0001750063-18-000008.txt : 20181211 0001750063-18-000008.hdr.sgml : 20181211 20181210182927 ACCESSION NUMBER: 0001750063-18-000008 CONFORMED SUBMISSION TYPE: 1-A/A PUBLIC DOCUMENT COUNT: 13 FILED AS OF DATE: 20181211 DATE AS OF CHANGE: 20181210 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Fifteen Five Partners PBC CENTRAL INDEX KEY: 0001750063 STANDARD INDUSTRIAL CLASSIFICATION: SERVICES-EDUCATIONAL SERVICES [8200] IRS NUMBER: 831546886 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 1-A/A SEC ACT: 1933 Act SEC FILE NUMBER: 024-10889 FILM NUMBER: 181227411 BUSINESS ADDRESS: STREET 1: 901 CRYSTAL FALLS PKWY, STE 207 CITY: LEANDER STATE: TX ZIP: 78641 BUSINESS PHONE: 512-826-7355 MAIL ADDRESS: STREET 1: 901 CRYSTAL FALLS PKWY, STE 207 CITY: LEANDER STATE: TX ZIP: 78641 1-A/A 1 primary_doc.xml 1-A/A LIVE 0001750063 XXXXXXXX 024-10889 true false true Fifteen Five Partners PBC DE 2018 0001750063 8200 83-1546886 40 216 901 CRYSTAL FALLS PKWY, STE 207 LEANDER TX 78641 512-826-7355 Andrew R. Stokesbary Other 1213932.00 0.00 721903.00 1111235.00 3280276.00 2132211.00 586672.00 2718883.00 561393.00 3280276.00 7347385.00 2635069.00 79413.00 418171.00 0.42 0.42 PMB Helin Donovan, LLP Class P Common Stock 564000 none none Class F Common Stock 100 none none 0 0 true true false Tier2 Audited Equity (common or preferred stock) Y Y N Y N N 250000 0 1.0000 250000.00 0.00 0.00 0.00 250000.00 PMB Helin Donovan, LLP 5000.00 Stokesbary PLLC 15000.00 230000.00 true false AL AK AZ AR CA CO CT DE DC 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 PR RI SC SD TN TX UT VT VA WA WV WI WY A0 A1 A2 A3 A4 A5 A6 A7 A8 A9 B0 Z4 false Fifteen Five Partners PBC Class F Common Stock 100 100 $561,393 in the form of 1,000,000 shares of Fifteen Five Corporation Stock, with the value determined by the book value of such stock as computed in the company's most recently-completed independent audit. (Note this consideration was paid for the simultaneous issuance of two classes of stock, 100 shares of Class F Common Stock described here, and 500,000 shares of Class P Common Stock described below.) see above Fifteen Five Partners PBC Class P Common Stock 564000 500000 $561,393 in the form of 1,000,000 shares of Fifteen Five Corporation Stock, with the value determined by the book value of such stock as computed in the company's most recently-completed independent audit. (Note this consideration was paid for the simultaneous issuance of two classes of stock, 500,000 shares of Class P Common Stock described here, and 100 shares of Class F Common Stock described above.) $64 in cash, plus current and future services provided. Cash price per share ($0.0001) was equal to par value. see above Exempt under Securities Act Section 4(a)(2): 500,100 shares issued to an officer/director without involving any public offering. Exempt under Rule 701: 64,000 shares issued to employees pursuant to a written compensatory benefit plan. PART II AND III 2 partiiandiii.htm PART II AND III Offering Circular of Fifteen Five Partners PBC

PRELIMINARY OFFERING CIRCULAR DATED DECEMBER 10, 2018

Fifteen Five Partners PBC

Fifteen Five Partners PBC

901 Crystal Falls Parkway, Suite 207
Leander, Texas 78641
Tel: (512) 826-7355

www.fifteenfivepartners.com

Up to 250,000 shares of Class A Common Stock
See “Securities Being Offered” at page 36

Minimum Investment: 100 shares ($100.00)

Class A Common Stock Price per Share to the Public Total Number of Shares Being Offered Proceeds to Issuer before Expenses*
Total Minimum: $ 1.00 250,000 $ 250,000

The offering will terminate at the earlier of: (1) the date at which the maximum offering amount has been sold, (2) the date which is one year from this offering being qualified by the Securities and Exchange Commission, or (3) the date at which the offering is earlier terminated by the Company in its sole discretion. The offering is being conducted on a best-efforts basis without any minimum target. The Company may undertake one or more closings on a rolling basis. After each closing, funds tendered by investors will be available to the Company.

* The company expects that the amount of expenses it will pay in connection with this offering will be approximately $20,000, not including state filing fees.

i

THE UNITED STATES SECURITIES AND EXCHANGE COMMISSION (THE “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.

This offering is inherently risky. See “Risk Factors” on page 3.

Sales of these securities will commence on approximately [            ], 2018.

The Company is following the “Offering Circular” format of disclosure under Regulation A.

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.

ii

A Message from our Founder

“An Owner’s Manual” for Fifteen Five Stockholders1

Fifteen Five Partners is not a normal company and will never be one. We want all of our stockholders to understand this. Before investing, it would be wise to understand our eight owner-related principles and beliefs. These will help you to understand us more and understand your potential investment.

  1. We are different: We are often unconventional. We seek to ask different questions that yield different answers. An example of this is our decision to become a public benefit corporation, which means we have a fiduciary responsibility to not only our stockholders, but also to the public benefits defined in our charter.
  2. We dream big2: We believe that capitalism mixed with the legal framework of public benefit corporations, and with the right mission, has the potential to create a Captopia.3 We believe that we can change the world with our dream. To track the progress of our dream and to grade my results, we will track three things: (i) our growth in book value per share relative to such growth for the S&P 500, (ii) our growth in book value per share relative to the growth of Berkshire Hathaway’s book value per share over the period from 1965 to 2014, and (iii) our growth in share price relative to the company with the highest share price growth of any company traded on a U.S. stock exchange or OTC market over the period from 2019 to 2069. A wise man once said, “If you ain’t first, you’re last.”4 Over time, we will provide updates to our stockholders regarding our progress toward this goal; those three variables will serve as a “pace car” to motive your management to improve results.
  3. We strive to be a museum for great businesses and exceptional people: As a holding company for several wholly-owned subsidiaries, we have no desire to sell any of our good businesses, regardless of price. For companies that we sponsor via a private equity arrangement, the story is different due to the nature of that business. We also are reluctant to sell our wholly-owned mediocre businesses as long as they generate some cash for allocation in other great businesses. The same goes for people. For exceptional people we will never engage in layoffs to hit profitability numbers. We also have unique raise and bonus protocols that could result in some individuals making a much higher than market salary based on the number of people they have helped develop. We will continue to honor those commitments to those that helped us achieve our results. We will also strive to be the most logical choice for business owners looking to transition ownership of their businesses. With us, your business will be treated like a work of art. We will create an exhibit hall in our museum that is dedicated to their work of art. Your business is in safe hands with us and we would even love to have you continue to lead it and finish the painting you started.

1 The concept of “An Owner’s Manual” was inspired by Warren Buffett’s letters to the stockholders of Berkshire Hathaway in the company’s annual reports.
2 Renowned investor Jorge Paulo Lemann said, “a big dream does not take any more effort than a small dream, so dream big.”
3 A Captopia is a utopian society produced by benefit capitalism.
4 Reese Bobby, Talladega Nights: The Ballad of Ricky Bobby (2006).

iii

  1. We think long-term: We have no desire to manage results for short-term gain. We will strive to think in decades and centuries rather than quarters and years. As for stock performance, we should be judged over 20-year periods. We think we should be judged on performance for book value per share over 10-year periods. And both of these metrics should be compared against the S&P 500 index. Since our focus is on the long-term, we do not see any benefit in trying to smooth out earnings or win favor with financial analysts. We will not participate in earning guidance or analysts calls. We will, however, communicate with our stockholders twice per year: first in a letter like this contained in our annual report, and again at our annual stockholders’ meeting.
  2. We have multiple stakeholders: We are partners with our team members, stockholders, current society, and future society. We will strive to align the interests of our stockholders with the interests of our team while benefiting society.
  3. We don’t like debt, but we love leverage: We want to use modest amounts of debt. You might be asking, “why do you love leverage?” Let me explain: we believe in an equation for wealth, which is W = (V + E) × L, where W is wealth, V is Value, E is Exchange, and L is leverage.5 To understand this equation, you first have to get a mental picture in your mind. Picture a river of money. Right now, there are millions of dollars floating around the world in different streams and rivers. You don’t make money, you redirect that flow to you. Water obeys physics and with water, it travels when there is a height differential, and the bigger the height differential the faster the water moves. Money is no different, and it flows fast when there is a value differential, the bigger the differential, the faster the flow. Value differential could be many things and they could include a new innovation, cost, speed, be faster, bigger, etc. The exchange is getting fair compensation for the value you have created and the process of putting your value out into the world. The leverage in the equation represents the width/depth of the river, so the wider the river the more money it can flow. Leverage is many things. It can represent, money, locations, people, systems, etc. This is why we love it. We will strive to increase these forms of leverage.
    1. a. Multiple forms of float: While there are other forms of business float that we will pursue, insurance is the largest. We have zero experience in the insurance industry, however we will want to enter it at some point in the future. While we are lacking experience and also knowledge, we believe that we do possess some competitive advantages in the field, including:
      1. We believe there is an institutional imperative in the industry to grow premiums on a year over year basis.
      2. We believe an insurance company in a conglomerate corporate structure provides some unique benefits to a capital allocator.
      3. We believe that there is some innovation that could happen leveraging big analytics, IoT, and also long-tail targeting methods.

5 See Roger Hamilton, “The Wealth Equation,” available at https://youtu.be/Px3LdU9pytY, and Rob Moore, “The Formula for Wealth,” available at https://robmoore.com/blog/wealth-value-exchange-x-leverage. To my knowledge, Hamilton originally developed the formula as W = V × L, and Moore later modified it to include the exchange factor E.

iv

    1. Assets Under Management (“AUM” or “other people’s money”): If you believe that ideas are abundant, and there is a push to develop more leaders, it makes sense to combine capital allocated for M&A with OPM. We have zero AUM now but like the economics of the private equity, independent sponsor, and private investment firm industry and may pursue it one day.
    2. Deferred Tax Liabilities (DTLs): We view DTL as a form of float. When we can get an interest free loan from Uncle Sam, we will do this.
    3. Leadership Bench:
      1. Part of the mandate to increase AUM is so that we can spread our capital out more broadly to help attract more talent and to develop more leaders. We believe that our leadership bench is the most important KPI. No organization can grow faster, sustainably over time, than at the rate they develop cohesive, healthy leadership teams.
      2. Exceptional people are the only long-term competitive advantage in business. Growing our leadership bench is our most important mandate. We will make capital allocation decisions and set goals to achieve this.
    4. Business Models, Systems, and Automation: We will strive to invest in non-capital-intensive ventures that have the ability to grow 10x in intrinsic value with minimal capital expenditures. We also believe in the power of systems and the opportunity that automation gives business. With people, we want to look for “Air Distillers”—people that can make money out of thin air. Let me explain. The way argon, nitrogen, and oxygen are made is by a process called fractional distillation.6 It’s a fairly complicated process, but to a chemist it’s very easy. An air distiller with the right equipment can produce virtually unlimited amounts of those different gases which could be resold and thus create money out of thin air. The rate limiting factor is the chemist and the equipment. Having air distillers on our team that can be deployed in a number of businesses gives the Company a competitive advantage as it can leverage these individuals in high ROE ventures. We want to connect the right chemists (or leaders) to the right equipment so we can make money out of thin air.
  1. We believe in a modified, decentralized conglomerate structure: We believe that a decentralized management structure in a conglomerate holding company can work in the short-term. Over the course of many decades, we believe that it is unlikely to outperform the market. We believe that having shared service companies that operate as independent businesses, that are all related to multiple consulting groups, could provide the advantages of a decentralized management structure while also giving leaders the fire power and domain expertise to compete in our fast-changing world.
  2. Our long-term stockholder economic goal is to maximize Fifteen Five’s average annual gain in intrinsic business value on a per-share business on a long-term basis: We will strive to not issue stock when it does not increase the intrinsic per-share value, whether it is for a merger or acquisition, raising capital, or an employee stock plan.

–Thomas Ince, CEO

6 Fractional distillation is a process of heating air to 200 degrees Celsius, which then liquefies the air. After that the liquid is heated up slowly and there is a process of capturing the different gases as they each have different boiling points.

v

Table of Contents

SUMMARY 1
 
RISK FACTORS 3
 
DILUTION 17
 
PLAN OF DISTRIBUTION 20
 
USE OF PROCEEDS 21
 
OUR BUSINESS 22
 
OUR PROPERTY 28
 
MANAGEMENT’S DISCUSSION AND ANALYSIS 29
 
DIRECTORS AND EXECUTIVE OFFICERS 32
 
COMPENSATION OF DIRECTORS AND EXECUTIVE OFFICERS 33
 
SECURITY OWNERSHIP OF MANAGEMENT 34
 
INTEREST OF MANAGEMENT IN CERTAIN TRANSACTIONS 35
 
SECURITIES BEING OFFERED 36
 
FINANCIAL STATEMENTS FS-i
 
INDEX TO EXHIBITS  
 
SIGNATURES  

vi

In this Offering Circular, the terms “Fifteen Five,” “we,” “us,” “our,” and “the Company” refer to Fifteen Five Partners PBC.

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, WORDS LIKE “ESTIMATE,” “PROJECT,” “BELIEVE,” AND “EXPECT” 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 FORWARD-LOOKING STATEMENTS TO REFLECT EVENTS OR CIRCUMSTANCES AFTER SUCH DATE OR TO REFLECT THE OCCURRENCE OF UNANTICIPATED EVENTS.

vii

SUMMARY

Company Overview

We are a public benefit corporation headquartered in Texas. We own and operate affordable, hands-on vocational schools for medical and dental assistants. We have developed a unique approach by partnering with area physicians and dentists to conduct classes in their actual medical and dental facilities on nights and weekends. By leveraging existing facilities in this manner, we offer more attractive classes to students than our traditional competitors in the for-profit education industry and with lower cash outlays and other overhead costs.

In addition to our vocational training business, we also operate several other lines of business through various wholly- and partially-owned subsidiaries. While these businesses are largely distinct, they can also present opportunities for synergy. Fifteen Five’s role as the parent company of these subsidiaries is to (a) identify and implement such synergies when they exist and (b) strategically allocate capital generated by each subsidiary to other subsidiaries within the Fifteen Five ecosystem in order to maximize our stockholder value.

As a public benefit corporation (a “PBC”), we have a legal obligation to promote a public benefit and operate in a responsible and sustainable manner. Our specific public benefit, as defined in our Company’s charter, is the contribution of 10 percent of our net income to the formation, financing, support or promotion of other public benefit corporations that have been selected by our board of directors and focus on improving “Level 1” and “Level 2” needs described by Maslow’s hierarchy of needs. Unlike traditional corporations, (a) our managers have a fiduciary duty to consider not only the stockholders’ interests, but also the Company’s specific public benefit and the interests of other stakeholders affected by the Company’s actions, (b) our stockholders (provided they individually or collectively own at least two percent of the Company’s outstanding shares) can file a derivative lawsuit claiming our board of directors failed to balance stockholder and public benefit interests and (c) our directors are shielded from liability under state law for breach of these fiduciary obligations as long as they make informed and disinterested decisions that serve a “rational purpose.”

Selected Risks Associated with the Business

Our Company and our business are subject to a number of risks, which are set out in more detail in “Risk Factors.” Risks include the following:

  • The emergence of more successful competitors, including those offering price reductions that we are unwilling or unable to match;
  • Adverse publicity, investigations, or regulation regarding us, our competitors, or our industry;
  • A decline in the market acceptance of for-profit education or our certificate offerings by students or current and prospective employers; and
  • Our ability to successfully market our program opportunities to prospective students in existing and future markets.

1

The Offering

Securities offered

Maximum of 250,000 shares of Class A Common Stock
 

Minimum investment

The minimum investment in this offering is $100, or 100 shares of Class A Common Stock
 

Common Stock outstanding before the offering

0 shares of Class A Common Stock

100 shares of Class F Common Stock

564,000 shares of Class P Common Stock

 

Preferred Stock outstanding before the offering

None
 

Common Stock outstanding after the offering (assuming a fully-subscribed offering)

250,000 shares of Class A Common Stock

100 shares of Class F Common Stock

564,000 shares of Class P Common Stock

 

Common Stock outstanding after the offering (assuming a fully-subscribed offering and in which all holders of Class F Common Stock and Class P Common Stock convert to Class A Common Stock)

814,100 shares of Class A Common Stock
 

Use of proceeds

The net proceeds of this offering will be used to fund investment and expansion opportunities, as well as for general business purposes. See “Use of Proceeds” for more detailed information.

2

RISK FACTORS

The SEC requires that we identify risks that are specific to our business and financial condition. 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 even natural disasters. Additionally, growth-stage companies are inherently more risky than more developed companies. You should consider general risks as well as specific risks when deciding whether to invest.

Risks Related to Our Business and Industry

We require highly-qualified personnel to manage and operate our various schools.

In our decentralized business model, we rely on qualified and competent management to direct day-to-day business activities of our schools. These programs also rely on qualified and competent personnel to execute the in-class training and oversight needed to serve our students. Changes in state regulations, training requirements and the unavailability of qualified personnel could negatively impact our schools’ ability to meet the needs of students and fulfill school functions. Recruiting and retaining qualified personnel is important to all of our operations.

Although we have adequate personnel for the current business environment, unpredictable increases in demand for goods and services may exacerbate the risk of not having sufficient numbers of trained personnel, which could have a negative impact on our operating results, financial condition and liquidity.

To execute our growth strategy, we must attract and retain highly qualified faculty, administrators, management and skilled personnel. Competition for hiring these individuals is intense, especially with regard to faculty in specialized areas. If we fail to attract new skilled personnel or faculty or fail to retain and motivate our existing faculty, administrators, management and skilled personnel, our business and growth prospects could be severely harmed.

Our unique business model may expose us to greater a risk of liability for property damage and injury.

Because the majority of our school locations are located far from our corporate headquarters, and instruction frequently occurs in high-value dental and medical practices, corporate management is not able to provide daily oversight and control over all of our employees. If one of our employees damages a practice or its equipment, the Company could be liable for damage to these high-value practices, including reimbursement for the cost of repairs, replacement of equipment, lost profits for the practice, lost wages for the practice’s employees, and other special damages.

Since our locations are located in dental and medical practices, there is a risk an employee or student could discover protected health information belonging to a patient and/or be exposed to health hazards from the practices’ patients. An unauthorized discovery of protected health information could violate the Health Information Portability and Accountability Act and subject the practice to significant fines and penalties, and the practice could seek indemnification from us to reimburse these fines and penalties. In the event of an exposure of health hazards from patients, we could be liable for damages suffered by our students or employees.

3

We are dependent on the services a few key personnel.

Major investment decisions and all major capital allocation decisions are made by Thomas Ince, our President, CEO and sole Director. If the services of our key personnel, particularly Mr. Ince, were to become unavailable, our operations could be adversely impacted.

In addition to serving as our CEO, Mr. Ince is also the CEO of Vandelay Education, LLC (“Vandelay”), one of our wholly-owned subsidiaries and the primary source of our revenue. While having a single executive simultaneously fill both these roles is currently feasible, it is not sustainable over the long-term as our other portfolio companies grow. We will need to develop a succession plan for Vandelay, the result of which could hinder operating results.

Our future success depends, in part, on our ability to attract and retain key personnel. The loss of the services of Mr. Ince or other key individuals, and the process to replace these individuals would involve significant time and expense and may significantly delay or prevent the achievement of our business objectives.

If we fail to comply with the extensive regulatory requirements for our business, we could face penalties and significant restrictions on our operations.

We are subject to extensive and various regulation by the education regulatory agencies for each state in which we do business. These state laws typically establish standards for instruction, qualifications of faculty, administrative procedures, marketing, recruiting, financial operations, and other operational matters. The regulations, standards and policies of these administrative agencies cover the vast majority of our operations, including our educational programs, facilities, instructional and administrative staff, administrative procedures, marketing, recruiting, financial operations and financial condition. (In addition, the U.S. Department of Defense regulates our participation in the military spouse tuition assistance program in several locations where we choose to participate.)

These regulatory requirements can also affect our ability to add new or expand existing educational programs and to change our corporate structure and ownership If we fail to comply with state requirements to obtain licensure or authorization, we may be the subject of injunctive actions or penalties. Loss of licensure or authorization or the failure to obtain required licensures or authorizations could prohibit us from recruiting or enrolling students in certain states, reduce significantly our enrollments and revenues and have a material adverse effect on our results of operations. In particular, the majority of our schools have been approved by the Texas Workforce Commission, but any changes to the approval and re-licensure of these schools could lead to material harm to our Company.

We may be subject to additional regulation by state and federal agencies, and potential legislation or regulation could change the dynamics of our business and industry.

Our medical and dental assistant programs may become subject to additional state and federal regulation. This additional regulation could require us to expand student services, be subject to additional state reporting requirements, inhibit prospective students from obtaining loans to finance their attendance, or impose other regulatory requirements that could significantly increase the operational and legal cost of compliance.

