EXHIBIT A

 

Legal Description:

 

LEGAL DESCRIPTION: TRACT 1: Being a tract or parcel containing 1.0189 acres (44,381 square feet) of land situated in the William McDermott Survey, Abstract 389, Montgomery County, Texas, and being found on the ground as all of Restricted Reserve ³$´ of Commercial Reserves at Vision Park according to the plat thereof recorded in Cabinet Z, Sheet 3844, of the Montgomery County Map Records.

 

TRACT 2: Easements for ingress, egress, cross-access and parking created by that certain Easement Grant for Access, Ingress and Egress and Parking, executed by Charles L. Cauthorn, dated May 30, 2002, filed for record under Montgomery County Clerk's File No. 2002-054865. The Surveyors Certification shown hereon applies only to the 1.0189 acre tract shown hereon, the other tracts listed in said Easement Grant for Access, Ingress and Egress and Parking were not included in the scope of this survey.

 

TRACT 3: Easements for parking, driveway, ingress and egress and for construction, maintenance, repair and replacement of access drives created by Amended and Restated Covenants, Conditions & Restrictions for Global Shenandoah Center, dated May 18, 2016, by and between Global Shenandoah I, LLC and Shenandoah Joint Venture Holdings, LP, filed for record under Montgomery County Clerk's File No. 2016-064428. The Surveyors Certification shown hereon applies only to the 1.0189 acre tract shown hereon, the other tracts listed in said Amended and Restated Covenants, Conditions and Restrictions for Global Shenandoah Center were not included in the scope of this survey.

 

 A-1 

 

 

EXHIBIT B

 

Broker Disclosures

 

[INSERT STATE SPECIFIC DISCLOSURES]

 

 B-1 

 

 

EXHIBIT C

 

Form of Tenant Estoppel

 

[Date]

 

Building Bits Properties I, LLC

c/o Building Bits Holdings, LLC

425 NW 10th Avenue, Suite 306

Portland, Oregon 97209

Attention: Alexander Aginsky, CEO

 

[Lender Address:]

 

______________________________________

______________________________________

______________________________________

______________________________________

Attention: _____________________________

 

Ladies and Gentlemen:

 

_________________________________ ("Tenant") acknowledges that (a) ________________________ ("Landlord") has entered into an agreement with Building Bits Properties I, LLC ("Buyer") for the sale and purchase of the real property and improvements commonly known as _______________________ (the "Property"), (b) Landlord has requested Tenant to execute and deliver this Tenant Estoppel Certificate to Buyer and Buyer’s lender, who is providing financing with respect to the Property ("Lender"), and (c) Buyer, Lender, and their respective successors and assigns will rely upon the certifications by Tenant in this Tenant Estoppel Certificate in connection with the purchase and financing of the Property.

 

Tenant hereby certifies as follows:

 

1.          Tenant currently leases at the Property the premises commonly known as ____________________(the "Premises"), pursuant to the terms and conditions of that certain Lease Agreement (or comparably-titled document) dated as of _______________, between Landlord and Tenant, as amended by the following amendments or modifications: ______________________________________________________ (the "Lease"). Except for the Lease, there are no agreements (written or oral) or documents that are binding on Landlord in connection with the lease of the Premises. The Lease is valid, binding, and in full force and effect, and has not been modified or amended in any manner whatsoever except as described above.

 

2.          The term of the Lease commenced on __________________________, and including any presently exercised option or renewal term(s), ends on ______________________________, subject to any rights of Tenant to extend the term expressly set forth in the Lease. Tenant has no rights to extend the term of the Lease except to the extent expressly set forth in the Lease.

 

3.          Landlord has delivered possession of the Premises to Tenant, and Tenant has accepted possession of, and currently occupies, the Premises.

 

4.          The current monthly base rent payable under the Lease is $________________, and the current monthly payment payable under the Lease on account of taxes and operating expenses is $___________________. Tenant’s percentage share of operating expenses and real estate taxes is _____%. Rent and all other charges payable under the Lease on or before the date hereof have been paid. No amounts of monthly base rent payable under the Lease have been prepaid except through the end of the current calendar month, and no other charges payable under the Lease have been prepaid for any period, other than estimated payments of operating expenses and taxes. There are no applicable abatements on rent or other charges now or hereafter existing under the Lease.

 

 C-1 

 

 

5.          To Tenant’s knowledge, all reconciliations of actual taxes and operating expenses for calendar year _________ and all previous calendar years (the "Expenses") with payments made by Tenant therefor have been made and a report thereof delivered to Tenant.

 

6.          Tenant has no options, rights of offer, rights of refusal, or other rights to purchase all or any portion of the Property. Tenant has no options, rights of offer, rights of refusal, or other rights to expand the Premises or lease any other premises at the Property, except to the extent expressly set forth in the Lease.

 

7.          All obligations, if any, of Landlord under the terms of the Lease with respect to improvements or repairs to the Premises have been fully performed, and all allowances, reimbursements, or other obligations of Landlord for the payment of monies to or for the benefit of Tenant have been fully paid, all in accordance with the terms of the Lease.

 

8.          To Tenant’s knowledge, neither Landlord nor Tenant is in default in the performance of any covenant, agreement, or condition contained in the Lease, and no event has occurred and no condition exists which, with the giving of notice, or the lapse of time, or both, would constitute a default by any party under the Lease.

 

9.          Tenant is not the subject of any bankruptcy, insolvency, or similar proceeding in any federal, state, or other court or jurisdiction and no such proceeding is contemplated by Tenant.

 

10.         Tenant is in possession of the Premises and has not subleased any portion of the Premises or assigned or otherwise transferred any of its rights under the Lease.

 

11.         Tenant has deposited _____________________ Dollars ($________________) with Landlord as a security deposit under the Lease. Tenant has provided no other security to Landlord with respect to the Lease.

 

12.         Tenant will attorn to and recognize Buyer as the Landlord under the Lease and will pay all rents and other amounts due thereunder to Buyer upon notice to Tenant that Buyer has become the owner of Landlord’s interest in the Premises under the Lease.

 

13.         The individual executing this Tenant Estoppel Certificate has the authority to do so on behalf of Tenant ad to bind Tenant to the terms hereof.

 

14.         The term "Lender" as used herein includes any successor or assign of the named Lender; the term "Landlord" includes any successor or assign of the named Landlord; and the term "Buyer" includes any successor or assign of the named Buyer and any person who acquires title to the Property as a cotenant with the named Buyer or any affiliate of the named Buyer, and their successors and assigns.

 

  [Tenant Name:]
   
     
  By:  
  Name:  
  Title:  

 

 C-2 

 

 

EXHIBIT D

 

Form of Deed

 

[See attached page(s).]

 

 D-1 

 

 

EXHIBIT E

 

Bill of Sale

 

A.           Building Bits Properties I, LLC, as Buyer ("BuildingBits"), and ___________________________, a ______________________("Seller"), entered into that certain Platform Listing and Sale Agreement dated as of ________________________, 20___ (including all amendments thereto, the "Purchase Agreement") with respect to the acquisition of that certain real property, together with all improvements thereon, commonly known as ___________________________, located at ___________________________, as more particularly described in the Purchase Agreement (the "Property").

 

B.           BuildingBits assigned its rights under the Purchase Agreement to ______________________, a _______________ ("Buyer") pursuant to that certain Assignment of Purchase Agreement dated on or about the date hereof.

 

For good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, Seller does hereby sell, assign, transfer, and set over to Buyer the following personal property presently located on the Property:

 

All equipment, fixtures and other personal property owned by Seller and located at or attached to the Property and used in connection with the ownership, operation, and maintenance thereof, including without limitation all furniture, artwork, heating, lighting, air conditioning, ventilating, plumbing, electrical, or mechanical equipment and any personal property described on Schedule 1 attached hereto (collectively, the "Personal Property").

 

Seller does hereby covenant with Buyer that at the time of delivery of this Bill of Sale, the Personal Property is free from all encumbrances made by Seller and that Seller will warrant and defend the same against the lawful claims and demands of all persons claiming by, through, or under Seller, but against none other. SELLER HEREBY DISCLAIMS, AND BUYER HEREBY WAIVES ANY AND ALL WARRANTIES OF MERCHANTABILITY OR WARRANTIES OF FITNESS FOR A PARTICULAR PURPOSE WITH RESPECT TO THE PERSONAL PROPERTY BEING TRANSFERRED BY THIS INSTRUMENT.

 

Dated as of _______________________, 20___.

 

  SELLER:  
       
     
  a(n)       
       
  By:    
  Name:    
  Title:    

 

Attachments:  
   
Schedule 1: List of Personal Property

 

[Schedule intentionally omitted]

 

 E-1 

 

 

EXHIBIT F

 

Assignment Agreement

 

ASSIGNMENT AND ASSUMPTION AGREEMENT

 

This Assignment and Assumption Agreement (this "Agreement") is made and entered into as of ____________________, 20___ (the "Effective Date") by and between _________________________, a ______________________ ("Assignor"), and ________________________________, a _________________________ ("Assignee").

 

Background

 

A.           Building Bits Properties I, LLC, as Buyer ("BuildingBits") and Assignor, as Seller, entered into that certain Platform Listing and Sale Agreement dated as of ________________________, 20___ (including all amendments thereto, the "Purchase Agreement") with respect to the acquisition of that certain real property, together with all improvements thereon, commonly known as _________________________, located at _________________________, as more particularly described in the Purchase Agreement (the "Property").

 

B.           BuildingBits assigned its rights under the Purchase Agreement to Assignee pursuant to that certain Assignment of Purchase Agreement dated on or about the date hereof.

 

Terms and Conditions

 

For good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, Assignor hereby sells, transfers, conveys, assigns, and sets over unto Assignee the following described property (collectively, the "Assigned Property"):

 

1.          All of Assignor’s right, title, and interest, as lessor, in and to all leases, licenses, cell tower or telecommunications agreements and other agreements (collectively, the "Leases") to occupy all or any portion of the Property, including without limitation the Leases listed on the attached Schedule 1, together with all rents due, or to become due under each such Lease on or after the date hereof and all guaranties by third parties of the tenants’ obligations thereunder, letters of credit or other security devices relating thereto; and

 

2.          All refundable lease security deposits under the Leases (to the extent sums are being paid to Assignee on the date hereof); and

 

3.          All of Assignor’s right, title, and interest in and to all those contracts, agreements, telecommunications agreements, guarantees, warranties, and indemnities, written or oral, affecting the ownership, operation, management, and/or maintenance of the Property listed on the attached Schedule 2 (collectively, the "Contracts"); and

 

4.          To the extent assignable without the payment of any fee or the occurrence of any obligation, or the execution of any documents (other than this Assignment and Assumption Agreement) that create liability or reserve against the Assignor, all of Assignor’s right, title, and interest in and to:

 

(a)          all licenses, franchises, occupancy and use certificates, permits, authorizations, consents, variances, waivers, approvals, and the like from any governmental or quasi-governmental entity or instrumentality affecting or relating to the ownership, operation, or maintenance of the Land or the Improvements (collectively, the "Licenses"); and

 

(b)          to the extent the same exist, (i) all plans, drawings, specifications, blueprints, studies or reports (including all environmental, architectural (including Americans with Disabilities Act compliance), engineering, structural, mechanical, roof, soils, seismic and geologic reports) and surveys relating in any way to the Property, (ii) maintenance records prepared by or on behalf of Assignor in connection with the ownership, operation, and/or maintenance of the Property, (ii) all logos, building and trade names, (iii) all transferable guaranties and warranties, if any, (iv) all advertising materials, development rights and other information and documentation in Assignor’s possession relating to the Property that do not contain Assignor’s name or are not deemed proprietary by Assignor, and (v) all other intangible rights, titles, interests and privileges owned by Assignor and relating to the Property (collectively, the "Intangibles").