4

It is possible that, in the future, the federal government may directly subsidize or even pay for post-secondary education, which would provide students with the ability to attend accredited schools that offer longer, more expensive programs at a reduced or eliminated cost. This may decrease the demand for our industry’s services.

Other future regulation involving issues such as consumer protection, mobile communications, privacy, data protection, electronic communications, pricing and taxation may increase our costs or risks, which could reduce our profitability and/or impede our growth.

Some states may require programs be accredited to operate, which would prevent our programs from being offered in those states.

Several states require vocational schools to be accredited by an accrediting agency recognized by the U.S. Department of Education in order to be licensed by the state and operate under our current model. Since our programs are unaccredited, this prohibits us from expanding into those states. If more states adopt this standard, it would further inhibit our ability to expand to additional markets and could compel us to exit certain states.

Some states also have accreditation requirements unique to specific programs or vocations. For example, Minnesota requires dental assistants attend an accredited dental assistant program in order to receive a radiology certification. However, there is no corresponding accreditation standard for medical assistant programs in Minnesota. States that adopt specific standards similar to Minnesota could bar one or both of our programs from entering, or continuing to operate in, those states.

The trend in municipalities adopting employee protective ordinances may impose increased operational and compliance costs on us.

Many cities across the country are adopting local ordinances that create new workers’ rights ordinances that may impact our business. These new ordinances include new anti-discrimination rules, minimum wage rates, guaranteed paid medical or family leave or vacation time, and predictive scheduling. Almost all of our instructors are currently part-time employees and, per Company policy, do not receive paid medical leave or vacation time. Many cities and states in which we are currently, or plan to be, operating require may require us to offer additional benefits to these part-time employees. This would increase not only payroll costs, but also other legal, accounting and administrative costs as we attempt to comply with these new mandates.

If our competitors are subject to further regulatory claims and adverse publicity, it may affect our industry and reduce our future enrollment.

We are one of a number of for-profit institutions serving the post-secondary education market. In recent years, regulatory investigations and civil litigation have been commenced against several companies that own for-profit educational institutions. These investigations and lawsuits have alleged, among other things, deceptive trade practices and non-compliance with state regulations. These allegations have attracted adverse media coverage and have been the subject of federal and state legislative hearings. The primary regulation and oversight of our courses occur at the state level. We are not regulated by the U.S. Department of Education and do not participate in federal student lending programs or receive federal funding pursuant to Title IV of the Higher Education Act of 1965, as amended (“Title IV”).

5

Nevertheless, while most recent public, regulatory and legislative attention has centered on allegations against specific companies, broader claims against the overall for-profit school sector may negatively affect public perceptions of other for-profit educational institutions, including Vandelay, which could reduce our enrollment, growth and profitability. Adverse media coverage regarding other companies in our industry could also result in increased regulation by state legislatures, litigation by state attorneys general, or enforcement by other state and federal authorities again all for-profit institutions, including us.

Because we are subject to sanctions if we fail to calculate correctly and return timely refunds for students who stop participating before completing their educational program, our future operating results may be adversely affected. Due to potential new regulation or legislative action on this topic, our future costs of compliance may increase.

We must correctly calculate the amount of unearned funds that have been paid by students who withdraw from their educational programs before completion and must return those unearned funds in a timely manner, generally within 60 days or less after the student’s last date of attendance. We must keep accurate records of each student’s attendance. Each state we operate in has unique refund calculation rules that we must follow whenever we are computing a refund. This complexity increases our cost in ensuring full compliance. Under state regulations, late return of student refunds for any student causes us to incur significant penalties, starting on the day the refund is late and continuing until the refund is properly issued. This penalty rate may change annually in a state. If we fail to provide an accurate refund in a timely manner, we could ultimately owe an amount several times larger than what the student originally paid, in addition to any fines or other penalties that may be assessed by a state regulator. This may have an impact on our systems, our future operations and cash flows.

If state legislatures or education regulatory agencies change these rules, changes would likely be drafted in favor of students. This would increase our costs, both in the amount of refunds owed to withdrawing students and the compliance costs associated with these changes.

Investigations by state attorneys general and governmental agencies regarding relationships between loan providers and educational institutions and their financial aid officers may result in increased regulatory burdens and costs.

In recent years, the student lending practices of post-secondary educational institutions, financial aid officers and student loan providers were subject to several investigations conducted by state attorneys general, Congress and other governmental agencies. These investigations concern, among other things, possible deceptive practices in the marketing of private student loans and loans provided by lenders pursuant to consumer protection statutes and state education laws. While we do not currently have contractual relationships with any lenders, we may enter into such arrangements in the future in order to offer new payment options to students. These relationships would require compliance with state and federal laws. Some state legislatures have recently passed or considered new legislation governing the relationships between lenders and institutions. Because of the evolving nature of these legislative efforts and various inquiries and developments, we are unable to predict with certainty their outcome or the potential remedial actions that might result from these types of inquiries. Governmental action may impose increased administrative and regulatory costs and decrease profit margins.

6

If we pay impermissible commissions, bonuses or other incentive payments to individuals involved in recruiting, admissions or financial aid activities, we will be subject to sanctions.

Many states have regulations limiting or prohibiting commissions, bonuses or other incentive payments to individuals in recruiting, admissions, or financial aid activities. These are typically aimed at “head hunting” bonuses, where an incentive is offered for each prospective student who enrolls in a program. If we pay a bonus, commission or other incentive payment in violation of applicable state rules, we could be subject to sanctions, fines, and other penalties, which could have a material adverse effect on our business.

If our student job placement numbers fail to meet required levels, we may lose eligibility for a school to continue to operate.

Some state regulations provide that a school’s license terminates when historical job rates reach below a certain level in a certain single- or multi-year period. In the event that one of our schools fails to reach certain job thresholds, we may have to close that school down or develop a remediation plan to present to the state, which could change current enrollment numbers.

If we fail to comply with the state misrepresentation rules, it could result in sanctions against us.

The state regulators and attorneys general may take action against an institution in the event of a material misrepresentation by the institution concerning the nature of its educational programs, its financial charges, its accreditation or licensure status, or the employability of its graduates. Under many state regulations, an institution engages in material misrepresentation when the institution itself, one of its representatives, or an organization or person with which the institution has an agreement to provide educational programs, marketing, advertising, or admissions services, makes a material misrepresentation directly or indirectly to a student, prospective student or member of the public, or to an accrediting agency or a state agency. The regulations define misrepresentation as any false, erroneous or misleading statement, and they define a misleading statement as any statement that has the likelihood or tendency to deceive or confuse. The regulations define material misrepresentation as any misrepresentation on which the person to whom it was made could reasonably be expected to rely, or has reasonably relied, to the person’s detriment. If a state agency determines that an institution has engaged in material misrepresentation, the state agency may revoke an institution’s license, impose limitations on an institution’s recruiting efforts, deny new licensure applications made on behalf of the institution or another institution under common ownership with the institution, or initiate a proceeding against the institution to fine the institution or to limit, suspend or termination of the institution’s license. We expect that there could be an increase in our industry of administrative actions and litigation claiming substantial misrepresentation, which at a minimum would increase legal costs associated with defending such actions, and as a result our business could be materially and adversely affected.

We have a limited operating history.

Our limited operating history makes evaluating the business and future prospects difficult and may increase the risk of your investment. While we have been operating schools since 2010, we have only significantly expanded the size of the Company since 2016. Therefore, the effects on the Company from changes in the vocational education market and the overall economy may be difficult to predict.

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If we cannot manage our growth, our results of operations may suffer and could adversely affect our ability to comply with state regulations.

The growth that we have experienced since 2011, as well as future growth, may place a significant strain on our resources and increase demands on our management information and reporting systems and financial management controls. We have experienced growth over the last several years. Assuming we continue to grow as anticipated, it may impact our ability to manage our business. If growth negatively impacts our ability to manage our business, the learning experience for our students could be adversely affected, resulting in a higher rate of student attrition and fewer student referrals. If we are unable to manage our growth, we may also experience operating inefficiencies that could increase our costs and adversely affect our profitability and results of operations.

Because our business model is becoming more prolific in the national market, there is a risk of other entities duplicating it in part or in whole, creating more competition in our marketplace.

If companies begin to duplicate our business model, this could serve as a new competition source that could possibly materially harm our business.

We compete and market for the same student that larger for-profit schools and public and private schools compete for. With more competition, this may materially harm our business.

Postsecondary education is highly fragmented and competitive. We compete with traditional, brick-and-mortar, public and private, two- and four-year colleges as well as other for-profit schools, particularly those that offer online learning programs. Public and private colleges and universities, as well as other for-profit schools, offer programs similar to those we offer. Public institutions receive substantial government subsidies, and public and private institutions have access to government and foundation grants, tax-deductible contributions that create large endowments and other financial resources generally not available to for-profit schools. Accordingly, public and private institutions may have instructional and support resources that are superior to those in the for-profit sector. In addition, some of our competitors, including both traditional colleges and universities and online for-profit schools, have substantially greater name recognition and financial and other resources than we have, which may enable them to compete more effectively for potential students.

We may not be able to compete successfully against current or future competitors and may face competitive pressures including price pressures that could adversely affect our business or results of operations and reduce our operating margins. These competitive factors could cause our enrollments, revenues and profitability to decrease significantly.

If the demand for the medical or dental assistant workforce decreases, our business will be adversely affected.

The education of medical and dental assistants comprises the vast majority of our Company’s current revenue and recent growth. If the demand for medical or dental assistants does not continue to grow, or there are changes within the healthcare industry that make the medical or dental assistant occupation less attractive to learners or that make the occupations obsolete, our enrollment and results of operations would be adversely affected.

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In the event that we are unable to update and expand the content of existing programs and develop new programs and specializations on a timely basis and in a cost-effective manner, our results of operations may be harmed.

The updates and expansions of our existing programs and the development of new programs and specializations may not be accepted by existing or prospective students or employers. If we cannot respond to changes in market requirements, our business may be adversely affected. Even if we are able to develop acceptable new programs, we may not be able to introduce these new programs as quickly as students require or as quickly as our competitors introduce competing programs. To offer a new academic program, we may be required to obtain additional state and accrediting agency approvals, which may be conditioned or delayed in a manner that could significantly affect our growth plans. If we are unable to respond adequately to changes in market due to financial constraints, regulatory limitations or other factors, our ability to attract and retain students could be impaired and our financial results could suffer.

Establishing new academic programs or modifying existing programs may require us to make investments in management and faculty, incur marketing expenses and reallocate other resources. If we are unable to increase the number of students, or offer new programs in a cost-effective manner, or are otherwise unable to manage effectively the operations of newly established academic programs, our results of operations and financial condition could be adversely affected.

Because our future growth and profitability will depend in large part upon the effectiveness of our marketing and advertising efforts, if those efforts are unsuccessful, we may not be profitable in the future.

Our future growth and profitability will depend in large part upon our media performance, including our ability to:

  • Grow our medical and dental assistant programs;
  • Create greater awareness of our school and our programs;
  • Identify the most effective and efficient level of spending in each market and specific media vehicle;
  • Determine the appropriate creative message and media mix for marketing expenditures; and
  • Effectively manage marketing costs (including creative and media).

Our marketing expenditures may not increase revenue or generate sufficient levels of brand name and program awareness.

If we experience interruptions to our technology infrastructure, it could prevent students from signing up for courses, have a material adverse effect on our ability to attract and retain students and/or require us to incur additional expenses to correct or mitigate the interruption.

Our computer networks may be vulnerable to unauthorized access, hackers, viruses or other security problems. A user who circumvents security measures could misappropriate proprietary information, personal information about our students or cause interruptions or malfunctions in operations. As a result, we may be required to expend significant resources to protect against the threat of these security breaches or to alleviate problems caused by these breaches.

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Although our management has successfully implemented a weekly payment plan business model, it may not be successful long-term.

We have developed a weekly payment plan model designed to substantially increase our student enrollment and reduce or eliminate our students’ education debt. While results to date have been as anticipated, there are no assurances that this model will continue to be successful. Among the risks are the following:

  • Our ability to compete with existing colleges which have substantially greater financial resources, deeper management and academic resources, and enhanced public reputations;
  • The emergence of more successful competitors;
  • Our marketing costs and effectiveness, like Internet advertising and broad-based branding campaigns;
  • Performance problems with our online systems;
  • Student dissatisfaction with our services and programs;
  • Adverse publicity regarding us, our competitors or online or for-profit education generally;
  • A decrease in the perceived or actual economic benefits that students derive from our programs;
  • Potential students may not be able to afford the weekly payments; and
  • If our weekly payment plan does not maintain popularity with students, our revenues may not increase.

If our online computer network systems are disrupted, it could impact our ability to generate revenue, damage our reputation, or limit our ability to attract and retain students.

Since early 2011, we have made investments to update our computer network to permit accelerated student enrollment and enhance our students’ learning experience. Our programs include significant online portions, including the schools’ phones, student enrollment, student homework assignments, and student files. The performance and reliability of our technology infrastructure is critical to our reputation and ability to attract and retain students. Any system error or failure, or a sudden and significant increase in bandwidth usage, could result in the unavailability of our services, damaging our reputation and could cause a loss in enrollment. Our technology infrastructure could be vulnerable to interruption or malfunction due to events beyond our control, including natural disasters, terrorist activities and telecommunications failures.

If we or our service providers are unable to update the technology that we rely upon to offer online education, our future growth may be impaired.

We believe that continued growth will compel our service providers to increase the capacity and capabilities of their technology infrastructure, which in turn requires investment of labor and capital. There is no assurance that, even with sufficient investment, their systems will be scalable to accommodate our future growth. Our service providers may also need to invest labor and capital resources to update their technology in response to competitive pressures in the marketplace. If they are unwilling or unable to increase the capacity of their resources or update their resources appropriately and we cannot switch service providers efficiently, our ability to grow and attract or retain students, and our financial condition and results of operations, could be adversely affected.

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Because we rely on third parties to provide services in running our operations, if any of these parties fail to provide the agreed services at an acceptable level, it could limit our ability to provide services and/or cause student dissatisfaction, either of which could adversely affect our business.

We rely on third parties to provide us with services in order for us to efficiently and securely operate our business, including our computer network, phone system, and the courses we offer to students. Any interruption in our ability to obtain the services of these or other third parties or deterioration in their performance could impair the quality of our educational product and overall business. Generally, there are multiple sources for the services we purchase. Our business could be disrupted if we were required to replace any of these third parties, especially if the replacement became necessary on short notice, which could adversely affect our growth and profitability.

Because we rely on third-party administration and hosting of learning management system software for the online portions of our programs, if that third-party were to cease to do business or alter its business practices and services, it could have an adverse impact on our ability to operate.

We currently use third parties to provide the software that manages our LMS, phone systems, enrollment process, student files, student portal, instructor portal and other essential Company processes. We further rely on third parties and our internal staff for ongoing support and customization and integration of the system with the rest of our technology infrastructure. If any one of our service providers were unable or unwilling to continue to provide us with service, we may have difficulty maintaining the software required for our program or updating it for future technological changes. Any failure to maintain the online portion of our programs would have an adverse impact on our operations, damage our reputation and limit our ability to attract and retain students.

If we are unable to develop awareness of our course offerings and attract and retain high quality learners to our schools, our ability to generate significant revenue or achieve profitability will be significantly impaired.

Building awareness of Vandelay schools and the programs we offer among working adult professionals is critical to our ability to attract prospective learners. If we are unable to successfully market and advertise our educational programs, our ability to attract and enroll prospective learners in such programs could be adversely affected, and consequently, our ability to increase revenue or achieve profitability could be impaired. It is also critical to our success that we convert these prospective students to enrolled students in a cost-effective manner and that, once enrolled, students remain active in our programs. Some of the factors that could prevent us from successfully enrolling and retaining students in our programs include:

  • The emergence of more successful competitors, including those offering price reductions that we are unwilling or unable to match;
  • Factors related to our marketing, including the costs of Internet advertising and broad-based branding campaigns;
  • Performance problems with our online systems;
  • Failure to maintain licensure;

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  • Student dissatisfaction with our services and programs, including with our customer service and responsiveness;
  • Adverse publicity, investigations, or regulation regarding us, our competitors, or our industry;
  • A decline in the acceptance of for-profit education or our certificate offerings by students or current and prospective employers;
  • Increased regulation of for-profit education, including in states where we lack a physical presence;
  • A decrease in the perceived or actual economic benefits students derive from our programs; and
  • Difficulties in executing on our strategy as a preferred provider to employers for the vertical markets we serve.

Changes to Google and Facebook marketing algorithms might materially harm our business.

We rely on various Facebook and Google marketing methods to reach prospective students. Thus, changes to their targeting criteria or organic SEO algorithms may harm our business.

Because we rely on short-term lease agreements for our school locations, we are at risk for cancellations of our lease agreements.

Our schools are primarily hosted in medical and dental offices at times when the offices are not in use, usually on Saturdays. In the event that a lease contract is terminated and we cannot find a suitable replacement office for our school, we may experience reduced enrollment or even closure of that school.

Because the personal information that we and our vendors collect may be vulnerable to breach, theft or loss, occurrence of any of these events could adversely affect our reputation and operations.

Possession and use of personal information in our operations subjects us to risks and costs that could harm our business. We use a third-party vendor to collect and retain large amounts of personal information regarding our students and their families, including social security numbers, personal and family financial data, and credit card numbers. We also collect and maintain personal information of our employees in the ordinary course of our business. Some of this personal information is also held and managed by other of our vendors. Errors in the storage, use or transmission of personal information could result in a breach of student or employee privacy. Possession and use of personal information in our operations also subjects us to legislative and regulatory burdens that could require notification of data breaches, restrict our use of personal information, and cause us to incur liability and damage our reputation. We cannot guarantee that there will not be a breach, loss or theft of personal information that we store or our third parties store. A breach, theft or loss of personal information regarding our students and their families or our employees that is held by us or our vendors could have a material adverse effect on our reputation and results of operations and result in liability under state and federal privacy statutes and legal or administrative actions by state attorneys general, private litigants, and federal regulators, any of which could have a material adverse effect on our business, financial condition, results of operations and cash flows.

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If we are unable to protect our intellectual property, our business could be harmed.

In the ordinary course of our business, we develop intellectual property subject to copyright, trademark, service mark, trade secret or other protections. This intellectual property includes but is not limited to courseware materials, business know-how and internal processes and procedures developed to respond to the requirements of operating and various education regulatory agencies. We rely on a combination of copyrights, trademarks, service marks, trade secrets, domain names, agreements and registrations to protect our intellectual property. We rely on service mark and trademark protection in the United States to protect our rights to the mark “VandelayEducation” as well as distinctive logos and other marks associated with our services. We rely on agreements under which we obtain rights to use course content developed by faculty members and other third-party content experts. We cannot guarantee that the protective measures we take will be adequate or that we have secured, or will be able to secure, all necessary protections for all of our proprietary rights in the United States. We also cannot guarantee that third parties will not infringe upon or violate our proprietary rights or that we will always prevail in legal disputes over these rights.

Despite our efforts to protect these rights, unauthorized third parties may attempt to duplicate or copy the proprietary aspects of our curricula, online resource material and other content, and offer competing programs to ours. In particular, third parties may attempt to develop competing programs or duplicate or copy aspects of our curriculum, online resource material, quality management and other proprietary content. Any such attempt, if successful, could adversely affect our business. Protecting these types of intellectual property rights can be difficult, particularly as it relates to the development by our competitors of competing courses and programs.

If we are subject to intellectual property infringement claims, it could cause us to incur significant expenses and pay substantial damages.

Third parties may claim that we are infringing or violating their intellectual property rights. Any such claims could cause us to incur significant expenses and, if successfully asserted against us, could require that we pay substantial damages and prevent us from using our intellectual property that may be fundamental to our business. Even if we were to prevail, any litigation regarding the intellectual property could be costly and time-consuming and divert the attention of our management and key personnel from our business operations.

If we incur liability for the unauthorized duplication or distribution of class materials posted online during our class discussions, it may affect our future operating results and financial condition.

If our faculty members or students post certain third-party content on class discussion boards, we could incur liability for the unauthorized duplication or distribution of this material posted online for class discussions. Third parties may raise claims against us for the unauthorized duplication of this material. Any such claims could subject us to costly litigation and impose a significant strain on our financial resources and management personnel regardless of whether the claims have merit. As a result, we may be required to alter the content of our courses or pay monetary damages.

New Technology may harm our business and may lead to disruption.

Augmented Reality (AR), Mixed Reality (MR) and Virtual Reality (VR) have potential to disrupt the education market and materially harm our business.

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Risks Related to Your Ownership of Our Stock

Terms of subsequent financings may adversely impact your investment.

We may engage in equity, debt, or preferred stock financing in the future in order to raise additional capital. Your rights and the value of your investment could be reduced. Interest on debt securities could increase costs and negatively impact operating results. Preferred stock, or other classes of common stock, with terms more favorable than our Class A Common Stock qualified by this Offering, could be issued.

Because of our unique classes of stock, members of our management are able to exert disproportionate control.