 

 F-1 

 

 

Assignor does hereby covenant with Assignee that, at the time of delivery of this Assignment Agreement, the Leases, Contracts, Licenses, and Intangibles are free from all encumbrances made by Assignor and that Assignor will warrant and defend the same against the lawful claims and demands of all persons claiming by, through, or under Assignor, but against none other. Except as to the special warranty of title and any representation and warranty expressly set forth in the Purchase Agreement, the Assigned Property is conveyed "AS IS" as provided in the Purchase Agreement and Assignor makes no other warranty with respect thereto.

 

Assignor agrees to indemnify, defend and hold Assignee harmless from and against all liabilities, obligations, actions, suits, proceedings, or claims, and all costs and expenses (including without limitation reasonable attorney fees and costs) incurred in connection with the Leases, Contracts, Licenses, or Intangibles, or any of them, based upon or arising out of any breach or alleged breach of the Leases, Contracts, Licenses, or Intangibles, or any of them, by Assignor occurring or alleged to have occurred prior to the date hereof.

 

Dated as of _____________________, 20___.

 

  ASSIGNOR:  
       
     
  a            
       
  By:    
  Name:    
  Title:    

 

ACCEPTANCE

 

Assignee hereby accepts the foregoing assignment as of the date hereof and as of such date hereby assumes the performance of all the terms, covenants, and conditions of the Assigned Property, including without limitation the obligation to return the refundable lease security deposits under the Leases to the extent the same are received as a credit at Closing, with respect to the period from and after the date hereof.

 

Assignee agrees to indemnify, defend, and hold Assignor harmless from and against all liabilities, obligations, actions, suits, proceedings, or claims, and all costs and expenses (including without limitation reasonable attorney fees and costs) incurred in connection with the Leases, Contracts, Licenses, or Intangibles, or any of them, based upon or arising out of any breach or alleged breach of the Leases, Contracts, Licenses, or Intangibles, or any of them, occurring or alleged to have occurred on or after the date hereof.

 

Dated as of: _____________________, 20___.

 

  ASSIGNEE:  
     
  ___________________________, a ____________________
       
  By:                                   
  Name:    
  Title:    

 

Attachments:  
   
Schedule 1: Rent Roll
Schedule 2: List of Contracts

 

[Schedules intentionally omitted]

 

 F-2 

 

 

SCHEDULE 7(a)

 

DUE DILIGENCE MATERIALS

 

Seller will make available to Buyer for Buyer’s inspection the following documents and materials to the extent the same exist and are in Seller’s possession or control:

 

PROPERTY

 

1. Preliminary Title Report with underlying documents

2. Historical Third Party Reports

a. Intentionally deleted.

b. Environmental Reports

c. Intentionally deleted.

d. Intentionally deleted.

e. Zoning Report

f. Intentionally deleted.

g. Intentionally deleted.

3. Certificates of Occupancy (building & tenants)

4. Licenses, Permits & Contracts

a. Intentionally deleted.

b. Intentionally deleted. Agreement

c. Service Contracts (security, fire protection, alarm, elevators, HVACs, etc.)

5. ALTA Survey (existing)

6. Plans (site plan, floor plans, as-builts, stacking plan)

7. Warranties (roof and any serviceable warranties)

8. Restrictive Documents (ground lease, REAs, CC&Rs, development agreements, historical designations)

9. Intentionally deleted.

10. Intentionally deleted.

11. Appraisal (most recent)

 

INCOME

 

12. Rent Roll (current)

13. Security Deposits/Credits Schedule

14. Intentionally deleted.

15. Intentionally deleted.

16. Tenant Leases (including amendments and exhibits)

17. Intentionally deleted.

18. Intentionally deleted.

19. Intentionally deleted.

20. Intentionally deleted.

21. Intentionally deleted.

22. Intentionally deleted.

23. Intentionally deleted.

 

EXPENSE

 

24. Intentionally deleted.

25. Intentionally deleted.

26. Intentionally deleted.

27. CAM Reconciliation with tenant detail (prior three years and YTD)

28. Leasing Commissions (prior three years and YTD)

29. Real Estate Tax Bills (prior three years and YTD)

30. Utility Bills (for the last year)

31. Intentionally deleted.

 

Schedule 7(a)

 

EX1A-8 ESCW AGMT 13 tv493263_ex8-1.htm EXHIBIT 8

 

Exhibit 8.1

 

ESCROW SERVICES AGREEMENT

 

This Escrow Services Agreement (this “Agreement”) is made and entered into as of February 23, 2018 by and between Provident Trust Group, LLC (“Providentor Escrow Agent”), and Building Bits Properties I, LLC (“Issuer”) (collectively, the “Parties”) for Issuer’s offer known as [Building Bits Properties I.

 

RECITALS

 

WHEREAS, Issuer proposes to offer for sale to investors as disclosed in its offering materials, securities pursuant to either a) Rule 506 promulgated by the U.S. Securities and Exchange Commission (“SEC”) under the Securities Act of 1933, as amended (the “Securities Act”); b) Regulation A+ promulgated by the SEC as modified by final rules adopted per Title IV of the Jumpstart Our Business Startups (“JOBS Act”); or c) another federal or state exemption from registration, either directly (“issuer-direct”) and/or through one or more registered broker-dealers as a selling group (“Syndicate”);

 

WHEREAS, Building Bits Properties I intends to undertake multiple offerings of various classes of its securities, each with a separate minimum offering amount (each a “Minimum Offering”) and maximum offering amount (each a “Maximum Offering”), as established in the Form 1-A offering statement of Building Bits Properties I, the aggregate Maximum Offering amount not exceeding $50,000,000 in any given twelve month period;

 

WHEREAS, Provident is an independent, directed, non-discretionary trust company chartered and regulated by the Nevada Financial Institutions Division and desires to serve as escrow agent for the Offering; and,

 

WHEREAS, Issuer desires to establish an Escrow Account (as defined below) in which funds received from prospective investors (“Subscribers”) will be held during the Offering, subject to the terms and conditions of this Agreement.

 

AGREEMENT

 

NOW, THEREFORE, in consideration of the promises and mutual covenants herein contained, the Parties hereto hereby agree as follows:

 

1.Establishment of Escrow Account. Beginning at commencement of the Offering, Escrow Agent shall maintain funds (“Escrow Funds”) in a segregated bank account in the name of the Escrow Agent and established for the benefit of Subscribers entitled “Provident Trust Group, LLC as Escrow Agent for Building Bits Properties I” (the “Escrow Account”). All parties agree to maintain the Escrow Account and Escrow Funds in a manner that is compliant with all applicable banking and securities laws and rules. Escrow Agent agrees to hold the funds for the benefit of the Subscribers and the Issuer and to promptly transmit or return the funds to the persons entitled to such funds in accordance with the terms of this Agreement.

 

2.Escrow Period. Issuer shall notify Escrow Agent with the date of the commencement of the Offering (the “Effective Date”). The escrow period shall begin on the Effective Date and shall terminate in whole or in part upon the earlier to occur of the following (“Escrow Period”):

 

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A.The date upon which the Minimum Offering required to be sold for each class of securities are sold in bona fide transactions that are fully paid for, which is defined to occur when Escrow Agent has received gross proceeds of at least Minimum Offering that have cleared in the Escrow Account and the issuer has triggered a partial or full closing on those funds. Even after a partial close, of for continuous offerings, Escrow shall remain open to perform investor AML, to clear investor funds, and to perform other tasks prior to Issuer selling securities to any investor; or

 

B.12 months from the SEC qualification date if the Minimum has not been reached; or,

 

C.The date upon which a determination is made by Issuer to terminate the Offering prior to closing.

 

During the Escrow Period, the Parties agree that (i) Escrow Account and Escrow Funds will be held for the benefit of the Subscribers, and that (ii) the Issuer is not entitled to any funds received into escrow, and that no amounts deposited into the Escrow Account shall become the property of Issuer or any other entity, or be subject to any debts, liens or encumbrances of any kind of Issuer or any other entity, until the contingency has been satisfied by the sale of the Minimum Offering to such investors in bona fide transactions that are fully paid for, in accordance with Title IV of JOBS Act and Regulation A under the Securities Act, and as specified in the offering documents. Even after a sale of securities to investors, the Issuer may elect to continue to leave funds in the Escrow Account in order to protect investors as needed.

 

In addition, Issuer and Escrow Agent acknowledge that the total funds raised cannot exceed the Maximum Offering permitted by the Form 1-A Offering Statement. Issuer represents that no funds have yet been raised for Building Bits Properties I and that all funds to be raised for Building Bits Properties I will be deposited in the Escrow Account established by Escrow Agent.

 

3.Deposits into the Escrow Account. All Subscribers will be directed by Issuer to authorize the transmission of their funds to Escrow Agent that has agreed to hold the funds for the benefit of investors and Issuer. All Subscriber funds will be transferred by Escrow Agent’s initiating ACH debits from Subscribers’ bank accounts for deposit into the Escrow Account with such debits being initiated no later than the next business day after receiving Subscriber payment information from the Issuer. Escrow Agent shall process all Escrow Amounts for collection through the banking system and shall maintain an accounting of each deposit posted to its ledger, which also sets forth, among other things, each Subscriber’s name and address, the quantity of Securities purchased, and the amount paid. All monies so deposited in the Escrow Account and that have cleared the banking system are hereinafter referred to as the “Escrow Amount.” Issuer shall promptly, concurrent with any new or modified subscription, provide Escrow Agent with a copy of the Subscriber’s subscription and other information as may be reasonably requested by Escrow Agent in the performance of its duties under this Agreement. Escrow Agent is under no duty or responsibility to enforce collection of any funds delivered to it hereunder. Issuer shall assist Escrow Agent with clearing any and all AML and ACH exceptions.

 

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Funds Hold – clearing, settlement and risk management policy: All parties agree that funds are considered “cleared” as follows:

Wires – 48 hours after receipt of funds

Checks – 10 days after deposit

ACH – As transaction must clear in a manner similar to checks, and as Federal regulations provide investors with 60 days to recall funds, for risk reduction and protection Escrow Agent will agree to release, starting 10 calendar days but no later than 15 calendar days after receipt and so long as the offering minimum has been reached, the greater of 94% of funds or gross funds less ACH deposits still at risk of recall. Of course, regardless of this operating policy, Issuer remains liable to immediately and without protestation or delay return to Escrow Agent any funds recalled pursuant to Federal regulations.