As discussed in “Securities Being Offered,” we currently have three classes of Common Stock. Holders of Class A and Class P Common Stock are entitled to one vote per such share owned, while Class F Common Stock entitles its holder to 10 million votes per share. As of November 30, 2018, Thomas Ince, our President, CEO and sole Director, owns 100 shares of Class F Common Stock and 500,000 shares of Class P Common Stock. Thus, even if this offering is fully subscribed, Mr. Ince will possess sufficient voting power to control all matters requiring stockholder approval, including significant corporate transactions. This concentration of ownership may have the effect of delaying or preventing our change in control and might affect the value of our Class A Common Stock.

Due to factors beyond our control, our stock price may be volatile.

Any of the following factors could affect the market price of our stock:

  • Our failure to generate increasing material revenues;
  • Our failure to maintain profitability or continue positive adjusted earnings;
  • A decline in our growth rate including new student enrollments and class starts;
  • Our failure to raise working capital, if required;
  • Our public disclosure of the terms of any financing which we consummate in the future;
  • Disclosure of the results of our monthly payment plan;
  • Actual or anticipated variations in our quarterly results of operations;
  • A decline in the economy in the United States which is severe enough to impact our ability to collect our accounts receivable;
  • Announcements by us or our competitors of significant contracts, new services, acquisitions, commercial relationships, joint ventures or capital commitments;
  • Adverse regulatory actions; or
  • Changes in market valuations of similar companies.

In the past, following periods of volatility in the market price of a company’s securities, securities class action litigation has been initiated. A securities class action suit against us could result in substantial costs and divert our management’s time and attention, which would otherwise be used to benefit our business.

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The illiquid nature of our stock could have a material impact upon its price.

Our stock is highly illiquid&emdash;at the time of this Offering, no public market exists for the shares of our stock. This lack of liquidity could depress the price of our stock. Our management intends to list our shares on the OTCQB marketplace following the conclusion of this Offering, but it is possible that the listing of our stock could be delayed or that no public market develops once listed.

Furthermore, it is not likely that securities analysts of major brokerage firms will provide research coverage for our stock in the foreseeable future. The absence of such coverage may limit the market for our stock. It may also make it more difficult for us to attract new investors at times when we acquire additional capital.

Because we intend to retain earnings for reinvestment in our Company, it is unlikely we will issue dividends in the foreseeable future.

We do not intend to pay any dividends in the foreseeable future, as we intend to retain any earnings for development and expansion of our business operations. As a result, you may not receive any dividends on your investment for an indefinite period of time.

As a public benefit corporation, our obligations to stockholders, and stockholders’ rights with respect to the Company, are slightly different from traditional corporations.

Fifteen Five Partners PBC is a public benefit corporation (“PBC”). Under Delaware law, where we are incorporated, a PBC has a legal obligation to promote a public benefit and operate in a responsible and sustainable manner. Our specific public benefit, as defined in our Company’s charter, is the contribution of 10 percent of our net income to the formation, financing, support or promotion of other public benefit corporations that have been selected by our Board of Directors and focus on improving “Level 1” and “Level 2” needs described by Maslow’s hierarchy of needs. Delaware PBCs must provide their stockholders with a report on the company’s promotion of its specific public benefit and the interests of affected stakeholders at least once every two years. Because of this, a maximum of 90 percent of our net income may be reinvested in the Company or distributed to stockholders as dividends, whereas a traditional corporation could reinvest or distribute 100 percent of its net income.

Directors of Delaware PBCs have a fiduciary duty to consider not only the stockholders’ interests, but also the company’s specific public benefit and the interests of other stakeholders affected by the company’s actions. Under Delaware law, directors are shielded from liability for breach of these obligations if they make informed and disinterested decisions that serve a rational purpose. Thus, unlike traditional corporations which must focus exclusively on shareholder value, our directors are not merely permitted, but obligated, to consider our specific public benefit and the interests of other stakeholders. In the event of a conflict between the interests of our stockholders and the interests of our specific public benefit or our other stakeholders, our directors must only make informed and disinterested decisions that serve a rational purpose; thus, there is no guarantee such a conflict would be resolved in favor of the stockholders.

Stockholders of a Delaware PBC (if they, individually or collectively, own at least two percent of the company’s outstanding shares) can file a derivative lawsuit claiming the directors failed to balance stockholder and public benefit interests. This potential liability does not exist for traditional corporations.

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Delaware PBCs are required to publicly disclose a report, at least biennially, on their overall public benefit performance and on their assessment of success in achieving their specific public benefits. If we are not timely or are unable to provide this report, or if the report is not viewed favorably by our stakeholders, our reputation and status may be harmed.

PBCs have only been recently authorized by states. There have been relatively few court cases addressing management and operational issues of PBCs, and few PBCs have attempted to access the capital markets or list their securities on a national exchange or OTC marketplace. Traditional legal or corporate finance viewpoints may not be applicable to PBCs. Thus, there is a risk the Company or its managers could be ultimately found liable for some action or inaction despite best efforts to comply with applicable laws.

The Subscription Agreement designates the state and federal courts located in the State of Texas as the sole and exclusive forum for all actions and proceedings relating to the Subscription Agreement.

The Subscription Agreement requires investors to consent exclusively to the jurisdiction of any state or federal court of competent jurisdiction located within the State of Texas and agree to litigate all actions or proceedings relating to the Subscription Agreement in such courts. This exclusive forum provision may limit an investor’s ability to bring a claim in a judicial forum that it finds more convenient or more favorable for disputes with us, which may discourage such lawsuits against us. Alternatively, if a court were to find these provisions inapplicable to, or unenforceable in respect of, an action or proceeding relating to the Subscription Agreement, we may incur additional costs associated with resolving such matters in other jurisdictions, which could adversely affect our business and financial condition.

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Dilution

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

Immediate Dilution

An early-stage company typically sells its shares (or grants options to acquire its shares) to its founders and early employees at a very low cash cost, because they are, in effect, putting their “sweat equity” into the company. When a company seeks cash investments from outside investors, like you, the new investors typically pay a much larger sum for their shares than the founders or earlier investors, which means that the cash value of your stake is diluted because each share of the same type is worth the same amount, and you paid more for your shares than earlier investors did for theirs.

The following table compares the price that new investors are paying for their shares of the Company with the effective cash price paid by existing stockholders of the Company, assuming that the shares are sold at $1.00 per share. The schedule presents shares and pricing as issued and reflects all transactions since inception.

    Year Issued   Issued Shares   Potential Shares   Total Issued & Potential Shares   Effective Price per Share at Issuance  
                         
Class F Common Stock (Founder)   2018   100   -   100   $ 1.12256  
Class P Common Stock (Founder)   2018   500,000   -   500,000   $ 1.12256  
Class P Common Stock (Equity Incentive Plan)   2018   64,000   -   64,000   $ 0.00100  
                         
Total Class A Common Stock equivalents       564,100   -   564,100   $ 0.99531  
Investors in this offering, assuming $250,000 raised       250,000   -   250,000   $ 1.00000  
                         
Total after inclusion of this offering       814,100   -   814,100   $ 0.99675  

The following table demonstrates the dilution that new investors will experience upon investment in the Company. This table uses the Company’s net tangible book value as of December 31, 2017, of $561,393, which is derived from the net equity of the Company determined by the Company’s audited financial statements for its most recently completed fiscal year (2017). The offering costs assumed in the following three calculations are: $20,000 fixed costs and 2 percent of gross offering proceeds. The table presents three scenarios: a $50,000 raise from this offering, a $150,000 raise from this offering, and a fully subscribed $250,000 raise from this offering. As there are no options, warrants, or similar convertible instruments outstanding, and no authorized but unissued stock options, the following table only presents issued shares (Class A Common Stock, plus the assumption of conversion of all issue and outstanding shares of Class F Common Stock and Class P Common Stock).

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On Issued and Outstanding Basis:   $50,000 Raise     $150,000 Raise     $250,000 Raise  
                         
Price per share   $ 1.00     $ 1.00     $ 1.00  
Shares issued     50,000       150,000       250,000  
Capital raised   $ 50,000     $ 150,000     $ 250,000  
Less: Offering costs   $ (21,000 )   $ (23,000 )   $ (25,000 )
Net offering proceeds   $ 29,000     $ 127,000     $ 225,000  
Net tangible book value pre-financing   $ 561,393     $ 561,393     $ 561,393  
Net tangible book value post-financing   $ 590,393     $ 688,393     $ 786,393  
                         
Shares issued and outstanding pre-financing     564,100       564,100       564,100  
Shares issued and outstanding post-financing     614,100       714,100       814,100  
                         
Net tangible book value per share pre-offering   $ 0.99520     $ 0.99520     $ 0.99520  
Increase per share attributable to new investors   $ (0.03381 )   $ (0.03120 )   $ (0.02924 )
Net tangible book value per share post-offering   $ 0.96140     $ 0.96400     $ 0.96597  
Dilution per share to new investors ($)   $ 0.03860     $ 0.03600     $ 0.03403  
Dilution per share to new investors (%)     3.86 %     3.60 %     3.40 %

Future Dilution

Another important way of looking at dilution is the dilution that happens due to future actions by the Company. The investor’s stake in the Company could be diluted due to the Company issuing additional shares, whether as part of a capital-raising event, or issued as compensation to the Company’s employees or marketing partners. In other words, when the Company issues more shares, the percentage of the Company that you own will go down, even though the value of the Company may go up. You will own a smaller piece of a larger company. This increase in the number of shares outstanding could result from a stock offering (such as an initial public offering, another crowdfunding round, a venture capital round, angel investment), employees exercising stock options, or by conversion of certain instruments (e.g. convertible notes, preferred shares or warrants) into stock.

If the Company decides to issue more shares, an investor could experience value dilution, with each share being worth less than before, and control dilution, with the total percentage an investor owns being less than before. There may also be earnings dilution, with a reduction in the amount earned per share (though this typically occurs only if the Company offers dividends, and most early-stage companies do not pay dividends for some time).

The type of dilution that hurts early-stage investors most occurs when a company sells more shares in a “down round,” meaning at a lower valuation than in earlier offerings. An example of how this might occur is as follows (numbers are for illustrative purposes only):

  • In December 2018, Adam invests $10,000 for shares that represent 1% of a company valued at $1 million.
  • In July 2019, the company is doing very well and sells $1 million in shares to venture capitalists on a valuation (before the new investment) of $5 million. Adam now owns only 0.8% of the company but his stake is worth $40,000.

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  • In June 2019, the company has run into serious problems and in order to stay afloat it raises $1 million at a valuation of only $3 million (the “down round”). Adam now owns only 0.6% of the company and his stake is worth only $24,000.

If you are making an investment expecting to own a certain percentage of the Company or expecting each share to hold a certain amount of value, it’s important to realize how the value of those shares can decrease by actions taken by the Company. Dilution can make drastic changes to the value of each share, ownership percentage, voting control, and earnings per share.

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PLAN OF DISTRIBUTION

Plan of Distribution

The Company is offering up to 250,000 shares of Class A Common Stock, as described in this Offering Circular, to be sold on a “best efforts” basis. The Company has not engaged any underwriter, broker or dealer in connection with this Offering and has not arranged for any person to receive a discount, a commission or warrants or other preferences in connection with the sale of the securities described in this Offering Circular.

Selling Stockholders

No securities are being sold for the account of any existing stockholders. All net proceeds of this offering will be paid to the Company.

Investors’ Tender of Funds

After the Offering Statement has been qualified by the Securities and Exchange Commission, the Company will accept tenders of funds to purchase the Class A Common Stock. The minimum investment in this offering is $100, or 100 shares of Class A Common Stock. The Company may close on investments on a “rolling” basis (so not all investors will receive their shares on the same date). Investors may subscribe by tendering funds via wire or ACH; checks will not be accepted. Funds will not be returned to investors if we do not sell all of the securities offered hereunder.

In order to invest you will be required to agree to the terms of the Offering and a Subscription Agreement (copies of which have been filed as an Exhibit to the Offering Statement of which this Offering Circular is part). The Subscription Agreement includes a representation by the investor to the effect that, if you are not an “accredited investor” as defined under securities law, you are investing an amount that does not exceed the greater of 10% of your annual income or 10% of your net worth (excluding your principal residence).

In the event that it takes some time for the Company to raise funds in this offering, we will rely on cash on hand ($1,213,932 as of December 31, 2017) and operating income ($616,690 for the fiscal year ended December 31, 2017).

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USE OF PROCEEDS

The net proceeds of a fully-subscribed offering to the issuer, after total offering expenses and commissions will be approximately $225,000. We plan to use these proceeds to finance investment, acquisition and expansion opportunities, primarily with respect to programming offered through our subsidiary Vandelay Education, LLC,7 as such opportunities are determined at the discretion of the Company.

If the offering size were to be less than $250,000, we will continue to use the offering proceeds in the same manner, but with the ability to realize fewer such opportunities for expansion.

Because the offering requires no minimum offering amount, we may close the offering without sufficient funds for all the intended purposes set out above.

We do not currently have plans to use proceeds from the offering to make payments to officers or directors, pay off any debt, or to acquire any major assets (other than in connection with the expansion of our programming, as described above).

We reserve the right to change the above use of proceeds without notice if our management believes it is in the best interests of the Company.

7 As described in “Risk Factors,” we are generally subject to state regulation in each state where we offer courses. Most states impose (among other obligations or restrictions) capital and liquidity requirements on for-profit education institutions like us, including maintenance of a minimum current ratio. For example, Texas, where the majority of our programming is offered, requires a minimum current ratio of 1.0. Several other states, where we have yet to offer programs, require a minimum current ratio of 1.25. Thus, to the extent deemed necessary by our management, a portion of the offering proceeds may be held as cash or other current assets in order to satisfy these current ratio minimums as we expand our programming in Texas and other states.

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OUR BUSINESS

History and Structure

Our Company was originally founded in 2009 as Vandelay Education, Inc., in order to offer high-quality, affordable, and hands-on vocational training to aspiring dental assistants. Within a year, additional business developments had arisen that presented new opportunities for synergy with our vocational courses. In response, we formed Vandelay Education, LLC (“Vandelay”) as a wholly-owned subsidiary, to operate our vocational education business, while the Company itself was renamed Fifteen Five Corporation and became a holding company for wholly-owned subsidiaries like Vandelay and other joint ventures and strategic partnerships. In June 2018, we completed a corporate restructuring in order to move our domicile from Texas to Delaware and formally adopt a “public benefit corporation” designation.

As a public benefit corporation, the Company will invest 10 percent of its annual net income in other public benefit corporations.

Fifteen Five is now the parent Company of several wholly- and majority-owned subsidiaries (in each of which Fifteen Five has a controlling interest) that operate different lines of business. Fifteen Five also has substantial, but non-controlling, interests in a select number of other business enterprises. From time to time, Fifteen Five also enters into investment opportunities through the purchase of marketable securities and real estate investments.

The following are our current direct and indirect subsidiaries. Each entity is wholly-owned unless otherwise indicated. As of November 30, 2018, none of these entities represent a material portion of our revenue, net income, or assets.

  • 155 Labs LLC holds a 49-percent interest in Dental Maverick Summit LLC, which hosts an annual dental conference focused on practice management for dental offices.
  • Benefit Snowball PBC (recently formed) invests in other public benefit corporations.
  • Bluth Holdings LLC invests in and manages real estate, primarily multifamily residential properties. It also holds a 50-percent interest in Dental Capital Partners LLC and a minority interest in RedBeard Properties LLC, both of which also invest in multifamily residential properties.
  • Bluth Materials LLC purchases medical scrubs and related supplies in bulk and resells them to Vandelay for use by students. In the future, Bluth Materials LLC may begin marketing and selling to 3rd-party customers.
  • Dental Transition Group LLC is a joint venture providing business broker and consulting services to dentists. We currently hold a 50-percent interest in the venture, but are in negotiations to bring on an additional partner, which would reduce our interest to one-third. We anticipate financial results from this entity to be material by the end of the fiscal year.
  • LP First Capital LLC (recently formed) will act as an independent sponsor for dental and other healthcare companies.

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  • Purple Pig Realty PBC is a real estate broker licensed in Texas.
  • Wellness Medsuites Inc. (recently formed) will lease commercial office spaces and sublease them to physicians and other medical providers. We expect this business to be operational at up to five locations by the second quarter of 2019.

Principal Products & Services

Vandelay is the primary subsidiary of Fifteen Five (in the year ending December 31, 2017, substantially all of Fifteen Five’s revenue was earned by Vandelay). Motivated by the belief that dental assistant students needed an affordable, hands-on training that could lead to a career in dental assistance, our CEO Thomas Ince, himself a dentist by training, founded our Company to offer such training for aspiring dental assistants.

Traditionally, students wishing to become a dental assistant attend an institution accredited and approved for federal student loan funding pursuant to Title IV. Since a typical dental assistant training program charges between $15,000 and $20,000 in tuition, students graduate with substantial education loan debt (and, with standard loan terms dictating that interest begins to accrue immediately but repayment is deferred while the student is enrolled in a qualifying program, post-graduation debt often exceeds the original tuition amount).

Under the guidance of Thomas Ince, Vandelay developed an education program that provides aspiring dental assistants with the necessary education to be licensed and to practice as a dental assistant, but at a far lower cost of tuition than most other dental assistant training programs. In addition to meeting the minimum credentialing standards, Vandelay’s curriculum involves significant practical, hands-on training in order to better equip students with the skills needed to obtain an entry-level dental assistant job. Vandelay subsequently launched a medical assistant school based on the same training principles successfully used in its dental assisting schools.

Class Learning Format

We believe that vocational students learn best by hands-on experience. Thus, our dental assistant training programs attempt emulate the real-world environment of a dental practice as much as possible. For example, we contract with local dental practices to use their offices (after hours) as teaching venues. Most dental assistant training programs are 12 weeks in length, with 102 hours of classroom instructional time. The instructional time for most of these courses occurs on Saturdays, which allows students to enroll in one of our programs while maintaining outside employment. During each week of the program, students read and study assigned material, complete a series of online homework assignments, and attend an in-person, hands-on instructional course. These hands-on course review and incorporate the week’s material, thereby giving students an opportunity to practice the knowledge and techniques they recently studied. About halfway through the program, students are placed into an externship in a dental office, where they typically work 40 hours over the remainder of the program (in addition to classroom instructional time). These externships provide students with additional hands-on learning, accelerate their professional development, and serve as an important networking opportunity for students. We help prepare students to find employment and encourage dental offices to hire their student externs when possible.

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Our medical assistant training programs are similar to our dental assistant programs, including our commitment to hands-on training. These programs are generally 24 weeks in length and instruction occurs in a medical facility (after hours). The course consists of 96 hours of lecture and lab time, plus an 80-hour clinical externship (concurrent with the classroom instruction) in a local medical office. Each program’s curriculum covers 12 subjects, each taught over a two-week period, including routine clinical and front-office procedures. Students are trained in cognitive, psychomotor, and affective behavior areas in preparation for the type of entry-level positions normally available in medical facilities, such as physicians’ offices, hospitals, urgent care facilities, and clinics. After successfully completing one of our programs, students are eligible to take a medical assistant certification exam and obtain national credentials as a medical assistant.

Locations

As of December 31, 2017, we are operating 54 schools across 12 states, with an additional 10 schools approved by state regulators but not yet launched.8 The following table indicates the number of approved and operational facilities in each state, separated by school type:

    Approved Training Programs   Operational Training Programs
State   Dental   Medical   Total   Dental   Medical   Total
Alabama   3   -   3   3   -   3
Arizona   2   -   2   2   -   2
Colorado   1   -   1   1   -   1
Florida   2   -   2   -   -   -
Georgia   2   -   2   2   -   2
Indiana   6   -   6   3   -   3
Kentucky   1   -   1   -   -   -
Louisiana   5   1   6   4   1   5
Nevada   3   1   4   2   1   3
North Carolina   1   -   1   1   -   1
Oklahoma   1   -   1   -   -   -
Texas   28   7   35   27   7   34
Total   55   9   65   45   9   54

Market

Our industry includes schools that offer vocational and technical training in a variety of technical subjects and trades, which usually leads to job-specific certification. Instruction may be provided in diverse settings, such as a company’s own training facilities, the workplace, the home or through distance-learning methods. The primary activities in this industry are barber colleges and beauty schools, flight training schools, apprenticeship training programs, commercial or graphic art schools, bartending schools, electronic equipment repair training schools, firefighter and medical technician training schools, health assistant training schools, real estate schools, computer programing boot camps and professional development programs.

8 Typically, we cannot market a program to prospective students until after receiving state regulatory approval for the school. Thus, these non-operational locations represent schools for which approval was only recently obtained. We are currently in the process of marketing these schools and scheduling class dates.

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While large swaths of the economy have grown at a fast pace following the 2008 recession, the trade and technical schools industry has faltered in recent years. This is largely due to an improving job market, slow growth in federal funding and increased scrutiny from regulators. The industry typically experiences a spike in demand when unemployment is high, as many former workers return to school to enhance their job prospects. But with current low unemployment, demand for new job training has been tepid. However, despite lower demand overall, online enrollment growth has caused profit margins to remain relatively strong. Because of low marginal costs associated with higher online enrollment, further concentration of vocational training courses in online will likely continue to increase profit margins. Changing labor market requirements will continue to drive job-seekers to choose vocational courses over apprenticeships and on-the-job training. Furthermore, the increasing cost of four-year colleges has caused some people to seek alternative forms of education. While technical and trade schools still endure competition from community colleges industry and more stringent regulatory oversight, future prospects are positive. Downstream demand is expected to remain strong for workers in most trades, while increasing requirements for employees to hold formal certification will aid industry growth. Demand for healthcare professions, spurred by an aging U.S. population, will also increase demand for medical technicians and nurse’s aides, bolstering revenue for training schools. Over the next five years, industry revenue is expected to increase at an annualized rate of 1.1%, to $10.8 billion.

Government Regulation

Medical and dental assistant training programs are subject to moderate levels of government regulation. Most critical to our ongoing business and future growth, each training program must be licensed by the state in which the program is offered. These state licensing standards require a vocational program to meet certain regulatory and statutory criteria, such as standards relating to the curriculum, facilities, finances, and faculty and staff of the program operator. In addition, states impose various occupational licensing standards on medical and dental assistants and their employers, such as education, experience and examination requirements (and heightened standards for individuals working in certain specialty areas, such as radiography or coronal polishing), which indirectly impose additional regulations that the Company must navigate.

Our dental assistant and medical assistant training programs are not accredited by an accrediting agency recognized by the U.S. Department of Education. Therefore, our students are not eligible for federal Title IV funding, which limits their tuition-financing options. However, as we do not have plans to pursue accreditation for our programs at this time, we are not obligated to comply with the rules of an accrediting agency.

Our primary regulators are state agencies that are charged with oversight of vocational certificate programs. (As we do not accept federal funding, including Title IV students loan funds, we are not subject to U.S. Department of Education authority.) Each state has its own unique agency to regulate these schools. The regulators in our primary markets are the Texas Workforce Commission (Career Schools and Colleges program), Indiana Department of Workforce Development (Office for Career and Technical Schools), Oklahoma Board of Private Vocational Schools, Louisiana Board of Regents, and Florida Commission for Independent Education. Generally speaking, these state regulators promulgate and enforce rules and regulations that mandate fair, quality educational programs.

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Additionally, our dental assistant and medical assistant programs may be subject to the regulatory authority of a state’s board of dentistry or board of medicine. State boards of dentistry typically regulate programs that offer radiography and expanded functions training, which may require minimum program content requirements. Very few state boards of medicine regulate medical assistant training, but where they do, the boards typically require the medical assistant training programs to be accredited.

Competition

The for-profit trade and technical school industry is highly fragmented, with a large number of small schools that generally specialize in a specific single trade or small group of related trades. According to the United States Census Bureau, approximately 66.5% of companies in this industry have fewer than 10 employees. The low level of concentration is largely driven by the nature of education services, which limits economies of scale. IBISWorld estimates that the top four operators in this industry are expected to account for less than 5% of total industry revenue in 2017. Further, many operators that once held a non-negligible market share have been actively divesting from for-profit trade and technical school activities. For example, as of October 2017, Education Management Corporation (EDMC), a publicly-traded operator of for-profit post-secondary educational institutions in the United States and Canada, had sold nearly all of its assets to the Dream Center Foundation, a faith-based community service provider based in Los Angeles.9

The level of industry concentration is unlikely to change significantly over the next five years. However, the increasing enrollment of students in online classes will ultimately slow the operators’ physical expansion. As more students opt to take classes on the internet, we expect the need for classrooms will diminish overall. Nevertheless, we do not think the need for campuses will disappear completely, as certain trades still require hands-on training.

Intellectual Property

The Company, through its subsidiaries, has registered three trademarks (all wordmarks) with the United States Patent & Trademark Office: “VandelayEducation,” “DocDeals” and “PoopKing.”

Research and Development

The Company has not incurred any material research and development expenses during either of the fiscal years ended December 31, 2016, and December 31, 2017.

Employees

As of December 31, 2017, we employed a total of 40 full-time employees, working primarily out of our corporate headquarters in Leander, Texas. We also employed an additional 216 individuals on a part-time basis throughout the country.

9 Since this move will result in reclassifying numerous educational institutions as not-for-profit community centers, EDMC is no longer considered active in the Trade and Technical Schools industry.

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Litigation and Bankruptcy

The Company is not involved in any litigation, and its management is not aware of any pending or threatened legal actions relating to its intellectual property, conduct of its business activities, or otherwise.

The Company is not currently, nor has it been previously, engaged in any bankruptcy, receivership or similar proceedings in any jurisdiction.

Reorganization

As described in the “History and Structure” section of “Our Business,” in June 2018 we completed a corporate restructuring in order to move our domicile from Texas to Delaware and adopt a “public benefit corporation” designation. This reorganization was completed by means of a tax-free “stock-for-stock” reorganization, pursuant to which (i) a newly-incorporated entity, Fifteen Five Partners PBC, acquired all outstanding stock of Fifteen Five Corporation and (ii) the stockholders of Fifteen Five Corporation were issued stock in the newly-formed Fifteen Five Partners PBC. With the exception of our commitment to invest 10% of our annual net income in other public benefit companies, this transaction will not cause any operational changes to our business.

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OUR PROPERTY

Our corporate headquarters are located in two suites in a commercial office facility in Leander, Texas, consisting of approximately 4,610 square feet of office space under a lease that expires in December 2018. This facility accommodates our home office operations. Our existing facility may not be suitable or adequate for future growth.

In September 2017, we purchased 1.329 acres of land in Cedar Park, Texas. We plan to develop this property in two phases. Phase I consists of a 6,588 square-foot office facility, construction of which commenced in June 2018 and is scheduled to be completed by December 2018. We tentatively expect to begin construction of Phase II, a 18,583 square-foot addition to the Phase I facility, in 2021. In December 2017, the City of Cedar Park approved an Economic Development Performance Agreement, which provides performance-based financial incentives for businesses developing certain real estate in the city. In order to qualify for this incentive, we must meet certain milestones including, employment targets, in addition to completing the build-out described above. The total value of these incentives to the Company is approximately $140,170 over 4 years.

In August 2018, we entered into a credit facility with Independent Bank, secured by this property, in order to fund its development. The principal amount of this loan is $2,572,139 and it matures in 2039.

We also own medical and dental equipment, as well as computer equipment, classroom equipment, and medical and dental equipment, which is used in our classrooms. The book value of this equipment as of the year ended December 31, 2017, is approximately $355,264, minus accumulated depreciation. This equipment is generally adequate to support our current operations, but items will need to be replaced as they reach the end of their useful lives. Expanding our program offerings may require acquisition of additional equipment.

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MANAGEMENT’S DISCUSSION AND ANALYSIS

The following discussion of our financial condition and results of operations should be read in conjunction with our financial statements and the related notes included in this Offering Circular. The following discussion contains forward-looking statements that reflect our plans, estimates, and beliefs. Our actual results could differ materially from those discussed in the forward-looking statements.

Operating Results

Our total revenues for 2017 grew to $7,347,385, from $5,336,416 in 2016, an increase of 38%. This revenue growth was the result of two primary factors: (1) a greater number of vocational school locations and (2) improved utilization of existing and newly created school capacity. In other words, we opened more schools and the overall average class size for our schools increased.

Our Cost of Sales (“COS”) marginally decreased year over year, but declined as a percentage of revenue. Cost of Sales were $2,635,071 and 2,649,534 in 2017 and 2016, respectively. The largest driver of our COS is personnel costs for our instructional staff, which decreased to $1,195,357 in 2017 from $1,339,803 in 2016, a change of -10%. This reduction was achieved by through a student-recruitment strategy focused on filling excess capacity in existing and newly-opened schools. Filling excess capacity increases our student-to-instructor ratio (without sacrificing instructional quality), thereby decreasing our personnel costs as a percentage of revenue.

Our second largest COS driver is rent for classroom space. One of the unique and marketable characteristics of our schools is that in-person instruction usually occurs in actual medical or dental facilities. To access these spaces, and to reduce financial risks when we enter new geographic markets, we typically contract with these facilities (usually hospitals, family medical practices, and dental offices) on a revenue-sharing basis. Throughout 2017, we began to sign new contracts at a lower percentage of revenue and renegotiated existing contracts to lower rates. Thus, while rent expenses increased from $673,202 in 2016 to $829,590 in 2017, rent as a percentage of revenue decreased from 12.6% in 2016 to 11.3% in 2017.

Supplies costs decreased to $412,469 in 2017, from $470,362 in 2016. These reductions were achieved primarily through greater internal controls in our ordering, inventory management and staff training.

Operating expenses for 2017 increased by 54% over 2016, from $2,652,003 to $4,090,220, due to continued growth and expansion. Our largest operating expense category were personnel costs, which increased by 87%, from $1,219,139 in 2016 to $2,283,056 in 2017. We have continued to hire to support our growth and expansion. We have also invested heavily in our school operations in order to sustain and improve the quality of service offered our students. Expenses associated with school operations increased from $124,910 in 2016 to $357,766 in FY 2017. Some of the efficiencies realized in our Cost of Sales noted above are the result of our additional investments in personnel and school operations.

General and administrative expenses for 2017 increased from $682,967 to $738,519, or 8.1%, largely because of additional software and subscriptions required to support our growth. In late 2016, we began investing heavily in new technology to help manage our databases and automate processes traditionally carried out by staff in an effort to become more efficient.

As a result of the above, our net income (before taxes) increased from $90,610 in 2016 to $616,690 in 2017, a 543% growth rate.

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Liquidity and Capital Resources

As of December 31, 2017, the Company held $1,213,932 in cash and equivalents and $880,794 in other current assets, compared with $103,671 in accounts payable and $1,919,793 in other current liabilities. The Company is generating operating profits and does not currently require infusions of capital to continue existing business operations. During fiscal year 2017 we generated $1,070,755 in cash flow from operations, as compared to $159,573 in fiscal year 2016, a 571% increase. The Company plans to raise additional capital to strengthen our balance sheet, accelerate growth and leverage new opportunities.

In August 2018, the company paid approximately $280,000 in conjunction with the construction and financing of new office space (for more information, see “Our Property”).

Credit Facilities

On December 29, 2016, we entered into a debt facility with Independent Bank, which provided the Company with a line of credit up to $100,000. The loan was terminated and paid back in its entirety as of December 31, 2017.

On September 6, 2016 and December 5, 2016, the Company closed loans with Independent Bank of $116,000 and $186,000, respectively, secured by certain Company property. Both loans were paid down as of December 31, 2017.

On September 15, 2017, the Company closed a loan with Independent Bank for $647,962 in order to purchase certain real property, which served as security for the loan. On August 17, 2018, we closed an additional loan with Independent Bank, in the amount of $2,572,139, in order to develop this property. (For more information, see “Our Property.”) This loan must be repaid in equal monthly installments over the next 21 years and bears an interest rate of 5.95% for the first 10 years followed by an adjustable rate equal to the greater of 6.0% or the prime rate plus 0.5% percent. A portion of the proceeds of the 2018 loan were used to pay off the remaining balance of the 2017 loan.

Commitments

As discussed in “Our Property,” our corporate headquarters consist of two leased commercial office suites. Both leases will expire on December 31, 2018. We anticipate that construction of our new corporate headquarters will be completed by then, but if construction will be delayed, we will need to extend our current leases. Our current lease payments for these facilities are approximately $8,500 per month; this amount could increase if we are compelled to renegotiate a short-term extension.

The Company currently has no other material commitments for capital expenditures. See “Use of Proceeds” for additional information on our proposed future expenditures.

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Trend Information

Our historic growth trends have been due to organic growth of reinvested earnings and operating cash flow. We have not raised outside or stockholder capital to fund our growth strategies. The outlook on future growth is strong, independent of the outcome of this Offering. In the first half of 2018, we have identified approximately 30 new school locations and are in the process of seeking approval from state regulators. We expect many of these locations to open in late 2018 or early 2019.

Our medical assistant program currently only represents approximately 13% of our total revenues. We hope to increase this ratio to 25 to 30% of revenues in 2019. We have seen the potential of this program through our existing schools and are currently investing in operational infrastructure to achieve much higher growth in this program.

While reinvestment of earnings into growth has been a primary use of cash for us, we have managed to improve profitability while still sustaining aggressive top-line growth. In the first quarter of 2018, our net profit had increased by approximately 70% (unaudited) from the first quarter of 2017.

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DIRECTORS AND EXECUTIVE OFFICERS

The following table sets out the Company’s executive officers and directors. All executive officers work with the Company on a full-time basis10:

Name   Position   Age   Term of Office
Executive Officers            
Thomas Ince   President, Chief Executive Officer and Treasurer   37   October 2009
Zachary Eckert   General Counsel   31   December 2016
Directors            
Thomas Ince   Director   37   October 2009

Zachary Eckert
General Counsel
Zachary Eckert is the General Counsel of Fifteen Five Partners PBC. He joined Vandelay Education (one of our wholly-owned subsidiaries) as its general counsel in 2016 and later assumed the position of General Counsel for Fifteen Five. Prior to joining Fifteen Five, Zach attended law school at New England Law | Boston in Boston, Massachusetts from 2013 until graduating in 2016. Zach is responsible for the legal functions of the Company and its subsidiaries. He is admitted to practice law in Texas.

Thomas Ince
President, CEO & Treasurer; Director
Thomas Ince is the founder, President, CEO and Treasurer of Fifteen Five Partners PBC, as well as its sole Director. Thomas is also the CEO of Vandelay Education, LLC, a position he has held since its formation in 2010. Prior to founding Fifteen Five, Thomas started and sold numerous businesses. Thomas believes that it’s his job to allocate capital to maximize per share intrinsic value and also maximize the long-term impact on society.

10 Thomas Ince performs his work as the Company’s sole director as needed.

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COMPENSATION OF DIRECTORS AND EXECUTIVE OFFICERS

For the fiscal year ended December 31, 2017, the Company’s11 three highest-paid executive officers and directors were as follows:

Name   Capacities Receiving Compensation   Cash Compensation     Other Compensation     Total Compensation  
Thomas Ince   Chief Executive Officer   $ 233,946     $ 732     $ 224,678  
Kasey Van Daley   Chief Financial Officer   $ 124,031     $ 732     $ 124,763  
Zachary Eckert   General Counsel   $ 51,000     $ 732     $ 51,732  

(In addition, officers and directors are reimbursed for reasonable expenses incurred during the course of their performance.)

We compensate our directors (of which there is currently one) for attendance at meetings with one meal, often from Torchy’s Tacos or Chipotle.

Summary of 2018 Equity Incentive Plan

Our Board of Directors adopted, and our stockholders approved, a compensatory benefit plan in order to offer equity compensation awards to certain of our service providers. Awards may be granted in the form of restricted stock. Employees, consultants and directors are eligible to receive awards under the plan. Our Board of Directors serves as the administrator of the plan and has the power to determine the recipients, timing, types, terms and amounts of awards issued under the plan. A total of 64,000 shares of our Class P Common Stock (and no shares of Class A Common Stock or Class F Common Stock) have been reserved for issuance under the plan. The purchase price of each share of restricted stock issued pursuant to the plan is specified in a separate award agreement, but the price may not be less than par value. To date, all 64,000 shares of Class P Common Stock reserved under the plan have been issued to employees, though no awards have been granted to any executive officers or directors. The plan does not authorize stock options, and no stock options are currently outstanding.

11 The individuals listed in the table above served as executive officers of, and were paid compensation by, Fifteen Five Corporation, the predecessor corporation to Fifteen Five Partners PBC. For more information, see “Our Business.”

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SECURITY OWNERSHIP OF MANAGEMENT

The table below shows, as of November 30, 2018, the security ownership of the Company’s sole director, executive officers owning 10 percent or more of the Company’s voting securities and other securityholders who own 10 percent or more of the Company’s voting securities:

Title of class   Name and address of beneficial owner   Amount and nature of ownership   Amount and nature of ownership acquirable   Percent of class
Class A Common Stock   Thomas Ince
901 Crystal Falls Pkwy #207
Leander TX, 78641
  -   500,100 shares (available from conversion of Class F and Class P Common Stock held directly)   100.00%
Class F Common Stock   Thomas Ince
901 Crystal Falls Pkwy #207
Leander TX, 78641
  100 shares (held directly)   -   100.00%
Class P Common Stock   Thomas Ince
901 Crystal Falls Pkwy #207
Leander TX, 78641
  500,000 shares (held directly)   -   88.65%

The final column (Percent of class) includes a calculation of the amount the person owns now, plus the amount that person is entitled to acquire. That amount is then shown as a percentage of the outstanding amount of securities in that class if no other people exercised their rights to acquire those securities.

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INTEREST OF MANAGEMENT IN CERTAIN TRANSACTIONS

Related Party Loans Payable & Receivable

The Company has borrowed from and loaned funds to Thomas Ince throughout the life of the business. As of the years ending December 31, 2016 and 2017, the Company’s balance of these accounts and notes receivable were $61,625 and $61,373, respectively. As of July 31, 2018, these loans were repaid in full.

Executive Officer Stock Issuance

As discussed in “Our Business,” in June 2018, the Company completed a corporate restructuring by means of a tax-free “stock-for-stock” reorganization, pursuant to which Fifteen Five Partners PBC issued shares of its Class F Common Stock and Class P Common Stock in exchange for all shares of Common Stock of Fifteen Five Corporation then outstanding. As the sole stockholder of Fifteen Five Corporation, Thomas Ince was issued 100 shares of our Class F Common Stock and 500,000 shares of our Class P Common Stock in exchange for 1,000,000 shares of Fifteen Five Corporation Common Stock. Our Board of Directors determined that the fair market value of this stock was $561,393, based on the book value of the stock as determined by the Company’s most recently completed independent audit.

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SECURITIES BEING OFFERED

General

The Company is offering Class A Common Stock to investors in this offering. As such, we are qualifying up to 250,000 shares of Class A Common Stock under this Offering Statement, of which this Offering Circular is part.

Investors who purchase shares of the Company’s Class A Common Stock will become subject to our Subscription Agreement. Additional information on the Subscription Agreement is provided below the discussion of our classes of capital stock.

The following description summarizes important terms of the Company’s capital stock. This summary does not purport to be complete and is qualified in its entirety by the provisions of our Certificate of Incorporation and Bylaws, copies of which have been filed as Exhibits to the Offering Statement of which this Offering Circular is a part. For a complete description of the Company’s capital stock, you should refer to our Certificate of Incorporation and Bylaws, and applicable provisions of the Delaware General Corporation Law.

Our authorized capital stock consists of 3,378,200 shares of Common Stock, $0.0001 par value per share, of which 2,314,100 of those shares are designated as Class A Common Stock, 100 are designated as Class F Common Stock, and 1,064,000 are designated as Class P Common Stock.

Immediately prior to the qualification of this Offering Statement by the Securities and Exchange Commission, our outstanding capital stock included 100 shares of Class F Common Stock and 564,000 shares of Class P Common Stock.

Common Stock

The Company has authorized the issuance of three classes of Common Stock. The classes are designated Class A Common Stock, Class F Common Stock, and Class P Common Stock. Each class contains substantially similar rights, preferences, and privileges, except with respect to voting rights.

Dividends

Holders of all classes of Common Stock are entitled to receive dividends, as may be declared from time to time by our Board of Directors out of legally available funds. The Company does not currently have plans to pay any cash dividends after this offering or in the foreseeable future.

Voting

Each holder of Class A Common Stock or Class P Common Stock is entitled to one vote for each share on all matters submitted to a vote of the stockholders, including the election of directors. Each holder of Class F Common Stock is entitled to 10,000,000 votes for each share on all matters submitted to a vote of the stockholders, including the election of directors.

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Liquidation

In the event of the Company’s liquidation, dissolution, or winding up, holders of its Common Stock will be entitled to share ratably in the net assets legally available for distribution to stockholders after the payment of all of the Company’s debts and other liabilities.

Conversion

Each share of Class F Common Stock and Class P Common Stock will be convertible, at the option of the holder, at any time and from time to time, and without the payment of additional consideration by the holder, into one (1) fully paid and nonassessable share of Class A Common Stock. Holders of the Company’s Class A Common Stock have no conversion rights.

Other Rights and Preferences

Holders of the Company’s Common Stock have no preemptive or other rights or preference, other than those described above. There are no redemptive or sinking fund provisions applicable to the Company’s Common Stock.

Capital Contributions

Stockholders are not required to make additional capital contributions to the Company.

Board of Directors

Our Board of Directors consists of a single class of directors, elected at each annual stockholder meeting to serve until the next annual stockholder meeting (unless a director’s earlier death, resignation or removal). Cumulative voting in director elections is only permitted if, at the time of the election, the Company is subject to Section 2115(b) of the California General Corporation Law, the name(s) of any candidate(s) receiving cumulative votes have been placed in nomination prior to the vote, and a stockholder has given notice at the meeting, prior to the voting, that such stockholder intends to cumulatively vote.

Transfer Restrictions

Under the Subscription Agreement, investors may not transfer securities when doing so would be in violation of the Securities Act and are subject to certain “market stand-off” transfer restrictions.

Major Stockholders

There are no provisions granting special rights to, or discriminating against, any existing or prospective holder of Common Stock as a result of such stockholder owning a substantial number of shares of Common Stock.

Modification of Rights

Holders of Common Stock vote together as a single class on matters submitted to a vote of the stockholders. Because holders of Class F Common Stock are collectively entitled to more votes than holders of Class A Common Stock, any rights of the holders of Class A Common Stock could be modified by a vote of less than a majority of the shares of Class A Common Stock.