 

Escrow Agent reserves the right to deny, suspend or terminate participation in the Escrow Account of any Subscriber to the extent Escrow Agent deems it advisable or necessary to comply with applicable laws or to eliminate practices that are not consistent with laws, rules, regulations or best practices. Escrow Agent may at any time reject or return funds to any Subscriber (i) that do not clear background checks (anti-money laundering, USA PATRIOT Act, social security number issues, etc.) to the satisfaction of Escrow Agent, in its sole and absolute discretion, or, (ii) for which Escrow Agent determines, in its sole discretion, that it would be improper or unlawful for Escrow Agent to accept or hold the applicable Subscriber’s funds, due to, among other possible issues, issues with the Subscriber or the source of the Subscriber’s funds. Escrow Agent shall inform Issuer of any such return or rejection via email notifications.

 

4.Disbursements from the Escrow Account. In the event Escrow Agent does not receive the Minimum and instructions from Issuer to release funds from the Escrow Account on or prior to the termination of the Escrow Period, Escrow Agent shall terminate escrow and make a full and prompt return of funds in the Escrow Account so that refunds are made to each Subscriber via wire or check in the exact amount received from said Subscriber, without deduction, penalty, or expense to Subscriber.

 

In the event Escrow Agent receives cleared funds for at least the Minimum prior to the termination of the Escrow Period and Escrow Agent receives a written instruction from Issuer, Escrow Agent shall, pursuant to those instructions, pay such Escrow Amount for all accepted subscriptions pursuant to the instructions of Issuer, but subject to Escrow Agent’s rights concerning Return Period funds (defined as the time period the Subscriber has to seek a return of funds, or to seek to avoid liability for the funds by claiming the transaction was unauthorized) (“First Closing”). After the First Closing, with respect to any additional collected funds received from Subscribers and held by Escrow Agent prior to the termination date, Escrow Agent shall, upon receipt of written instructions from Issuer, including identifying additional participating Subscribers and the corresponding Escrow Amount, pay such Escrow Amount specified in the written instructions, but subject to Escrow Agent’s rights concerning Return Period funds (discussed above).

 

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Issuer acknowledges that there is at least a 24 hour (one business day) processing time once a request has been received to break Escrow or otherwise move funds. This is to accommodate the time needed to compare the request to the offering documents and to prepare funds for disbursement. Issuer’s instructions to Escrow Agent shall certify that all conditions set forth in the Offering Statement for release of funds have been met for a closing of the Offering and include a schedule of deductions from the Escrow Account for any fees and expenses related to the Offering (as set forth in this Agreement) from the gross proceeds of the Escrow Account prior to remitting such funds, if and when due, to Issuer. Escrow Agent is hereby directed to remit such funds as directed by Issuer directly to the appropriate parties, if any, to which they are due. Net proceeds (meaning gross proceeds less amounts remitted pursuant to Issuer’s instructions to brokers and other Parties, and does not include interest earned or accumulated in the Escrow Account) will then be remitted to Issuer as described above. Escrow Agent may rely solely upon any account numbers or similar identifying data provided by the Issuer or Subscribers to identify (a) a beneficiary, (b) a beneficiary’s bank, or (c) an intermediary bank. Escrow Agent may apply any of the Escrow Funds for any payment order it executes using any such identifying number or data.

 

5.Collection Procedure. Escrow Agent is hereby authorized, upon receipt of Subscriber funds, to promptly deposit them in the Escrow Account. Any Subscriber funds which fail to clear or are subsequently reversed, including but not limited to ACH chargebacks and wire recalls, shall be debited to the Escrow Account, with such debits reflected on the Escrow Account Statement prepared by Escrow Agent. Any and all fees paid by Issuer for funds receipt and processing are non-refundable, regardless of whether ultimately cleared, failed, rescinded, returned, or recalled. In the event of any Subscriber refunds, returns or recalls after funds have already been remitted to Issuer, then Issuer hereby irrevocably agrees to immediately and without delay or dispute send equivalent funds to Escrow Agent to cover the refund, return, or recall. If Issuer has any dispute or disagreement with its Subscriber then that is separate and apart from this Agreement and Issuer will address such situation directly with said Subscriber, including taking whatever actions necessary to return such funds to Subscriber, but Issuer shall not involve Escrow Agent in any such disputes.

 

6.Escrow Account Balances. Funds may be invested and reinvested by Escrow Agent in a financial institution of its choice. No interest shall be paid to Issuer or Subscribers on the balances in the Escrow Account; the interest earned shall be for the sole benefit of Escrow Agent.

 

7.Escrow Administration Fees, Compensation to Escrow Agent. Issuer will pay the Escrow Administration Fees to Escrow Agent. All fees and charges must be made via either ACH or credit card payment in accordance with the information on file with Escrow Agent; or, in certain instances, deducted from funds due to Issuer at any close of escrow. At no time will any Subscriber be charged fees. It is acknowledged and agreed that no fees, reimbursement for costs and expenses, indemnification for any damages incurred by the Issuer or Escrow Agent shall be paid out of or chargeable to the Subscriber funds on deposit in the Escrow Account prior to closing. Issuer agrees without exception that it is liable to Escrow Agent to pay and agrees to pay Escrow Agent, even under circumstances where Issuer has entered an agreement that said fees are to be paid by another party. All fees are charged immediately upon receipt of this Agreement, and are not contingent in any way on the success or failure of the Offering. Furthermore, Escrow Agent is exclusively entitled to retain as part of its compensation any and all investment interest, gains, and other income earned pursuant to item 6 above.

 

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Fees on this offering are set forth in Exhibit A.

 

8.Issuer Representations and Warranties. The Issuer covenants and makes the following representations and warranties to Escrow Agent:

 

A.It is duly organized, validly existing, and in good standing under the laws of the state of its incorporation or organization, and has full power and authority to execute and deliver this Agreement and to perform its obligations hereunder.

 

B.This Agreement has been duly approved by all necessary action, including any necessary shareholder or membership approval, has been executed by its duly authorized officers, and constitutes its valid and binding agreement enforceable in accordance with its terms.

 

C.The execution, delivery, and performance of this Agreement is in accordance with the agreements related to the Offering and will not violate, conflict with, or cause a default under its articles of incorporation, bylaws, management agreement or other organizational document, as applicable, any applicable law, rule or regulation, any court order or administrative ruling or decree to which it is a party or any of its property is subject, or any agreement, contract, indenture, or other binding arrangement, including the agreements related to the Offering, to which it is a party or any of its property is subject.

 

D.The Offering shall contain a statement that Escrow Agent has not investigated the desirability or advisability of investment in the Securities nor approved, endorsed or passed upon the merits of purchasing the Securities; and the name of Escrow Agent has not and shall not be used in any manner in connection with the Offering of the Securities other than to state that Escrow Agent has agreed to serve as escrow agent for the limited purposes set forth in this Agreement.

 

E.No party other than the Parties hereto has, or shall have, any lien, claim or security interest in the Escrow Funds or any part thereof. No financing statement under the Uniform Commercial Code is on file in any jurisdiction claiming a security interest in or describing (whether specifically or generally) the Escrow Funds or any part thereof.

 

F.It possesses such valid and current licenses, certificates, authorizations or permits issued by the appropriate state, federal or foreign regulatory agencies or bodies necessary to conduct its respective businesses, and it has not received any notice of proceedings relating to the revocation or modification of, or non-compliance with, any such license, certificate, authorization or permit.

 

G.The Offering complies in all material respects with the Act and all applicable laws, rules and regulations. Escrow Agent shall be entitled to rely on representations and certifications provided by the Issuer and shall have no duty or responsibility for determining whether this Agreement or Offering conform to the requirements of applicable Federal or state securities laws, including but not limited to the Securities Act of 1933 or the Securities Exchange Act of 1934, each as amended.

 

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All of its representations and warranties contained herein are true and complete as of the date hereof and will be true and complete at the time of any disbursement of Escrow Funds.

 

9.Escrow Agent Representations and Warranties. The Escrow Agent covenants and makes the following representations and warranties to the Issuer:

 

A.It is duly organized, validly existing, and in good standing under the laws of the state of its organization, and is in good standing with the Nevada Financial Institutions Division.
B.Escrow Agent meets the definition of a “bank” under Section 3(a)(6) of the Securities Exchange Act of 1934 (the “Exchange Act”).
C.The procedures for receiving funds from investors, and disbursing those funds will be done in compliance with Rule 15c2-4(b) of the Exchange Act.

 

All of its representations and warranties contained herein are true and complete as of the date hereof and will be true and complete at the time of any receipt and disbursement of Escrow Funds.

 

10.Term and Termination. This Agreement will remain in full force during the Escrow Period and shall terminate upon the following:

 

A.As set forth in Section 2.

 

B.Termination for Convenience. Any party may terminate this Agreement at any time for any reason by giving at least thirty (60) days’ written notice.

 

C.Escrow Agent’s Resignation. Escrow Agent may unilaterally resign by giving written notice to Issuer, whereupon Issuer will immediately appoint a successor escrow agent. Until a successor escrow agent accepts appointment or until another disposition of the subject matter has been agreed upon by the parties, following such resignation notice, Escrow Agent shall continue to perform all of its duties hereunder.

 

Even after this Agreement is terminated, certain provisions will remain in effect, including, but not limited to, items 3, 4, 5, 9, 10, 11, 12, 13, 14, 15, and 16 of this Agreement. Escrow Agent shall be compensated for the services rendered as of the date of the termination or removal.

 

11.Binding Arbitration, Applicable Law, Venue, and Attorney’s Fees. This Agreement is governed by, and will be interpreted and enforced in accordance with the laws of the State of Nevada, as applicable, without regard to principles of conflict of laws. Any claim or dispute arising under this Agreement may only be brought in arbitration, pursuant to the rules of the American Arbitration Association, with venue in the city of Las Vegas, Nevada. The parties consent to this method of dispute resolution, as well as jurisdiction, and consent to this being a convenient forum for any such claim or dispute and waives any right it may have to object to either the method or jurisdiction for such claim or dispute. Furthermore, the prevailing party shall be entitled to recover damages plus reasonable attorney’s fees and costs.

 

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12.Limited Capacity of Escrow Agent. This Agreement expressly and exclusively sets forth the duties of Escrow Agent with respect to any and all matters pertinent hereto, and no implied duties or obligations shall be read into this Agreement against Escrow Agent. Escrow Agent acts hereunder as an escrow agent only and is not associated, affiliated, or involved in the business decisions of Issuer or Subscriber. Escrow Agent is not responsible or liable in any manner whatsoever for the sufficiency, correctness, genuineness, or validity of the subject matter of this Agreement or any part thereof, or for the form of execution thereof, or for the identity or authority of any person executing or depositing such subject matter. Escrow Agent shall be under no duty to investigate or inquire as to the validity or accuracy of any document, agreement, instruction, or request furnished to it hereunder, including, without limitation, the authority or the identity of any signer thereof, believed by it to be genuine, and Escrow Agent may rely and act upon, and shall not be liable for acting or not acting upon, any such document, agreement, instruction, or request. Escrow Agent shall in no way be responsible for notifying, nor shall it be responsible to notify, any party thereto or any other party interested in this Agreement of any payment required or maturity occurring under this Agreement or under the terms of any instrument deposited herewith. Escrow Agent’s entire liability and exclusive remedy in any cause of action based on contract, tort, or otherwise in connection with any services furnished pursuant to this Agreement shall be limited to the total fees paid to Escrow Agent by Issuer.