37

Subscription Agreement

As noted above, investors in this offering will be required to agree to our Subscription Agreement. The following summary identifies the material terms of that agreement and is qualified in its entirety by the Subscription Agreement itself, which is provided as an exhibit to this Offering Statement of which this Offering Circular is part.

Restrictions on Transfer

Under the Subscription Agreement, investors may not transfer securities when doing so would be in violation of the Securities Act and are subject to certain “market stand-off” restrictions on transfer.

Dispute Resolution

The terms of the Subscription Agreement are to be governed under Delaware law and any controversy or claim arising as a result of the agreement must be submitted to the state or federal courts located in the State of Texas.

38

FINANCIAL STATEMENTS

Fifteen Five Corporation

Consolidated Financial Statements
With Report of Independent Registered Public Accounting Firm Thereon

December 31, 2017 and 2016

FS-i

Fifteen Five Corporation
December 31, 2017 and 2016

Table of Contents

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM FS-1
 
CONSOLIDATED FINANCIAL STATEMENTS
 
Consolidated Balance Sheets FS-3
 
Consolidated Statements of Income FS-4
 
Consolidated Statements of Stockholder’s Equity FS-5
 
Consolidated Statements of Cash Flows FS-6
 
NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS FS-7

FS-ii

PMB Helin Donovan, LLP
P.O. Box 202260
Austin, TX 78720
512.258.9670

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

Board of Directors and Stockholder
Fifteen Five Corporation

Opinion on the Financial Statements

We have audited the accompanying consolidated balance sheets of Fifteen Five Corporation (the “Company”) as of December 31, 2017 and 2016, and the related consolidated statements of income, stockholder’s equity, and cash flows for the years then ended, and the related notes (collectively referred to as the “financial statements”). In our opinion, the consolidated financial statements referred to above present fairly, in all material respects, the financial position of the Company as of December 31, 2017 and 2016, and the results of its operations, changes in stockholder’s equity, and cash flows for the years then ended, in conformity with accounting principles generally accepted in the United States of America.

Additional Disclosures

As discussed in Note 13 to the financial statements, the Company has decided to disclose earnings per share as of and for the years ended December 31, 2017 and 2016. As a result of the additional disclosure, Note 14 was added in order to disclose subsequent events since the report date of April 10, 2018. The financial statements have been restated to reflect these additional disclosures.

Basis for Opinion

These consolidated financial statements are the responsibility of the Company’s management. Our responsibility is to express an opinion on these consolidated financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Company in accordance with U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

We conducted our audits in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud. The Company is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. As part of our audits, we are required to obtain an understanding of internal control over financial reporting but not for the purpose of expressing an opinion on the effectiveness if the Company’s internal control over financial reporting. Accordingly, we express no such opinion.

FS-1

Our audits included performing procedures to assess the risk of material misstatement of the consolidated financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

We have served as the Company’s Auditors since 2015.

PMB HELIN DONOVAN, LLP
/s/ PMB Helin Donovan, LLP
April 10, 2018, except Note 13 and 14, as to which the date is September 27, 2018
Austin, Texas

FS-2

Fifteen Five Corporation
Consolidated Balance Sheets
December 31, 2017 and 2016

    2017     2016  
                 
Assets            
Current Assets:            
Cash and cash equivalents   $ 1,213,932     $ 207,277  
Investments in marketable securities     -       177,329  
Land and property held for sale     -       476,585  
Student receivables, net     660,530       278,021  
Accounts and notes receivable, related party     61,373       61,625  
Other assets     158,891       50,266  
Total current assets     2,094,726       1,251,103  
             
Investment in unconsolidated entities     74,315       62,315  
Property and equipment, net     1,111,235       181,116  
Total assets   $ 3,280,276     $ 1,494,534  
             
Liabilities and Stockholder’s Equity            
Current liabilities            
Accounts payable   $ 103,671     $ 151,480  
Accrued expenses     155,094       92,652  
Income taxes payable     206,520       21,117  
Deferred student revenue     1,065,909       370,069  
Student prepaid tuition     492,270       253,427  
Line of credit     -       100,000  
Current portion of long term debt     61,254       265,031  
Total current liabilities     2,084,718       1,253,776  
             
Long term debt, less current portion     586,672       -  
Deferred tax liability     47,493       57,536  
Total liabilities     2,718,883       1,311,312  
             
Stockholder’s equity            
Common stock, $.001 par value, 1,000,000 shares authorized, 1,000,000 shares issued and outstanding     1,000       1,000  
Additional paid in capital     62,949       62,949  
Retained earnings     497,444       119,273  
Total stockholder’s equity     561,393       183,222  
Total liabilities and stockholder’s equity   $ 3,280,276     $ 1,494,534  

See accompanying notes to the consolidated financial statements

FS-3

Fifteen Five Corporation
Consolidated Statements of Income
For the Years Ended December 31, 2017 and 2016

    2017     2016  
                 
Revenues            
Education   $ 7,311,331     $ 5,308,221  
Marketing     18,047       -  
Commissions     18,007       11,213  
Scrub sales     -       16,982  
Total revenues     7,347,385       5,336,416  
                 
Cost of sales            
Personnel costs     1,195,356       1,339,803  
School rents     829,590       673,202  
Supplies     412,469       470,362  
Other     197,654       167,525  
Total cost of sales     2,635,069       2,650,892  
                 
Gross profit     4,712,316       2,685,524  
                 
Operating expenses            
Personnel costs     2,283,057       1,219,139  
School operations     357,769       124,910  
Advertising     631,462       574,372  
Depreciation     79,413       50,615  
General and administrative     738,519       682,967  
Total operating expenses     4,090,220       2,652,003  
                 
Other Income (Expense)            
Other income (expense), net     (20,278 )     37,459  
Interest expense     14,872       19,630  
Total other income (expense)     (5,406 )     57,089  
                 
Income before income tax expense     616,690       90,610  
                 
Income tax expense     198,519       44,131  
                 
Net income   $ 418,171     $ 46,479  
                 
Earnings per share: Based and diluted   $ 0.42     $ 0.05  
                 
Weighted average shares outstanding     1,000,000       1,000,000  

See accompanying notes to the consolidated financial statements

FS-4

Fifteen Five Corporation
Consolidated Statements of Stockholder’s Equity
For the Years Ended December 31, 2017 and 2016

    Common Stock                          
    Shares     Amount     Additional Paid in Capital     Retained Earnings     Total  
                                       
Balance at January 1, 2016   1,000,000     $ 1,000     $ 62,949     $ 164,591     $ 228,540  
                                       
Dividends paid   -       -       -       (91,797 )     (91,797 )
Net income   -       -       -       46,479       46,479  
Balance at December 31, 2016   1,000,000     $ 1,000     $ 62,949     $ 119,273     $ 183,222  
                                       
Dividends paid   -       -       -       (40,000 )     (40,000 )
Net income   -       -       -       418,171       418,171  
Balance at December 31, 2017   1,000,000     $ 1,000     $ 62,949     $ 497,444     $ 561,393  

See accompanying notes to the consolidated financial statements

FS-5

Fifteen Five Corporation
Consolidated Statements of Cash Flows
December 31, 2017 and 2016

    2017     2016  
                 
Cash flows from operating activities:            
Net Income   $ 418,171     $ 46,479  
Adjustments to reconcile net income to net cash provided by operating activities:                
Depreciation     79,413       50,615  
Provision for deferred income taxes     (10,043 )     33,987  
Gain from the sale of marketable securities     (25,016 )     (31,696 )
Gain from the sale of property held for sale     (35,587 )     -  
Changes in operating assets and liabilities:                
Student receivables     (382,509 )     (110,736 )
Accounts and notes receivable, related party     252       (58,757 )
Other assets     (108,625 )     (157 )
Accounts payable     (47,809 )     112,076  
Accrued expenses     62,442       (15,164 )
Income taxes payable     185,403       (91,978 )
Deferred student revenue     695,840       206,501  
Student prepaid tuition     238,843       18,403  
Net cash provided by operating activities     1,070,775       159,573  
Cash flows from investing activities:            
Purchase of property held for sale     -       (311,789 )
Improvements to property held for sale     -       (49,259 )
Proceeds from the sale of property held for sale     512,172       -  
Purchases of investments in unconsolidated entities     (12,000 )     (62,315 )
Purchases of investments in marketable securities     -       (145,633 )
Proceeds from the sale of marketable securities     202,345       -  
Purchases of property and equipment     (1,009,532 )     (88,374 )
Net cash used in investing activities     (307,015 )     (657,370 )
Cash flows from financing activities:            
Proceeds from (repayments on) line of credit, net     (100,000 )     100,000  
Proceeds from the issuance of long term debt     656,250       265,031  
Repayments on long term debt     (273,355 )     -  
Dividends paid     (40,000 )     (91,797 )
Net cash provided by financing activities     242,895       273,234  
Net increase (decrease) in cash and cash equivalents     1,006,655       (224,563 )
Cash and cash equivalents at beginning of year     207,277       431,840  
Cash and cash equivalents at end of year   $ 1,213,932     $ 207,277  
                 
Supplemental disclosure of cash flow information:            
Cash paid for interest   $ 14,872     $ 19,630  
Cash paid for income taxes   $ 106,588     $ 111,519  

See accompanying notes to the consolidated financial statements

FS-6

Fifteen Five Corporation
Notes to the Consolidated Financial Statements
December 31, 2017 and 2016

Note 1 – Description of Business

Fifteen Five Corporation (the “Company”) was incorporated as a Texas Corporation in October 2009. The Company is the sole owner and member of the following entities:

  • Vandelay Education, LLC (“Vandelay”), a Texas limited liability company, which was formed on December 3, 2010 in the state of Texas.
  • 155 Labs, LLC (“155 Labs”), a Texas limited liability company, which was formed on December 16, 2012 in the state of Texas.
  • Bluth Holdings, LLC (“Bluth Holdings”), a Texas limited liability company, which was formed on April 16, 2015 in the state of Texas.
  • Dental Leverage, LLC (“Dental Leverage”), a Texas limited liability company, which was formed on October 19, 2015 in the state of Texas.
  • Bluth Materials, LLC (“Bluth Materials”), a Texas limited liability company, which was formed on April 20, 2016 in the state of Texas.
  • Grover Dental Supply, LLC (“Grover Dental Supply”), a Texas limited liability company, which was formed on May 31, 2016 in the state of Texas.

Vandelay is a vocational school offering high quality, low cost dental and medical assisting education programs to students. Vandelay partners with dentists and physicians nationwide to provide hands-on training after hours in actual physician offices. This unique approach to the curriculum gives students insight into what their future place of employment might look like, and physicians the chance to recruit the finest students out of each class as their next employees.

The Company has also entered into other businesses which supplement the main mission of Vandelay which includes providing supplies and services to Vandelay. From time to time, the Company also enters into investment opportunities through the purchase of marketable securities and real estate investments.

Note 2 – Summary of Significant Accounting Policies

Basis of Presentation

These consolidated financial statements are presented on the accrual basis of accounting in accordance with accounting principles generally accepted in the United States of America, whereby revenues are recognized in the period earned and expenses when incurred.

Principles of Consolidation

The consolidated financial statements include the accounts of the Company and all majority-owned subsidiaries in which the company has a controlling financial interest. All significant intercompany accounts and transactions have been eliminated in consolidation. The Company determines whether it has a controlling financial interest in an entity by first evaluating whether the entity is a voting interest entity or a variable interest entity (“VIE”).

Voting interest entities are entities that have sufficient equity investment and provide the equity investors voting rights that give them the power to make significant decisions related to the entity’s operations. The typical condition for a controlling financial interest in a voting interest entity is ownership of a majority voting interest. Accordingly, the Company consolidates its majority-owned subsidiaries in which it holds more than 50% of the voting rights and where control is exercised through contract and financial support.

FS-7

Fifteen Five Corporation
Notes to the Consolidated Financial Statements
December 31, 2017 and 2016

VIEs are entities that lack one or more of the characteristics of a voting interest entity. Either the entity does not have sufficient equity at risk to finance its activities without additional subordinated financial support from other parties or the equity investors do not have the characteristics of a controlling financial interest. The entity that has a controlling financial interest in a VIE is referred to as the primary beneficiary and is required to consolidate the VIE. The Company’s majority-owned subsidiaries are not considered VIEs.

The ownership interest of the minority owner is called a noncontrolling interest.

Use of Estimates

The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenues and expenses during the reporting period. Significant estimates that impact the financial statements include adequacy of the allowance for doubtful accounts, fair value of financial instruments and useful lives of fixed assets for the purpose of determining depreciation. Actual results could differ from those estimates.

Cash and Cash Equivalents

All highly liquid investments with original maturities of three months or less at the time of purchase are considered cash equivalents.

Investments in Marketable Securities

The Company’s marketable equity securities have been categorized as trading and stated at their fair value. All marketable equity securities are available for current operations and are classified as current assets in the balance sheets. Securities are carried at fair value with unrealized gains and losses reported in other income.

In general, fair values of financial instruments are based upon quoted market prices, where available. If such quoted market prices are not available, fair value is based upon third party models that primarily use observable market-based parameters as inputs. Valuation adjustments may be made to ensure that financial instruments are recorded at fair value.

Held for Sale Investments

Investments in real estate are initially recorded at cost. Additions and improvements are capitalized. Asset and accumulated depreciation accounts are relieved for dispositions with resulting gains and losses reflected in the consolidated statements of income. The costs of normal repairs and maintenance is charged to expense as incurred. Building and leasehold improvements are depreciated using the straight-line method over the estimated useful lives ranging from five to forty years.

At each balance sheet date, the Company evaluates the carrying amount of its long-lived assets. In the event that facts and circumstances indicate that the cost of long-lived assets may be impaired, an evaluation of recoverability is performed. If an evaluation of impairment is required, the estimated future undiscounted cash flows associated with an asset would be compared to the asset’s carrying amount to determine if a write-down to fair value is required. The Company has recorded no impairment reserve against land and property held for sale at December 31, 2016.

Investments in unconsolidated entities

The Company’s investment in unconsolidated entities, in which its ownership interests are less than 50% and where it does not maintain significant influence over operating and financial policies, are accounted for using the equity method. The income or loss associated with such investments is included in equity earnings of unconsolidated entities in the accompanying consolidated statements of income.

FS-8

Fifteen Five Corporation
Notes to the Consolidated Financial Statements
December 31, 2017 and 2016

Concentrations

Financial instruments that potentially subject the Company to a concentration of credit risk principally consist of cash and cash equivalents, investments in marketable securities, student receivables, accounts and notes receivable – related party, land and property held for sale, and investments in unconsolidated entities. Cash and cash equivalents are held by high credit quality financial institutions and approximately $910,000 and $196,000 exceeded the maximum federal deposit insurance corporation limits at December 31, 2017 and 2016, respectively.

Accounts Receivable and Allowance for Doubtful Accounts

The Company typically offers credit to its students. Terms are primarily established through agreements upon enrollment. The Company evaluates its accounts receivable and establishes an allowance for doubtful accounts, based on its history of past write-offs and collections and current credit conditions. The Company charges uncollectible accounts to bad debt expense in the period as they are first deemed uncollectible. Management has recorded an allowance for doubtful accounts of $16,257 and $30,386 at December 31, 2017 and 2016, respectively. An account receivable is considered to be past due if any portion of the receivable balance is outstanding beyond its scheduled due date.

Revenue Recognition

The Company recognizes revenue for registration and for books and uniforms during the month of registration, as those services and items are generally considered non-refundable to students. Tuition fees are recognized on a “completion of program” basis. Classes generally are three-month programs. Invoices for tuition are recorded initially as deferred revenue and then recognized incrementally at the end of each month of completed class time. As of December 31, 2017 and 2016, the Company had recorded $1,065,909 and $370,069 in deferred tuition revenue as a current liability on the balance sheets, respectively.

In certain instances, fees are received before classes begin and the Company records those fees as student prepaid tuition. At December 31, 2017 and 2016, the Company has recorded $492,270 and $253,427 in student prepaid tuition as a current liability on the balance sheet.

Revenues from property sales are recognized when the risks and rewards of ownership are transferred to the buyer, the consideration received can be reasonably determined and the Company has completed its performance obligations.

Real estate rental revenue is recognized on a straight-line basis over the term of the lease. Amounts paid by the Company for sales commissions and lease incentives are initially capitalized and then amortized against rental income over the term of the lease.

Revenues for management and other services are recognized when the services are provided and collectability is probable.

Interest income is recognized when earned and is considered probable of collection. Dividends are recorded on the ex-dividend date. Realized gains and losses on sales of investments are recognized in net income on the specific identification basis.

Gain from sales of long-term investments are recognized when pervasive evidence of a sales arrangement exists, delivery of the contracts has occurred, the sales price is fixed and determinable, and collectability is probable.

FS-9

Fifteen Five Corporation
Notes to the Consolidated Financial Statements
December 31, 2017 and 2016

Property and Equipment

Property and equipment are initially stated at cost. Depreciation is calculated on furniture and equipment using the straight-line method over the estimated useful lives of the Company’s assets. Estimated useful lives for furniture and equipment range from 3 to 5 years. Leasehold improvements are amortized using the straight-line method over the shorter of the estimated useful lives of the improvements or the terms of the related leases.

Maintenance and repairs of property and equipment are charged to operations in the period incurred. Upon retirement, sale, or other disposition of property and equipment the costs and accumulated depreciation are eliminated from the accounts, and any resulting gain or loss is included in operations.

Long-lived Asset Impairment

Long-lived assets, including property and equipment, are reviewed for impairment whenever events or changes in circumstances indicate that the carrying amount of an asset may not be recoverable. Recoverability of assets to be held and used is measured by a comparison of the carrying amount of an asset to estimated undiscounted future cash flows expected to be generated by the asset. If the carrying amount of an asset exceeds its estimated undiscounted future cash flows, an impairment charge is recognized to the extent the carrying amount of the asset exceeds its fair value. Fixed assets held for sale, if any, are separately presented in the balance sheet and reported at the lower of the carrying amount or fair value, less disposal costs. At December 31, 2016, there were no circumstances that indicated the need to adjust the carrying value of property or equipment, nor did the Company have any fixed assets held for sale.

Advertising Costs

The Company expenses advertising costs as incurred. The Company incurred $631,462 and $574,372 in advertising costs during the years ended December 31, 2017 and 2016, respectively.

Fair Value of Financial Instruments

The fair value of the Company’s financial instruments reflects the amounts that the Company estimates to receive in connection with the sale of an asset or paid in connection with the transfer of a liability in an orderly transaction between market participants at the measurement date (exit price). The fair value hierarchy that prioritizes the use of inputs used in valuation techniques is as follows:

  • Level 1 – quoted prices in active markets for identical assets and liabilities;
  • Level 2 – observable inputs other than quoted prices in active markets, such as quoted prices for similar assets and liabilities in active markets, quoted prices for identical or similar assets and liabilities in markets that are not active, or other inputs that are observable or can be corroborated by observable market data;
  • Level 3 – unobservable inputs reflecting management’s assumption, consistent with reasonably available assumptions made by other market participants. These valuations require significant judgment.

Following is a description of the valuation techniques applied to the Company’s major categories of assets and liabilities measured at fair value on a recurring basis.

Investments in equity securities are carried at estimated fair value and categorized as level 1 of the fair value hierarchy. Fair value has been measured by the Company’s investment custodian or by pricing services used by the investment custodian using the actual trading prices of these securities.

Land and property held for sale are recorded at the lower of cost or fair value. Fair value is determined based on estimated sales price, less cost of sales, less a discount for time value of money. At December 31, 2016, all land and property held for sale were carried at their cost basis.

FS-10

Fifteen Five Corporation
Notes to the Consolidated Financial Statements
December 31, 2017 and 2016

The carrying amounts of the Company’s other financial instruments, which include cash and cash equivalents, accounts receivable, accounts payable and accrued expenses, approximate the fair value due to their short maturities.

Income Taxes

The Company accounts for income taxes using the asset and liability method whereby deferred tax asset and liability account balances are determined based on differences between financial reporting and tax bases of assets and liabilities and are measured using the enacted tax rates and laws that will be in effect when the differences are expected to reverse. Valuation allowances are established, when necessary, to reduce deferred tax assets to the amount expected to be realized.

The Company regularly assesses uncertain tax positions in each of the tax jurisdictions in which it has operations and accounts for the related financial statement implications. Uncertain tax benefits are reported using the two-step approach under which tax effects of a position are recognized only if it is “more-likely-than-not” to be sustained and the amount of the tax benefit recognized is equal to the largest tax benefit that is greater than fifty percent likely of being realized upon ultimate settlement of the tax position. Determining the appropriate level of unrecognized tax benefits requires the Company to exercise judgment regarding the uncertain application of tax law. The amount of unrecognized tax benefits is adjusted when information becomes available or when an event occurs indicating a change is appropriate. Future changes in unrecognized tax benefits requirements could have a material impact on the results of operations.

The Company files U.S. federal and U.S. state tax returns. The Company is generally no longer subject to tax examinations relating to federal and state tax returns for years prior to 2014.

Reclassifications

Certain amounts on the statements of income have been reclassified from the prior year presentation to conform to the current year presentation. These amounts do not impact the net income year over year.

Management Review

Management of the Company has evaluated subsequent events through April 10, 2018, the date the consolidated financial statements were available to be issued.

Recent Accounting Pronouncements

In May 2014, the FASB issued guidance in ASU 2014-09, Revenue from Contracts with Customers (Topic 606), which supersedes most current revenue recognition guidance and outlines a single comprehensive model for entities to use in accounting for revenue. In August 2015, the FASB issued ASU 2015-14 delaying the effective date for adoption. The update is now effective for interim and annual periods beginning after December 15, 2018. The guidance provides a five-step framework to recognize revenue to depict the transfer of goods or services to customers in an amount that reflects the consideration it expects to be entitled to receive in exchange for those goods or services. The new guidance may be applied retrospectively to each prior period presented or retrospectively with the cumulative effect recognized as of the date of adoption. Management has determined that the adoption of this standard will not have a material impact on the recognition service revenues or the Company’s financial position and results of operations.

In February 2016, the FASB issued ASU 2016-02, Leases (Topic 842). This standard requires lessees to recognize a lease liability and a lease asset for all leases, including operating leases, with a term greater than 12 months on its statement of financial position. The standard also expands the required quantitative and qualitative disclosures surrounding leases. This standard is effective for annual periods beginning after December 15, 2019. Early adoption is permitted. This standard will be applied using a modified retrospective transition approach for leases existing at, or entered into after, the beginning of the earliest

FS-11

Fifteen Five Corporation
Notes to the Consolidated Financial Statements
December 31, 2017 and 2016

comparative period presented in the financial statements. Management is currently evaluating the effect of these provisions on the Company’s financial position and results of operations.

Note 3 – Investments in Marketable Securities

During the year ended December 31, 2017, the Company sold all their remaining investments held in equity securities recognizing a gain of $25,016. The amortized cost, gross unrealized gains and losses and estimated fair value of investments in equity securities at December 31, 2016 are as follows:

    2016  
    Amortized Cost     Gross Unrealized Gains     Gross Unrealized Losses     Estimated Fair Value  
                                       
Pacific Health Care Organization (PFHO)   $ 143,527     $ 31,764     $ -     $ 175,291  
Rocky Mountain Chocolate Factory (RMCF)     2,046       -       (8 )     2,038  
Totals   $ 145,573     $ 31,764     $ (8 )   $ 177,329  

Note 4 – Land and Property Held for Sale

Land and property held for sale at December 31, 2017 and 2016 are as follows:

    2017     2016  
                 
Investment in real estate                
Chaparral Round Mountain property   $ -     $ 115,537  
Bunche Road property     -       207,601  
Valley Forest property     -       153,447  
Investment in real estate, net   $ -     $ 476,585  

During the year ended December 31, 2017, the Company sold its real estate holding in Chaparral Round Mountain property for $161,349 recognizing a gain on the sale of $45,812. Furthermore, investment in Bunche Road Property was sold for $185,000 resulting in a loss of $22,601 and the sale of Valley Forest property for $165,823 resulted in a gain of $12,376. All gains and losses are reflected in other income (expense) in the statement of income.

Note 5 – Investment in Unconsolidated Entities

In 2016, Bluth Holdings entered into a joint venture agreement with Fliegenfischen Investments, LLC in which both entities contributed capital to form Dental Capital Partners, LLC, a limited liability company formed and domiciled in the State of Texas. Bluth Holdings contributed cash totaling $10,000, representing 50% of the total initial equity of Dental Capital Partners, LLC. Additional contributions totaling $40,100 were made during 2016. The Company received distributions of cash totaling $25,168 for the year ended December 31, 2016. Equity in losses and earnings was ($178) for the year ended December 31, 2016. Activity during the year ended December 31, 2017 was considered immaterial and no further contributions or distributions were made to this investment.

FS-12

Fifteen Five Corporation
Notes to the Consolidated Financial Statements
December 31, 2017 and 2016

In 2016, Bluth Holdings contributed cash totaling $70,000, representing 42.42% of the total initial equity of Redbeard Properties, LLC. Additional contributions totaling $55,871 were made during 2016. The Company received profit sharing distributions of cash totaling $88,488 for the year ended December 31, 2016. Equity in losses and earnings was $5,407 for the year ended December 31, 2016. Activity during the year ended December 31, 2017 was considered immaterial and no further contributions or distributions were made to this investment.

In 2017, Fifteen Five contributed $10,000 and $2,000 to acquire interests in DTG Brokers, LLC and Dental Maverick Summit, LLC to obtain 50% and 49% ownership of each entity, respectively. Activity during the year ended December 31, 2017 was considered immaterial.

The carrying value of the Company’s investment in unconsolidated entities at December 31, 2017 and 2016, were as follows:

    2017     2016  
                 
Dental Capital Partners, LLC (50%)   $ 24,932     $ 24,932  
Redbeard Properties, LLC (42.42%)     37,383       37,383  
DTG Brokers, LLC (50%)     10,000       -  
Dental Maverick Summit, LLC (49%)     2,000       -  
Total   $ 74,315     $ 62,315  

Note 6 – Property and Equipment

As of December 31, 2017 and 2016, the Company’s property and equipment account balances were as follows:

    2017     2016  
                 
Land   $ 913,350     $ -  
Furniture and equipment     23,072       23,072  
Computer equipment     89,708       69,383  
Classroom equipment     24,822       6,274  
Medical and dental equipment     240,734       194,795  
Leasehold improvements     21,366       9,996  
Accumulated depreciation     (201,817 )     (122,404 )
                 
Total   $ 1,111,235     $ 181,116  

Depreciation expense totaled $79,413 and $50,615 for the years ended December 31, 2017 and 2016, respectively.

Note 7 – Line of Credit

On December 29, 2016, the Company entered into a line of credit agreement with Independent Bank. Under the terms of the agreement, the Company can borrow up to a maximum of $100,000 that is collateralized by certain assets and property of the Company. Borrowings under this facility bear interest 6% per annum. The Company is obligated to pay interest monthly, and all principal and unpaid interest is due and payable on March 29, 2017. The line of credit was not renewed after March 29, 2017.

FS-13

Fifteen Five Corporation
Notes to the Consolidated Financial Statements
December 31, 2017 and 2016

Note 8 – Debt

    2017     2016  
                 
Promissory Note payable to Independent Bank bearing an interest rate of 4.75% per annum through conversion date (September 15, 2018) and thereafter at a rate of the current Wall Street Journal Prime + .50% with a floor of 4.75%, maturing in September 15, 2019; collateralized by certain property held by the Company.   $ 647,926     $ -  
Promissory Note payable to Independent Bank bearing an interest rate of 4.50% through conversion date (September 6, 2020) and thereafter at a rate of the lesser of the index rate plus 1% annually (not to fall below 4.50%) or the maximum lawful rate, maturing in September 2026; collateralized by certain property held by the Company.     -       115,031  
Promissory Note payable to Independent Bank bearing an interest rate of 4.75% per annum, maturing in December 2017; collateralized by certain property held by the Company.     -       150,000  
    647,926       265,031  
Less: current portion     (61,254 )     (265,031 )
Long-term portion   $ 586,672     $ -  

Maturities of debt as of December 31, 2017 are as follows:

2018   $ 61,254  
2019     586,672  
  $ 647,926  

Note 9 – Fair Value of Financial Instruments

The following table summarizes the valuation of the Company’s major security types by the fair value hierarchy levels as of December 31, 2016. The Company did not hold financial instruments that are regularly measured at fair value as of December 31, 2017.

    Level 1     Level 2     Level 3     2016 Total  
                                 
Assets                                
Investments in equity securities:                                
Pacific Health Care Organization   $ 175,291     $ -     $ -     $ 175,291  
Rocky Mountain Chocolate Factory     2,038       -       -       2,038  
Totals   $ 177,329     $ -     $ -     $ 177,329  

FS-14

Fifteen Five Corporation
Notes to the Consolidated Financial Statements
December 31, 2017 and 2016

Note 10 – Commitments and Contingencies

Lease Commitments

The Company leases office space and equipment under certain non-cancelable operating leases. As of December 31, 2017, the Company’s minimum lease payments on non-cancellable operating leases totaled $64,680 for 2018, which is when the lease is expected to terminate. No other non-cancelable operating leases were in force at December 31, 2017.

Litigation

The Company from time to time may be involved in litigation relating to claims arising out of its ordinary course of business. Management believes that there are no claims or actions pending or threatened against the Company, the ultimate disposition of which would have a material impact on the Company’s consolidated financial position, results of operations or cash flows.

Risk Management

The Company maintains various forms of insurance that the Company’s management believes are adequate to reduce the exposure to these risks to an acceptable level.

Note 11 – Related Party Transactions

The Company occasionally borrows from and lends to related party entities. Amounts borrowed and lent are considered fully collectible and all related party receivables are expected to be received within the next fiscal year. As of December 31, 2017 and 2016, the Company had a related party accounts and notes receivable balance of $61,373 and $61,625, respectively. The $43,450 note receivable bears interest of 6% per annum and full payment was made in 2018. The remaining $17,923 in advances are expected to be collected within the next twelve months.

Note 12 – Income Taxes

The income tax expense is composed of the following for the years ended December 31, 2017 and 2016:

    2017     2016  
                 
Current:            
Federal   $ 184,377     $ 10,144  
State     24,185       -  
Deferred:                
Federal     (11,315 )     33,987  
State     1,272       -  
Income tax expenses   $ 198,519     $ 44,131  

FS-15

Fifteen Five Corporation
Notes to the Consolidated Financial Statements
December 31, 2017 and 2016

Income taxes reflect the net tax effects of temporary differences between the carrying amounts of assets and liabilities for financial reporting purposes and the amounts used for income tax purposes. Significant components of the Company’s deferred taxes at December 31, 2017 and 2016 are as follows:

    2017     2016  
                 
Deferred tax assets (liabilities):            
Property and equipment   $ (47,493 )   $ (45,786 )
Unrealized (gain) loss     -       (11,750 )
Total net deferred tax assets (liabilities)     (47,493 )     (57,536 )
Less valuation allowance     -       -  
Net deferred tax assets (liabilities)   $ (47,493 )   $ (57,536 )

The Company’s provision for tax expense differs from the amount computed by applying the statutory federal income tax rate of 34% to income before taxes. These differences are due primarily to permanent items and state taxes. The effective tax rates were 33.5% in 2017 and 48.7% in 2016.

On December 22, 2017, the President signed into law the Tax Cuts and Jobs Act (H.R. 1) (the “Act”). The Act includes a number of changes in existing tax law impacting businesses including, among other things, a permanent reduction in the corporate income tax rate from 34% to 21%, which would take effect on January 1, 2018.

Note 13 – Earnings Per Share

Earnings per share is computed by dividing net income after taxes by the weighted-average number of common shares outstanding during the years ended December 31,2017 and 2016.

    2017     2016  
                 
Income from operations (after tax)   $ 418,171     $ 46,479  
                 
Weighted-average number of common shares outstanding     1,000,000       1,000,000  
                 
Net earnings per share from operations (after tax)   $ 0.42     $ 0.05  

Note 14 – Subsequent Events

Management of the Company has evaluated subsequent events through September 27, 2018, the date the restated consolidated financial statements were available to be issued.

During May 2018, Benefit Snowball, PBC was created as a wholly owned subsidiary of Fifteen Five Corporation. Per the Bylaws, Benefit Snowball intends to retain and allocate 100% of the profits of the corporation to assist in the formation of new public benefit corporations, the investment into public benefit corporations, and the promotion of the concept of public benefit corporations.

During May 2018, Purple Pig PBC d.b.a Purple Pig Realty was created as a wholly owned subsidiary of Benefit Snowball. Per the Bylaws, Purple Pig intends to allocate capital and all net profits, after reserves for future growth are established, for the elimination of homelessness by non-paternalistic means.

In June 2018, a new company (Fifteen Five Partners PBC) was incorporated in Delaware as a “public benefit corporation.” The certificate of incorporation of Fifteen Five Partners PBC authorized three classes of common stock—Class A Common Stock, Class F Common Stock, and Class P Common Stock. (Each class has identical rights and preferences, except that Class F Common Stock entitles its holder to 10 million votes per share, while Class A and Class P Common Stock entitle their holders to one vote per share. Both Class F and Class P Common Stock are convertible to Class A Common Stock at the election of the holder.) Fifteen Five Partners PBC then issued 500,000 shares of Class P Common Stock and 100 shares of Class F Common Stock in exchange for all the then-outstanding shares of Fifteen Five Corporation.

FS-16

After the reorganization and recapitalization aforementioned, Fifteen Five Partners PBC adopted an employee equity incentive plan and issued a total of 64,000 shares of its Class P Common Stock to certain employees pursuant to the plan.

During August 2018, Fifteen Five Corporation refinanced and then subsequently paid off the loan for land held at 1890 Ranch in Cedar Park, Texas. In conjunction with this, a construction loan for approximately $2.4M was entered into to fund the construction of a new building, which commenced in August 2018.

Dental Leverage, a Texas limited liability company, which was formed on October 19, 2015 in the state of Texas, was closed during 2018.

FS-17

Index to Exhibits

Exhibit 2.1 Certificate of Incorporation
 
Exhibit 2.2 Bylaws
 
Exhibit 4 Form of Subscription Agreement
 
Exhibit 6.1 Independent Bank Promissory Note
 
Exhibit 6.2 2018 Equity Incentive Plan
 
Exhibit 11 Consent of Independent Auditor
 
Exhibit 12 Opinion as to Validity of Securities

Exhibits

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 the City of Leander, State of Texas, on December 10, 2018.

Fifteen Five Partners PBC
By: /s/ Thomas Ince
Name: Thomas Ince
Title: Chief Executive Officer

This Offering Statement has been signed by the following persons in the capacities and on the dates indicated:

/s/ Thomas Ince
Thomas Ince, Chief Executive Officer, President, Director
Date: December 10, 2018

Signatures

EX1A-2A CHARTER 3 ex2-1.htm CERTIFICATE OF INCORPORATION Certificate of Incorporation

CERTIFICATE OF INCORPORATION
OF
FIFTEEN FIVE PARTNERS PBC

A DELAWARE PUBLIC BENEFIT CORPORATION

The undersigned, a natural person (the "Sole Incorporator"), for the purpose of organizing a public benefit corporation to conduct the business and promote the purposes hereinafter stated, under the provisions and subject to the requirements of the laws of the State of Delaware hereby certifies that:

I.

The name of this public benefit corporation is Fifteen Five Partners PBC (the "Corporation").

II.

The registered office of the Corporation in the State of Delaware shall be 251 Little Falls Drive, City of Wilmington, County of New Castle, 19808, and the name of the registered agent of the Corporation in the State of Delaware at such address shall be Corporation Service Company.

III.

  1. The purpose of the Corporation is to engage in any lawful act or activity for which a corporation may be organized under the Delaware General Corporation Law ("DGCL"), which shall include producing a public benefit and operating in a responsible and sustainable manner.
  2. The specific public benefit to be promoted by the Corporation shall include contributing 10 percent of its net income, calculated in such manner as provided in the bylaws of the Corporation (the "Bylaws"), toward (1) the formation of new public benefit corporations, (2) investments in other public benefit corporations, (3) the support and aid of the growth of other public benefit corporations, and (4) the promotion of the concept of public benefit corporations, where such public benefit corporations are selected by the board of directors of the Corporation (the "Board") and focus on improving "Level 1" and "Level 2" needs described by Maslow's hierarchy of needs through a non-paternalistic method by providing the environment to escape poverty on a self-reliant basis.

IV.