 

13.Liability. Escrow Agent shall not be liable for any action taken or omitted hereunder, or for the misconduct of any employee, agent or attorney appointed by such party, except in the case of willful misconduct or gross negligence. Escrow Agent shall not have responsibility at any time to ascertain whether or not any security interest exists in the Escrow Amounts, the Fund or any part thereof or to file any financing statement under the Uniform Commercial Code with respect to the Fund or any part thereof. Any liability arising under this Agreement shall be several and not joint.

 

14.Indemnity. Issuer and Escrow Agent agree to defend, indemnify and hold each other, including their affiliates, directors, employees, service providers, officers, agents, partners and third-party service providers (collectively, the “Indemnified Parties”) harmless from any loss, liability, claim, or demand, including reasonable attorney’s fees, made by any third party due to or arising out of this Agreement and/or arising from a breach of any provision in this Agreement, except to the extent that any losses, claims, damages, expenses or liabilities (or actions in respect thereof) result from the willful misconduct or gross negligence of the Indemnified Parties. This indemnity shall also include, but is not limited to, all expenses incurred in conjunction with any interpleader that either party may enter into regarding this Agreement and/or third-party subpoena or discovery process that may be directed to either party. This defense and indemnification obligation will survive termination of this Agreement. Each party reserves the right to control the defense of any such claim or action and all negotiations for settlement or compromise, and to select or approve defense counsel, and each party agrees to fully cooperate with the other party in the defense of any such claim, action, settlement, or compromise negotiations.

 

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15.Entire Agreement, Severability and Force Majeure. This Agreement contains the entire agreement between Issuer and Escrow Agent regarding the Escrow Account. If any provision of this Agreement is held invalid, the remainder of this Agreement shall continue in full force and effect. Furthermore, no party shall be responsible for any failure to perform due to acts beyond its reasonable control, including acts of God, terrorism, shortage of supply, labor difficulties (including strikes), war, civil unrest, fire, floods, electrical outages, equipment or transmission failures, internet interruptions, vendor failures (including information technology providers), or other similar causes.

 

16.Changes. Escrow Agent may, at its sole discretion, comply with any new, changed, or reinterpreted regulatory or legal rules, laws or regulations, and any interpretations thereof, and with an appropriate notice which will be conveyed as soon as practical but no later than 3 business days from the date of any changes, to modify either this Agreement and/or the Escrow Account to comply or conform to such changes or interpretations. Furthermore, all Parties agree that this Agreement shall continue in full force and be valid, unchanged and binding upon any successors of Escrow Agent. Changes to this Agreement will be sent to Issuer via email.

 

17.Waivers. No waiver by any party to this Agreement of any condition or breach of any provision of this Agreement will be effective unless in writing. No waiver by any party of any such condition or breach, in any one instance, will be deemed to be a further or continuing waiver of any such condition or breach or a waiver of any other condition or breach of any other provision contained in this Agreement.

 

18.Language. It is expressly agreed that it is the will of all parties, including Escrow Agent and Issuer that this Agreement and all related pages, forms, emails, alerts and other communications have been drawn up and/or presented in English.

 

19.Issuer Information and Authorized Signors. To help the government fight the funding of terrorism and money laundering activities, federal law requires all financial institutions to obtain, verify, and record information that identifies each person who opens an account. This information will be verified to ensure the identity of all persons opening an account. In certain instances, Escrow Agent is required to collect documents to fulfil its legal obligations. Issuer agrees to provide the required documents and understands that the documents provided in connection herewith will be used solely to establish and verify identity, and Escrow Agent shall have no obligation with respect to the terms of any such document.

 

Issuer Information:

 

Primary Phone

[503-546-4049]

Issuer Alternate Phone Number

[503-549-8990]

 

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Authorized Signor(s):

 

Alexander Aginsky

Andrei Zverev

 

20.Notices. Any communication in connection with this Agreement must be in writing and, unless otherwise stated, may be given in person, by post or fax, or by e-mail or other electronic communication.

 

Such communications shall be addressed as follows:

 

To Escrow Agent:

 

Provident Trust Group, LLC

Attn:Escrow Department

8880 W. Sunset Rd., Suite 250

Las Vegas, NV 89148

 

Escrow@trustprovident.com

 

To Issuer:

BuildingBits Properties I, LLC.

Attn: Alexander Aginsky

425 NW 10th Ave., Suite 306

Portland, OR 97209

 

a.aginsky@buildingbits.com

 

Any party may change their notice or email address and/or facsimile number by giving notice thereof in accordance with this paragraph. All notices hereunder shall be deemed given: (1) if served in person, when served; (2) if sent by facsimile or email, on the date of transmission if before 6:00 p.m. Eastern time, provided that a hard copy of such notice is also sent by either a nationally recognized overnight courier or by U.S. Mail, first class; (3) if by overnight courier, by a nationally recognized courier which has a system of providing evidence of delivery, on the first business day after delivery to the courier; or (4) if by U.S. Mail, on the third day after deposit in the mail, postage prepaid, certified mail, return receipt requested.

 

21.Counterparts. This Agreement may be executed in several counterparts or by separate instruments and by email transmission and all of such counterparts and instruments shall constitute one agreement, binding on all of the Parties hereto.