  1. Common Stock. The Corporation is authorized to issue three (3) classes of stock, to be designated, respectively, "Class A Common Stock," "Class F Common Stock," and "Class P Common Stock." The total number of shares which the Corporation is authorized to issue is 3,378,200 shares, each with a par value of $0.0001 per share. Of these, 2,314,100 shares shall be Class A Common Stock, 100 shares shall be Class F Common Stock, and 1,064,000 shares shall be Class P Common Stock.
  2. Rights, Powers and Restrictions of Class A Common Stock. The rights, powers and restrictions granted to and imposed on Class A Common Stock are as set forth below in this Article IV(B).
    1. Dividend Rights. The holders of Class A Common Stock shall be entitled to receive, when and as declared by the Board, such dividends as may be declared from time to time by the Board with respect to Class F Common Stock or Class P Common Stock out of any assets of the Corporation legally available therefor, and no dividend shall be declared or paid on shares of Class F Common Stock or Class P Common Stock unless the same dividend with the same record date and payment date shall be declared or paid on the shares of Class A Common Stock; provided, however, that dividends payable in shares of Class F Common Stock or rights to acquire Class F Common Stock, or shares of Class P Common Stock or rights to acquire Class P Common Stock, may be declared and paid to the holders of Class F Common Stock or Class P Common Stock, respectively, without the same dividend being declared and paid to the holders of Class A Common Stock if and only if a dividend payable in shares of Class A Common Stock or rights to acquire Class A Common Stock (as the case may be) at the same rate and with the same record date and payment date as the dividend declared and paid to the holders of Class F Common Stock or Class P Common Stock shall be declared and paid to the holders of Class A Common Stock.
    2. Liquidation Rights. In the event of any voluntary or involuntary liquidation, dissolution, or winding up of the Corporation or Deemed Liquidation Event (as defined below), all funds and assets legally available for distribution to the stockholders of the Corporation shall be distributed among the holders of Class A Common Stock, Class F Common Stock and Class P Common Stock pro rata based on the number of shares of Class A Common Stock, Class F Common Stock and Class P Common Stock then held by them. A "Deemed Liquidation Event" is (a) the sale, lease, transfer, conveyance, or other disposition by the Corporation, whether in a single transaction or series of related transaction, of all or substantially all of its assets or business or (b) a merger with or into or consolidation with any other corporation, limited liability company or other entity (other than a wholly-owned subsidiary of the Corporation), or any other transaction or series of related transactions, in which the stockholders of the Corporation immediately prior to such transaction or series of related transactions (and prior to any acquisition of shares of stock of the Corporation effected in connection with such transaction or series of related transactions) own less than 50 percent of the Corporation's voting power (or the voting power of the surviving entity in such transaction or series of related transactions) immediately after such transaction or series of related transactions, provided that a merger effected exclusively for the purpose of changing the domicile of the Corporation or an equity financing in which the Corporation is the surviving corporation shall be considered a Deemed Liquidation Event.
    3. Voting Rights. Each holder of Class A Common Stock shall be entitled to (a) one (1) vote per share of Class A Common Stock, (b) notice of any stockholders' meeting in accordance with the Bylaws, and (c) vote upon such matters and in such manner as may be provided by law. Except as expressly provided by this Certificate of Incorporation or as provided by law, the holders of shares of Class A Common Stock shall at all times vote together with the holders of Class F Common Stock and Class P Common Stock as a single class on all matters (including the election of directors) submitted to vote or for the consent of the stockholders of the Corporation. The number of authorized shares of Class A Common Stock may be increased or decreased (but not below the number of shares thereof then outstanding) by the affirmative vote of the holders of shares of stock of the Corporation representing a majority of the votes represented by all outstanding shares of stock of the Corporation entitled to vote, irrespective of Section 242(b)(2) of the DGCL.
    4. Subdivisions or Combinations. If the Corporation in any manner subdivides or combines the outstanding shares of Class F Common Stock or Class P Common Stock, then the outstanding shares of Class A Common Stock shall be subdivided or combined in the same proportion and manner.
    5. Equal Status. Except as expressly set forth in this Article IV, Class A Common Stock shall have the same rights and powers of, rank equally to, share ratably with and be identical in all respects and as to all matters to Class F Common Stock and Class P Common Stock.
  3. Rights, Powers and Restrictions of Class F Common Stock. The rights, powers and restrictions granted to and imposed on Class F Common Stock are as set forth below in this Article IV(C).
    1. Dividend Rights. The holders of Class F Common Stock shall be entitled to receive, when and as declared by the Board, such dividends as may be declared from time to time by the Board with respect to Class A Common Stock or Class P Common Stock out of any assets of the Corporation legally available therefor, and no dividend shall be declared or paid on shares of Class A Common Stock or Class P Common Stock unless the same dividend with the same record date and payment date shall be declared or paid on the shares of Class F Common Stock; provided, however, that dividends payable in shares of Class A Common Stock or rights to acquire Class A Common Stock, or shares of Class P Common Stock or rights to acquire Class P Common Stock, may be declared and paid to the holders of Class A Common Stock or Class P Common Stock, respectively, without the same dividend being declared and paid to the holders of Class F Common Stock if and only if a dividend payable in shares of Class F Common Stock or rights to acquire Class F Common Stock (as the case may be) at the same rate and with the same record date and payment date as the dividend declared and paid to the holders of Class A Common Stock or Class P Common Stock shall be declared and paid to the holders of Class F Common Stock.
    2. Liquidation Rights. Upon the liquidation, dissolution or winding up of the Corporation or the occurrence of a Deemed Liquidation Event, the assets of the Corporation shall be distributed as provided in Section 2 of Article IV(B).
    3. Voting Rights. Each holder of Class F Common Stock shall be entitled to (a) ten million (10,000,000) votes per share of Class F Common Stock, (b) notice of any stockholders' meeting in accordance with the Bylaws, and (c) vote upon such matters and in such manner as may be provided by law. Except as expressly provided by this Certificate of Incorporation or as provided by law, the holders of shares of Class F Common Stock shall at all times vote together with the holders of Class A Common Stock and Class P Common Stock as a single class on all matters (including the election of directors) submitted to vote or for the consent of the stockholders of the Corporation. The number of authorized shares of Class F Common Stock may be increased or decreased (but not below the number of shares thereof then outstanding) by the affirmative vote of the holders or shares of stock of the Corporation representing a majority of the votes represented by all outstanding shares of stock of the Corporation entitled to vote, irrespective of Section 242(b)(2) of the DGCL.
    4. Conversion Rights. Each share of Class F Common Stock shall be convertible into one (1) fully paid and nonassessable share of Class A Common Stock at the option of the holder thereof, at any time upon written notice to the Corporation, and without the payment of additional consideration by the holder thereof. Before any holder of Class F Common Stock shall be entitled to convert any shares of such Class F Common Stock, such holder shall surrender the certificate or certificates therefor, duly endorsed, at the principal corporate office of the Corporation or of any transfer agent for Class F Common Stock, and shall give written notice to the Corporation at its principal corporate office, of the election to convert the same and shall state therein the name or names in which the certificate or certificates for shares of Class A Common Stock are to be issued. The Corporation shall, as soon as practicable thereafter, issue and deliver at such office to such holder of Class F Common Stock, or to the nominee or nominees or such holder, a certificate or certificates for the number of shares of Class A Common Stock to which such holder shall be entitled as aforesaid. Such conversion shall be deemed to have been made immediately prior the close of business on the date of such surrender of the shares of Class F Common Stock to be converted, and the person or persons entitled to receive the shares of Class A Common Stock issuable upon such conversion shall be treated for all purposes as the record holder or holders of such shares of Class A Common Stock as of such date. Each share of Class F Common Stock that is converted pursuant to this Section 4 shall be retired by the Corporation and shall not be available for reissuance.
    5. Subdivisions or Combinations. If the Corporation in any manner subdivides or combines the outstanding shares of Class A Common Stock or Class P Common Stock, then the outstanding shares of Class F Common Stock shall be subdivided or combined in the same proportion and manner.
    6. Equal Status. Except as expressly set forth in this Article IV, Class F Common Stock shall have the same rights and powers of, rank equally to, share ratably with and be identical in all respects and as to all matters to Class A Common Stock and Class P Common Stock.
    7. Reservation of Stock. The Corporation shall at all times reserve and keep available out of its authorized but unissued shares of Class A Common Stock, solely for the purpose of effecting the conversion of the shares of Class F Common Stock, such number of shares of Class A Common Stock as shall from time to time be sufficient to effect the conversion of all outstanding shares of Class F Common Stock into shares of Class A Common Stock.
  4. Rights, Powers and Restrictions of Class P Common Stock. The rights, powers and restrictions granted to and imposed on Class P Common Stock are as set forth below in this Article IV(D).
    1. Dividend Rights. The holders of Class P Common Stock shall be entitled to receive, when and as declared by the Board, such dividends as may be declared from time to time by the Board with respect to Class A Common Stock or Class F Common Stock out of any assets of the Corporation legally available therefor, and no dividend shall be declared or paid on shares of Class A Common Stock or Class F Common Stock unless the same dividend with the same record date and payment date shall be declared or paid on the shares of Class P Common Stock; provided, however, that dividends payable in shares of Class A Common Stock or rights to acquire Class A Common Stock, or shares of Class F Common Stock or rights to acquire Class F Common Stock, may be declared and paid to the holders of Class A Common Stock or Class F Common Stock, respectively, without the same dividend being declared and paid to the holders of Class P Common Stock if and only if a dividend payable in shares of Class P Common Stock or rights to acquire Class P Common Stock (as the case may be) at the same rate and with the same record date and payment date as the dividend declared and paid to the holders of Class A Common Stock or Class F Common Stock shall be declared and paid to the holders of Class P Common Stock.
    2. Liquidation Rights. Upon the liquidation, dissolution or winding up of the Corporation or the occurrence of a Deemed Liquidation Event, the assets of the Corporation shall be distributed as provided in Section 2 of Article IV(B).
    3. Voting Rights. Each holder of Class P Common Stock shall be entitled to (a) one (1) vote per share of Class P Common Stock, (b) notice of any stockholders' meeting in accordance with the Bylaws, and (c) vote upon such matters and in such manner as may be provided by law. Except as expressly provided by this Certificate of Incorporation or as provided by law, the holders of shares of Class P Common Stock shall at all times vote together with the holders of Class A Common Stock and Class F Common Stock as a single class on all matters (including the election of directors) submitted to vote or for the consent of the stockholders of the Corporation. The number of authorized shares of Class P Common Stock may be increased or decreased (but not below the number of shares thereof then outstanding) by the affirmative vote of the holders of shares of stock of the Corporation representing a majority of the votes represented by all outstanding shares of stock of the Corporation entitled to vote, irrespective of Section 242(b)(2) of the DGCL.
    4. Conversion. Each share of Class P Common Stock shall be convertible into one (1) fully paid and nonassessable share of Class A Common Stock at the option of the holder thereof, at any time upon written notice to the Corporation, and without the payment of additional consideration by the holder thereof. Before any holder of Class P Common Stock shall be entitled to convert any shares of such Class P Common Stock, such holder shall surrender the certificate or certificates therefor, duly endorsed, at the principal corporate office of the Corporation or of any transfer agent for Class P Common Stock, and shall give written notice to the Corporation at its principal corporate office, of the election to convert the same and shall state therein the name or names in which the certificate or certificates for shares of Class A Common Stock are to be issued. The Corporation shall, as soon as practicable thereafter, issue and deliver at such office to such holder of Class P Common Stock, or to the nominee or nominees or such holder, a certificate or certificates for the number of shares of Class A Common Stock to which such holder shall be entitled as aforesaid. Such conversion shall be deemed to have been made immediately prior the close of business on the date of such surrender of the shares of Class P Common Stock to be converted, and the person or persons entitled to receive the shares of Class A Common Stock issuable upon such conversion shall be treated for all purposes as the record holder or holders of such shares of Class A Common Stock as of such date. Each share of Class P Common Stock that is converted pursuant to this Section 4 shall be retired by the Corporation and shall not be available for reissuance.
    5. Subdivisions or Combinations. If the Corporation in any manner subdivides or combines the outstanding shares of Class A Common Stock or Class F Common Stock, then the outstanding shares of Class P Common Stock shall be subdivided or combined in the same proportion and manner.
    6. Equal Status. Except as expressly set forth in this Article IV, Class P Common Stock shall have the same rights and powers of, rank equally to, share ratably with and be identical in all respects and as to all matters to Class A Common Stock and Class F Common Stock.
    7. Reservation of Stock. The Corporation shall at all times reserve and keep available out of its authorized but unissued shares of Class A Common Stock, solely for the purpose of effecting the conversion of the shares of Class P Common Stock, such number of shares of Class A Common Stock as shall from time to time be sufficient to effect the conversion of all outstanding shares of Class P Common Stock into shares of Class A Common Stock.

V.

  1. The management of the business and the conduct of the affairs of the Corporation shall be vested in its Board. The number of directors which shall constitute the whole Board shall be fixed by the Board in the manner provided in the Bylaws.
  2. Directors shall be elected at each annual meeting of stockholders to hold office until the next annual meeting. Each director shall hold office either until the expiration of the term for which elected or appointed and until a successor has been elected and qualified, or until such director's death, resignation or removal. No decrease in the number of directors constituting the Board shall shorten the term of any incumbent director.
  3. No person entitled to vote at an election for directors may cumulate votes to which such person is entitled unless required by applicable law at the time of such election. During such time or times that applicable law requires cumulative voting, every stockholder entitled to vote at an election for directors may cumulate such stockholder's votes and give one candidate a number of votes equal to the number of directors to be elected multiplied by the number of votes to which such stockholder's shares are otherwise entitled, or distribute the stockholder's votes on the same principle among as many candidates as such stockholder desires. No stockholder, however, shall be entitled to so cumulate such stockholder's votes unless (1) the names of such candidate or candidates have been placed in nomination prior to the voting and (2) the stockholder has given notice at the meeting, prior to the voting, of such stockholder's intention to cumulate such stockholder's votes. If any stockholder has given proper notice to cumulate votes, all stockholders may cumulate their votes for any candidates who have been properly placed in nomination. Under cumulative voting, the candidates receiving the highest number of votes, up to the number of directors to be elected, are elected.
  4. Subject to any limitations imposed by applicable law, the Board or any director may be removed from office at any time, with or without cause, by the affirmative vote of the holders of a majority of the voting power of all then-outstanding shares of capital stock of the Corporation entitled to vote generally at an election of directors.
  5. The Board is expressly empowered to adopt, amend or repeal the Bylaws. The stockholders shall also have power to adopt, amend or repeal the Bylaws; provided, however, that, in addition to any vote of the holders of any class or series of stock of the Corporation required by law or by this Certificate of Incorporation, such action by stockholders shall require the affirmative vote of the holders of at least a majority of the voting power of all of the then-outstanding shares of the capital stock of the Corporation entitled to vote generally in the election of directors, voting together as a single class.
  6. Unless and except to the extent that the Bylaws shall so require, the election of directors of the Corporation need not be by written ballot.

VI.

  1. The liability of the directors for monetary damages for breach of fiduciary duty as a director shall be eliminated to the fullest extent under applicable law.
  2. Any disinterested failure to satisfy Section 365 of the DGCL shall not, for the purposes of Section 102(b)(7) or 145 of the DGCL, constitute an act or omissions not in good faith, or a breach of the duty of loyalty.
  3. To the fullest extent permitted by applicable law, the Corporation is authorized to provide indemnification of (and advancement of expenses to) directors, officers and agents of the Corporation (and any other persons to which applicable law permits the Company to provide indemnification) through Bylaw provisions, agreements with such agents or other persons, vote of stockholders or disinterested directors or otherwise in excess of the indemnification and advancement otherwise permitted by such applicable law. If applicable law is amended after approval by the stockholders of this Article VI to authorize corporate action further eliminating or limiting the personal liability of directors, then the liability of a director to the Corporation shall be eliminated or limited to the fullest extent permitted by applicable law as so amended.
  4. Any repeal or modification of this Article VI shall only be prospective and shall not affect the rights or protections or increase the liability of any officer or director under this Article VI in effect at the time of the alleged occurrence of any act or omission to act giving rise to liability or indemnification.

VII.

The Corporation reserves the right to amend, alter, change or repeal any provision contained in this Certificate of Incorporation, in the manner now or hereafter prescribed by statute, and all rights conferred upon the stockholders herein are granted subject to this reservation.

VIII.

The name and the mailing address of the Sole Incorporator is as follows:

Thomas Ince
901 Crystal Falls Parkway, Suite 203
Leander, Texas 78641

This Certificate of Incorporation has been subscribed as of June  18 , 2018, by the undersigned who affirms that the statements made herein are true and correct.

/s/ Thomas Ince

Thomas Ince, Sole Incorporator

EX1A-2B BYLAWS 4 ex2-2.htm BYLAWS Bylaws

BYLAWS

OF

FIFTEEN FIVE PARTNERS PBC

(A Delaware Public Benefit Corporation)

ARTICLE I
Offices

Section 1.              Registered Office. The registered office of the corporation in the State of Delaware shall be 251 Little Falls Drive, City of Wilmington, County of New Castle, or in such other location as the Board of Directors may from time to time determine or the business of the corporation may require.

Section 2.              Other Offices. The corporation shall also have and maintain an office or principal place of business at such place as may be fixed by the Board of Directors, and may also have offices at such other places, both within and without the State of Delaware, as the Board of Directors may from time to time determine or the business of the corporation may require.

ARTICLE II
Corporate Seal

Section 3.              Corporate Seal. The Board of Directors may adopt a corporate seal. Said seal may be used by causing it or a facsimile thereof to be impressed or affixed or reproduced or otherwise.

ARTICLE III
Stockholders’ Meetings

Section 4.              Place of Meetings. Meetings of the stockholders of the corporation may be held at such place, either within or without the State of Delaware, as may be determined from time to time by the Board of Directors. The Board of Directors may, in its sole discretion, determine that the meeting shall not be held at any place, but may instead be held solely by means of remote communication as provided under the Delaware General Corporation Law (“DGCL”).

Section 5.              Annual Meeting.

(a)            The annual meeting of the stockholders of the corporation, for the purpose of election of directors and for such other business as may lawfully come before it, shall be held on such date and at such time as may be designated from time to time by the Board of Directors. Nominations of persons for election to the Board of Directors of the corporation and the proposal of business to be considered by the stockholders may be made at an annual meeting of stockholders: (i) pursuant to the corporation’s notice of meeting of stockholders; (ii) by or at the direction of the Board of Directors; or (iii) by any stockholder of the corporation who was a stockholder of record at the time of giving of notice provided for in the following paragraph, who is entitled to vote at the meeting and who complied with the notice procedures set forth in this Section.

(b)            At an annual meeting of the stockholders, only such business shall be conducted as shall have been properly brought before the meeting. For nominations or other business to be properly brought before an annual meeting by a stockholder pursuant to clause (iii) of paragraph (a) of this Section, (i) the stockholder must have given timely notice thereof in writing to the Secretary of the corporation, (ii) such other business must be a proper matter for stockholder action under the DGCL and applicable law, (iii) if the stockholder, or the beneficial owner on whose behalf any such proposal or nomination is made, has provided the corporation with a Solicitation Notice (as defined in this paragraph), such stockholder or beneficial owner must, in the case of a proposal, have delivered a proxy statement and form of proxy to holders of at least the percentage of the corporation’s voting shares required under applicable law to carry any such proposal, or, in the case of a nomination or nominations, have delivered a proxy statement and form of proxy to holders of a percentage of the corporation’s voting shares reasonably believed by such stockholder or beneficial owner to be sufficient to elect the nominee or nominees proposed to be nominated by such stockholder, and must, in either case, have included in such materials the Solicitation Notice, and (iv) if no Solicitation Notice relating thereto has been timely provided pursuant to this Section, the stockholder or beneficial owner proposing such business or nomination must not have solicited a number of proxies sufficient to have required the delivery of such a Solicitation Notice under this Section. To be timely, a stockholder’s notice shall be delivered to the Secretary at the principal executive offices of the corporation not later than the close of business on the ninetieth (90th) day nor earlier than the close of business on the one hundred twentieth (120th) day prior to the first anniversary of the preceding year’s annual meeting; provided, however, that in the event that the date of the annual meeting is advanced more than thirty (30) days prior to or delayed by more than thirty (30) days after the anniversary of the preceding year’s annual meeting, notice by the stockholder to be timely must be so delivered not earlier than the close of business on the one hundred twentieth (120th) day prior to such annual meeting and not later than the close of business on the later of the ninetieth (90th) day prior to such annual meeting or the tenth (10th) day following the day on which public announcement of the date of such meeting is first made. In no event shall the public announcement of an adjournment of an annual meeting commence a new time period for the giving of a stockholder’s notice as described above. Such stockholder’s notice shall set forth: (A) as to each person whom the stockholder proposed to nominate for election or reelection as a director all information relating to such person that is required to be disclosed in solicitations of proxies for election of directors in an election contest, or is otherwise required, in each case pursuant to Regulation 14A under the Securities Exchange Act of 1934, as amended (the “1934 Act”), and Rule 14a-4(d) thereunder (including such person’s written consent to being named in the proxy statement as a nominee and to serving as a director if elected); (B) as to any other business that the stockholder proposes to bring before the meeting, a brief description of the business desired to be brought before the meeting, the reasons for conducting such business at the meeting and any material interest in such business of such stockholder and the beneficial owner, if any, on whose behalf the proposal is made; and (C) as to the stockholder giving the notice and the beneficial owner, if any, on whose behalf the nomination or proposal is made (i) the name and address of such stockholder, as they appear on the corporation’s books, and of such beneficial owner, (ii) the class and number of shares of the corporation that are owned beneficially and of record by such stockholder and such beneficial owner, and (iii) whether either such stockholder or beneficial owner intends to deliver a proxy statement and form of proxy to holders of, in the case of the proposal, at least the percentage of the corporation’s voting shares required under applicable law to carry the proposal or, in the case of a nomination or nominations, a sufficient number of holders of the corporation’s voting shares to elect such nominee or nominees (an affirmative statement of such intent, a “Solicitation Notice”).

(c)            Notwithstanding anything in the second sentence of paragraph (b) of this Section to the contrary, in the event that the number of directors to be elected to the Board of Directors of the corporation is increased and there is no public announcement naming all of the nominees for director or specifying the size of the increased Board of Directors made by the corporation at least one hundred (100) days prior to the first anniversary of the preceding year’s annual meeting, a stockholder’s notice required by this Section shall also be considered timely, but only with respect to nominees for any new positions created by such increase, if it shall be delivered to the Secretary at the principal executive offices of the corporation not later than the close of business on the tenth (10th) day following the day on which such public announcement is first made by the corporation.

(d)            Only such persons who are nominated in accordance with the procedures set forth in this Section (or elected or appointed pursuant to Article IV of these Bylaws) shall be eligible to serve as directors and only such business shall be conducted at a meeting of stockholders as shall have been brought before the meeting in accordance with the procedures set forth in this Section. Except as otherwise provided by law, the Chairman of the meeting shall have the power and duty to determine whether a nomination or any business proposed to be brought before the meeting was made, or proposed, as the case may be, in accordance with the procedures set forth in these Bylaws and, if any proposed nomination or business is not in compliance with these Bylaws, to declare that such defective proposal or nomination shall not be presented for stockholder action at the meeting and shall be disregarded.

(e)            Notwithstanding the foregoing provisions of this Section, in order to include information with respect to a stockholder proposal in the proxy statement and form of proxy for a stockholders’ meeting, stockholders must provide notice as required by the regulations promulgated under the 1934 Act. Nothing in these Bylaws shall be deemed to affect any rights of stockholders to request inclusion of proposals in the corporation proxy statement pursuant to Rule 14a-8 under the 1934 Act.

(f)           For purposes of this Section, “public announcement” shall mean disclosure in a press release reported by the Dow Jones News Service, Associated Press or comparable national news service or in a document publicly filed by the corporation with the Securities and Exchange Commission (the “SEC”) pursuant to Section 13, 14 or 15(d) of the 1934 Act.

Section 6.              Special Meetings.

(a)            Special meetings of the stockholders of the corporation may be called, for any purpose or purposes, by (i) the Chairman of the Board of Directors, (ii) the Chief Executive Officer, (iii) the Board of Directors pursuant to a resolution adopted by directors representing a quorum of the Board of Directors or (iv) by the holders of shares entitled to cast not less than 50% of the votes at the meeting, and shall be held at such place, on such date, and at such time as the Board of Directors shall fix.

At any time or times that the corporation is subject to Section 2115(b) of the California General Corporation Law (“CGCL”), stockholders holding five percent (5%) or more of the outstanding shares shall have the right to call a special meeting of stockholders as set forth in Section 18(b) of these Bylaws.

(b)            If a special meeting is properly called by any person or persons other than the Board of Directors, the request shall be in writing, specifying the general nature of the business proposed to be transacted, and shall be delivered personally or sent by certified or registered mail, return receipt requested, or by telegraphic or other facsimile transmission to the Chairman of the Board of Directors, the Chief Executive Officer, or the Secretary of the corporation. No business may be transacted at such special meeting otherwise than specified in such notice. The Board of Directors shall determine the time and place of such special meeting, which shall be held not less than thirty-five (35) nor more than one hundred twenty (120) days after the date of the receipt of the request. Upon determination of the time and place of the meeting, the officer receiving the request shall cause notice to be given to the stockholders entitled to vote, in accordance with the provisions of Section 7 of these Bylaws. Nothing contained in this paragraph (b) shall be construed as limiting, fixing, or affecting the time when a meeting of stockholders called by action of the Board of Directors may be held.

Section 7.              Notice of Meetings. Except as otherwise provided by law, notice, given in writing or by electronic transmission, of each meeting of stockholders shall be given not less than ten (10) nor more than sixty (60) days before the date of the meeting to each stockholder entitled to vote at such meeting, such notice to specify the place, if any, date and hour, in the case of special meetings, the purpose or purposes of the meeting, and the means of remote communications, if any, by which stockholders and proxyholders may be deemed to be present in person and vote at any such meeting. If mailed, notice is given when deposited in the United States mail, postage prepaid, directed to the stockholder at such stockholder’s address as it appears on the records of the corporation. Notice of the time, place, if any, and purpose of any meeting of stockholders may be waived in writing, signed by the person entitled to notice thereof or by electronic transmission by such person, either before or after such meeting, and will be waived by any stockholder by his or her attendance thereat in person, by remote communication, if applicable, or by proxy, except when the stockholder attends a meeting for the express purpose of objecting, at the beginning of the meeting, to the transaction of any business because the meeting is not lawfully called or convened. Any stockholder so waiving notice of such meeting shall be bound by the proceedings of any such meeting in all respects as if due notice thereof had been given.