 

 

 

 

Page 9 of 13

2-10-17 PTG Escrow Services Agreement (Title II and IV)

 

 

(THE REMAINDER OF THIS PAGE IS INTENTIONALLY LEFT BLANK)

(SIGNATURE PAGE TO FOLLOW)

 

 

 

 

Page 10 of 13

2-10-17 PTG Escrow Services Agreement (Title II and IV)

 

 

Your Consent is Hereby Given: By signing this Agreement electronically, Issuer explicitly agrees to receive documents electronically, including its copy of this signed Agreement as well as ongoing disclosures, communications, and notices.

 

IN WITNESS WHEREOF, the undersigned have executed this Agreement as of the day and year first above written.

 

 

ISSUER: [BuildingBits Properties I, LLC]

 

By: <esign>                                                                    

 

Name:                                                                              

 

Its:                                                                                    

 

Date:                                                                                

 

 

ESCROW AGENT: Provident Trust Group, LLC

 

By:   <esign>                                                                  

 

Name: Theresa Fette                                                     

 

Its: CEO                                                                           

 

Date:                                                                                

 

 

Page 11 of 13

2-10-17 PTG Escrow Services Agreement (Title II and IV)

 

 

EXHIBIT A

Fees and Costs

 

Escrow fees to be paid via ACH or credit card on file.

 

 

Escrow Agent’s Administrative Fees shall be calculated on the following schedule.

 

Fee Description: Cost:
Escrow Account Set-Up $495.00 (One-Time)
Escrow Account Maintenance $95.00 per month
Mail Fees
Priority Mail $15.00
Overnight Mail $35.00
Transaction Fees
ACH Transfer – In (Subscriber Debit) No Charge
ACH Transfer - Out $25.00
Domestic Wire Transfer - Out $25.00
International Wire Transfer - Out $40.00
Internal Escrow Transfer $100.00
Returned / Rejected Processing Fee (ACH, Credit Card, Wire) $25.00
Miscellaneous Administrative Services1 $100/hour
Late Fee2 $100.00

1 As part of its fees for services rendered to an account, Provident Trust Group may receive and retain interest and other income generated, including amounts paid to it by third-party financial institutions, upon depositing Un-Invested Cash Funds or placing deposits upon a client’s direction.

2 For failure to pay Account Fees by provided deadline.

 

Page 12 of 13

2-10-17 PTG Escrow Services Agreement (Title II and IV)

 

 

A.Set-Up and Annual Fees. Investor shall be subject to Escrow Agent’s fee schedule currently in effect for custodial services provided. As of the date of this Agreement, Escrow Agent’s annual fee per account is as follows:

 

Account Type: Set-Up Fee: Annual Fee:
Custodial (Qualified) $50.00 $250.00
Custodial (Non-Qualified) $50.00 $100.00
Traditional $50.00 $250.00
Roth $50.00 $250.00
SEP $50.00 $250.00
Solo K $150.00 $495.00

 

B.Investor Responsibilities. Investor in fund shall be subject to all Escrow Agent’s policies such as $500.00 minimum balance, five (5) day seasoning on checks including premium payments, and other policies contemplated in Escrow Agent’s account disclosures.

 

C.Invoice. Escrow Agent shall provide a monthly invoice to Issuer on the 5th business day of the month following service. Upon presentation of the monthly invoice, Escrow Agent will collect funds from the designated Escrow Account on the 15th day of the month following service. If there are insufficient funds, Issuer shall remit payment no later than the 20th day of the month following service.

 

 

Page 13 of 13

2-10-17 PTG Escrow Services Agreement (Title II and IV)

 

EX1A-11 CONSENT 14 tv493263_ex11-1.htm EXHIBIT 11.1

 

EXHIBIT 11.1

 

CONSENT OF INDEPENDENT AUDITOR

 

We consent to the use in this Offering Statement on Form 1-A of our Independent Auditors’ Report dated March 12, 2018 relating to the balance sheet of Building Bits Properties I, LLC as of December 31, 2017, and the related statements of operations, member’s equity, and cash flows for the period from February 24, 2017 (“Inception”) through December 31, 2017, and the related notes to the financial statements.

 

/s/ dbbmckennon

Newport Beach, California

May 10, 2018

 

 

EX1A-12 OPN CNSL 15 tv493263_ex12-1.htm EXHIBIT 12.1

 

Exhibit 12.1

 

 

 

Building Bits Properties I, LLC

425 NW 10th Ave, Suite 306

Portland, OR 97209

 

May 11, 2018

 

To the Managers:

 

We are acting as counsel to Building Bits Properties I, LLC (the “Company”) with respect to the preparation and filing of an offering statement on Form 1-A. The offering statement covers the contemplated sale of up to $2,111,614 of Class Xfinity-Williamsport.PA Common Bits; up to $4,541,504 of Class Hollywood12-Portland.OR Common Bits; up to $4,023,631 of Class AT&T-Maplewood.MN Common Bits; and up to $3,839,905 of Class Sleep Number-Shenandoah.TX Common Bits.

 

In connection with the opinion contained herein, we have examined the offering statement, the certificate of formation, operating agreement and Bit Designations, as well as all other documents necessary to render an opinion. In our examination, we have assumed the legal capacity of all natural persons, the genuineness of all signatures, the authenticity of all documents submitted to us as originals, the conformity to original documents of all documents submitted to us as certified or photostatic copies and the authenticity of the originals of such copies.

 

Based upon the foregoing, we are of the opinion that the various classes of Common Bits bearing the designations identified above sold pursuant to the offering statement will be duly authorized and will be, when issued in the manner described in the offering statement, legally and validly issued, fully paid and non-assessable. No opinion is being rendered hereby with respect to the truth and accuracy, or completeness of the offering statement or any portion thereof.

 

We further consent to the use of this opinion as an exhibit to the offering statement. 

 

Yours truly,

 

CrowdCheck Law LLP

 

By: Andrew Stephenson, Partner

 

 

 

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