Section 8.              Quorum. At all meetings of stockholders, except where otherwise provided by statute or by the Certificate of Incorporation, or by these Bylaws, the presence, in person, by remote communication, if applicable, or by proxy duly authorized, of the holders of a majority of the outstanding shares of stock entitled to vote shall constitute a quorum for the transaction of business. In the absence of a quorum, any meeting of stockholders may be adjourned, from time to time, either by the chairman of the meeting or by vote of the holders of a majority of the shares represented thereat, but no other business shall be transacted at such meeting. The stockholders present at a duly called or convened meeting, at which a quorum is present, may continue to transact business until adjournment, notwithstanding the withdrawal of enough stockholders to leave less than a quorum. Except as otherwise provided by statute, or by the Certificate of Incorporation or these Bylaws, in all matters other than the election of directors, the affirmative vote of a majority of shares present in person, by remote communication, if applicable, or represented by proxy duly authorized at the meeting and entitled to vote generally on the subject matter shall be the act of the stockholders. Except as otherwise provided by statute, the Certificate of Incorporation or these Bylaws, directors shall be elected by a plurality of the votes of the shares present in person, by remote communication, if applicable, or represented by proxy duly authorized at the meeting and entitled to vote generally on the election of directors. Where a separate vote by a class or classes or series is required, except where otherwise provided by the statute or by the Certificate of Incorporation or these Bylaws, a majority of the outstanding shares of such class or classes or series, present in person, by remote communication, if applicable, or represented by proxy duly authorized, shall constitute a quorum entitled to take action with respect to that vote on that matter. Except where otherwise provided by statute or by the Certificate of Incorporation or these Bylaws, the affirmative vote of the majority (plurality, in the case of the election of directors) of shares of such class or classes or series present in person, by remote communication, if applicable, or represented by proxy at the meeting shall be the act of such class or classes or series.

Section 9.              Adjournment and Notice of Adjourned Meetings. Any meeting of stockholders, whether annual or special, may be adjourned from time to time either by the chairman of the meeting or by the vote of a majority of the shares present in person, by remote communication, if applicable, or represented by proxy. When a meeting is adjourned to another time or place, if any, notice need not be given of the adjourned meeting if the time and place, if any, thereof are announced at the meeting at which the adjournment is taken. At the adjourned meeting, the corporation may transact any business which might have been transacted at the original meeting pursuant to the Certificate of Incorporation, these Bylaws or applicable law. If the adjournment is for more than thirty (30) days or if after the adjournment a new record date is fixed for the adjourned meeting, a notice of the adjourned meeting shall be given to each stockholder of record entitled to vote at the meeting.

Section 10.           Voting Rights. For the purpose of determining those stockholders entitled to vote at any meeting of the stockholders, except as otherwise provided by law, only persons in whose names shares stand on the stock records of the corporation on the record date, as provided in Section 12 of these Bylaws, shall be entitled to vote at any meeting of stockholders. Every person entitled to vote or execute consents shall have the right to do so either in person, by remote communication, if applicable, or by an agent or agents authorized by a proxy granted in accordance with Delaware law. An agent so appointed need not be a stockholder. No proxy shall be voted after three (3) years from its date of creation unless the proxy provides for a longer period.

Section 11.           Joint Owners of Stock. If shares or other securities having voting power stand of record in the names of two (2) or more persons, whether fiduciaries, members of a partnership, joint tenants, tenants in common, tenants by the entirety, or otherwise, or if two (2) or more persons have the same fiduciary relationship respecting the same shares, unless the Secretary is given written notice to the contrary and is furnished with a copy of the instrument or order appointing them or creating the relationship wherein it is so provided, their acts with respect to voting (including giving consent pursuant to Section 13) shall have the following effect: (a) if only one (1) votes, his or her act binds all; (b) if more than one (1) votes, the act of the majority so voting binds all; (c) if more than one (1) votes, but the vote is evenly split on any particular matter, each faction may vote the securities in question proportionally, or may apply to the Delaware Court of Chancery for relief as provided in the DGCL, Section 217(b). If the instrument filed with the Secretary shows that any such tenancy is held in unequal interests, a majority or even-split for the purpose of subsection (c) shall be a majority or even-split in interest.

Section 12.           List of Stockholders. The Secretary shall prepare and make, at least ten (10) days before every meeting of stockholders, a complete list of the stockholders entitled to vote at said meeting, arranged in alphabetical order, showing the address of each stockholder and the number of shares registered in the name of each stockholder. Such list shall be open to the examination of any stockholder, for any purpose germane to the meeting, on a reasonably accessible electronic network, provided that the information required to gain access to such list is provided with the notice of the meeting, or during ordinary business hours, at the principal place of business of the corporation. In the event that the corporation determines to make the list available on an electronic network, the corporation may take reasonable steps to ensure that such information is available only to stockholders of the corporation. The list shall be open to examination of any stockholder during the time of the meeting as provided by law.

Section 13.           Action Without Meeting.

(a)            Unless otherwise provided in the Certificate of Incorporation, any action required by statute to be taken at any annual or special meeting of the stockholders, or any action which may be taken at any annual or special meeting of the stockholders, may be taken without a meeting, without prior notice and without a vote, if a consent in writing, or by electronic transmission setting forth the action so taken, shall be signed by the holders of outstanding stock having not less than the minimum number of votes that would be necessary to authorize or take such action at a meeting at which all shares entitled to vote thereon were present and voted.

(b)            Every written consent or electronic transmission shall bear the date of signature of each stockholder who signs the consent, and no written consent or electronic transmission shall be effective to take the corporate action referred to therein unless, within sixty (60) days of the earliest dated consent delivered to the corporation in the manner herein required, written consents or electronic transmissions signed by a sufficient number of stockholders to take action are delivered to the corporation by delivery to its registered office in the State of Delaware, its principal place of business or an officer or agent of the corporation having custody of the book in which proceedings of meetings of stockholders are recorded. Delivery made to a corporation’s registered office shall be by hand or by certified or registered mail, return receipt requested.

(c)            Prompt notice of the taking of the corporate action without a meeting by less than unanimous written consent shall be given to those stockholders who have not consented in writing or by electronic transmission and who, if the action had been taken at a meeting, would have been entitled to notice of the meeting if the record date for such meeting had been the date that written consents signed by a sufficient number of stockholders to take action were delivered to the corporation as provided in Section 228(c) of the DGCL. If the action to which the stockholders consent is such as would have required the filing of a certificate under any section of the DGCL if such action had been voted on by stockholders at a meeting thereof, then the certificate filed under such section shall state, in lieu of any statement required by such section concerning any vote of stockholders, that written consent has been given in accordance with Section 228 of the DGCL.

(d)            An electronic mail, facsimile or other electronic transmission consenting to an action to be taken and transmitted by a stockholder or proxyholder, shall be deemed to be written, signed and dated for the purposes of this Section, provided that any such electronic mail, facsimile or other electronic transmission sets forth or is delivered with information from which the corporation can determine (i) that the electronic mail, facsimile or other electronic transmission was transmitted by the stockholder or proxyholder or by a person or persons authorized to act for the stockholder and (ii) the date on which such stockholder or proxyholder or authorized person or persons transmitted such electronic mail, facsimile or electronic transmission. The date on which such electronic mail, facsimile or electronic transmission is transmitted shall be deemed to be the date on which such consent was signed. No consent given by electronic mail, facsimile or other electronic transmission shall be deemed to have been delivered until such consent is reproduced in paper form and until such paper form shall be delivered to the corporation by delivery to its registered office in the state of Delaware, its principal place of business or an officer or agent of the corporation having custody of the book in which proceedings of meetings of stockholders are recorded. Delivery made to a corporation’s registered office shall be made by hand or by certified or registered mail, return receipt requested. Notwithstanding the foregoing limitations on delivery, consents given by electronic mail, facsimile or other electronic transmission may be otherwise delivered to the principal place of business of the corporation or to an officer or agent of the corporation having custody of the book in which proceedings of meetings of stockholders are recorded if, to the extent and in the manner provided by resolution of the board of directors of the corporation. Any copy, facsimile or other reliable reproduction of a consent in writing may be substituted or used in lieu of the original writing for any and all purposes for which the original writing could be used, provided that such copy, facsimile or other reproduction shall be a complete reproduction of the entire original writing.

Section 14.           Organization.

(a)            At every meeting of stockholders, the Chairman of the Board of Directors, or, if a Chairman has not been appointed or is absent, the Chief Executive Officer, or, if the Chief Executive Officer is absent, a chairman of the meeting chosen by a majority in interest of the stockholders entitled to vote, present in person or by proxy, shall act as chairman. The Secretary, or, in his or her absence, an Assistant Secretary directed to do so by the Chief Executive Officer, shall act as secretary of the meeting.

(b)            The Board of Directors shall be entitled to make such rules or regulations for the conduct of meetings of stockholders as it shall deem necessary, appropriate or convenient. Subject to such rules and regulations of the Board of Directors, if any, the chairman of the meeting shall have the right and authority to prescribe such rules, regulations and procedures and to do all such acts as, in the judgment of such chairman, are necessary, appropriate or convenient for the proper conduct of the meeting, including, without limitation, establishing an agenda or order of business for the meeting, rules and procedures for maintaining order at the meeting and the safety of those present, limitations on participation in such meeting to stockholders of record of the corporation and their duly authorized and constituted proxies and such other persons as the chairman shall permit, restrictions on entry to the meeting after the time fixed for the commencement thereof, limitations on the time allotted to questions or comments by participants and regulation of the opening and closing of the polls for balloting on matters which are to be voted on by ballot. The date and time of the opening and closing of the polls for each matter upon which the stockholders will vote at the meeting shall be announced at the meeting. Unless and to the extent determined by the Board of Directors or the chairman of the meeting, meetings of stockholders shall not be required to be held in accordance with rules of parliamentary procedure.

ARTICLE IV
Directors

Section 15.           Number and Term of Office. The authorized number of directors of the corporation shall be fixed by the Board of Directors from time to time. Directors need not be stockholders unless so required by the Certificate of Incorporation. If for any cause, the directors shall not have been elected at an annual meeting, they may be elected as soon thereafter as convenient.

Section 16.           Powers. The business and affairs of the corporation shall be managed by or under the direction of the Board of Directors, except as may be otherwise provided by statute or by the Certificate of Incorporation.

Section 17.           Term of Directors.

(a)            Subject to the rights of the holders of any series of Preferred Stock to elect additional directors under specified circumstances, directors shall be elected at each annual meeting of stockholders to serve until the next annual meeting of stockholders and his or her successor is duly elected and qualified or until his or her death, resignation or removal. No decrease in the number of directors constituting the Board of Directors shall shorten the term of any incumbent director.

(b)            No person entitled to vote at an election for directors may cumulate votes to which such person is entitled, unless, at the time of such election, the corporation is subject to Section 2115(b) of the CGCL. During such time or times that the corporation is subject to Section 2115(b) of the CGCL, every stockholder entitled to vote at an election for directors may cumulate such stockholder’s votes and give one candidate a number of votes equal to the number of directors to be elected multiplied by the number of votes to which such stockholder’s shares are otherwise entitled, or distribute the stockholder’s votes on the same principle among as many candidates as such stockholder thinks fit. No stockholder, however, shall be entitled to so cumulate such stockholder’s votes unless (i) the names of such candidate or candidates have been placed in nomination prior to the voting and (ii) the stockholder has given notice at the meeting, prior to the voting, of such stockholder’s intention to cumulate such stockholder’s votes. If any stockholder has given proper notice to cumulate votes, all stockholders may cumulate their votes for any candidates who have been properly placed in nomination. Under cumulative voting, the candidates receiving the highest number of votes, up to the number of directors to be elected, are elected.

Section 18.           Vacancies.

(a)            Unless otherwise provided in the Certificate of Incorporation, and subject to the rights of the holders of any series of Preferred Stock, any vacancies on the Board of Directors resulting from death, resignation, disqualification, removal or other causes and any newly created directorships resulting from any increase in the number of directors shall, unless the Board of Directors determines by resolution that any such vacancies or newly created directorships shall be filled by stockholders, be filled only by the affirmative vote of a majority of the directors then in office, even though less than a quorum of the Board of Directors, or by a sole remaining director; provided, however, that whenever the holders of any class or classes of stock or series thereof are entitled to elect one or more directors by the provisions of the Certificate of Incorporation, vacancies and newly created directorships of such class or classes or series shall, unless the Board of Directors determines by resolution that any such vacancies or newly created directorships shall be filled by stockholders, be filled by a majority of the directors elected by such class or classes or series thereof then in office, or by a sole remaining director so elected. Any director elected in accordance with the preceding sentence shall hold office for the remainder of the full term of the director for which the vacancy was created or occurred and until such director’s successor shall have been elected and qualified. A vacancy in the Board of Directors shall be deemed to exist under this Bylaw in the case of the death, removal or resignation of any director.

(b)            At any time or times that the corporation is subject to Section 2115(b) of the CGCL, if, after the filling of any vacancy, the directors then in office who have been elected by stockholders shall constitute less than a majority of the directors then in office, then (i) any holder or holders of an aggregate of five percent (5%) or more of the total number of shares at the time outstanding having the right to vote for those directors may call a special meeting of stockholders; or (ii) the Superior Court of the proper county shall, upon application of such stockholder or stockholders, summarily order a special meeting of the stockholders, to be held to elect the entire board, all in accordance with Section 305(c) of the CGCL, the term of office of any director shall terminate upon that election of a successor.

Section 19.           Resignation. Any director may resign at any time by delivering his or her notice in writing or by electronic transmission to the Secretary, such resignation to specify whether it will be effective at a particular time, upon receipt by the Secretary or at the pleasure of the Board of Directors. If no such specification is made, it shall be deemed effective at the pleasure of the Board of Directors. When one or more directors shall resign from the Board of Directors, effective at a future date, a majority of the directors then in office, including those who have so resigned, shall have power to fill such vacancy or vacancies, the vote thereon to take effect when such resignation or resignations shall become effective, and each Director so chosen shall hold office for the unexpired portion of the term of the Director whose place shall be vacated and until his successor shall have been duly elected and qualified.

Section 20.           Removal.

(a)            Subject to any limitations imposed by applicable law, the Board of Directors or any director may be removed from office at any time (i) with cause by the affirmative vote of the holders of a majority of the voting power of all then-outstanding shares of capital stock of the corporation entitled to vote generally at an election of directors or (ii) without cause by the affirmative vote of the holders of a majority of the voting power of all then-outstanding shares of capital stock of the corporation, entitled to elect such director.

(b)            During such time or times that the corporation is subject to Section 2115(b) of the CGCL, the Board of Directors or any individual director may be removed from office at any time without cause by the affirmative vote of the holders of a majority of the outstanding shares entitled to vote on such removal; provided, however, that unless the entire Board is removed, no individual director may be removed when the votes cast against such director’s removal, or not consenting in writing to such removal, would be sufficient to elect that director if voted cumulatively at an election at which the same total number of votes were cast (or, if such action is taken by written consent, all shares entitled to vote were voted) and the entire number of directors authorized at the time of such director’s most recent election were then being elected.

Section 21.           Meetings

(a)            Regular Meetings. Unless otherwise restricted by the Certificate of Incorporation, regular meetings of the Board of Directors may be held at any time or date and at any place within or without the State of Delaware which has been designated by the Board of Directors and publicized among all directors, either orally or in writing, including a voice-messaging system or other system designated to record and communicate messages, facsimile, or by electronic mail or other electronic means. No further notice shall be required for a regular meeting of the Board of Directors.

(b)            Special Meetings. Unless otherwise restricted by the Certificate of Incorporation, special meetings of the Board of Directors may be held at any time and place within or without the State of Delaware whenever called by the Chairman of the Board, the Chief Executive Officer (if a director), the President (if a director) or any director.

(c)            Meetings by Electronic Communications Equipment. Any member of the Board of Directors, or of any committee thereof, may participate in a meeting by means of conference telephone or other communications equipment by means of which all persons participating in the meeting can hear each other, and participation in a meeting by such means shall constitute presence in person at such meeting.

(d)            Notice of Special Meetings. Notice of the time and place of all special meetings of the Board of Directors shall be orally or in writing, by telephone, including a voice messaging system or other system or technology designed to record and communicate messages, facsimile, telegraph or telex, or by electronic mail or other electronic means, during normal business hours, at least twenty-four (24) hours before the date and time of the meeting. If notice is sent by US mail, it shall be sent by first class mail, postage prepaid at least three (3) days before the date of the meeting. Notice of any meeting may be waived in writing or by electronic transmission at any time before or after the meeting and will be waived by any director by attendance thereat, except when the director attends the meeting for the express purpose of objecting, at the beginning of the meeting, to the transaction of any business because the meeting is not lawfully called or convened.

(e)            Waiver of Notice. The transaction of all business at any meeting of the Board of Directors, or any committee thereof, however called or noticed, or wherever held, shall be as valid as though had at a meeting duly held after regular call and notice, if a quorum be present and if, either before or after the meeting, each of the directors not present who did not receive notice shall sign a written waiver of notice or shall waive notice by electronic transmission. All such waivers shall be filed with the corporate records or made a part of the minutes of the meeting.

Section 22.           Quorum and Voting.

(a)            Unless the Certificate of Incorporation requires a greater number, a quorum of the Board of Directors shall consist of a majority of the total number of directors then serving; provided, however, that such number shall never be less than one-third (1/3) of the total number of directors except that when one director is authorized, then one director shall constitute a quorum. At any meeting, whether a quorum be present or otherwise, a majority of the directors present may adjourn from time to time until the time fixed for the next regular meeting of the Board of Directors, without notice other than by announcement at the meeting. If the Certificate of Incorporation provides that one or more directors shall have more or less than one vote per director on any matter, every reference in this Section to a majority or other proportion of the directors shall refer to a majority or other proportion of the votes of the directors.

(b)            At each meeting of the Board of Directors at which a quorum is present, all questions and business shall be determined by the affirmative vote of a majority of the directors present, unless a different vote be required by law, the Certificate of Incorporation or these Bylaws.

Section 23.           Action Without Meeting. Unless otherwise restricted by the Certificate of Incorporation or these Bylaws, any action required or permitted to be taken at any meeting of the Board of Directors or of any committee thereof may be taken without a meeting, if all members of the Board of Directors or committee, as the case may be, consent thereto in writing or by electronic transmission, and such writing or writings or transmission or transmissions are filed with the minutes of proceedings of the Board of Directors or committee. Such filing shall be in paper form if the minutes are maintained in paper form and shall be in electronic form if the minutes are maintained in electronic form.

Section 24.           Fees and Compensation. Directors shall be entitled to such compensation for their services as may be approved by the Board of Directors, including, if so approved, by resolution of the Board of Directors, a fixed sum and expenses of attendance, if any, for attendance at each regular or special meeting of the Board of Directors and at any meeting of a committee of the Board of Directors. Nothing herein contained shall be construed to preclude any director from serving the corporation in any other capacity as an officer, agent, employee, or otherwise and receiving compensation therefor.

Section 25.           Committees.

(a)            Executive Committee. The Board of Directors may appoint an Executive Committee to consist of one (1) or more members of the Board of Directors. The Executive Committee, to the extent permitted by law and provided in the resolution of the Board of Directors, shall have and may exercise all the powers and authority of the Board of Directors in the management of the business and affairs of the corporation, and may authorize the seal of the corporation to be affixed to all papers which may require it; but no such committee shall have the power or authority in reference to (i) approving or adopting, or recommending to the stockholders, any action or matter expressly required by the DGCL to be submitted to stockholders for approval, or (ii) adopting, amending or repealing any bylaw of the corporation.

(b)            Other Committees. The Board of Directors may, from time to time, appoint such other committees as may be permitted by law. Such other committees appointed by the Board of Directors shall consist of one (1) or more members of the Board of Directors and shall have such powers and perform such duties as may be prescribed by the resolution or resolutions creating such committees, but in no event shall any such committee have the powers denied to the Executive Committee in these Bylaws.

(c)            Term. The Board of Directors, subject to any requirements of any outstanding series of Preferred Stock and the provisions of paragraphs (a) or (b) of this Section may at any time increase or decrease the number of members of a committee or terminate the existence of a committee. The membership of a committee member shall terminate on the date of his or her death or voluntary resignation from the committee or from the Board of Directors. The Board of Directors may at any time for any reason remove any individual committee member and the Board of Directors may fill any committee vacancy created by death, resignation, removal or increase in the number of members of the committee. The Board of Directors may designate one or more directors as alternate members of any committee, who may replace any absent or disqualified member at any meeting of the committee, and, in addition, in the absence or disqualification of any member of a committee, the member or members thereof present at any meeting and not disqualified from voting, whether or not he or they constitute a quorum, may unanimously appoint another member of the Board of Directors to act at the meeting in the place of any such absent or disqualified member.

(d)            Meetings. Unless the Board of Directors shall otherwise provide, regular meetings of the Executive Committee or any other committee appointed pursuant to this Section shall be held at such times and places as are determined by the Board of Directors, or by any such committee, and when notice thereof has been given to each member of such committee, no further notice of such regular meetings need be given thereafter. Special meetings of any such committee may be held at any place which has been determined from time to time by such committee, and may be called by any director who is a member of such committee, upon notice to the members of such committee of the time and place of such special meeting given in the manner provided for the giving of notice to members of the Board of Directors of the time and place of special meetings of the Board of Directors. Notice of any special meeting of any committee may be waived in writing at any time before or after the meeting and will be waived by any director by attendance thereat, except when the director attends such special meeting for the express purpose of objecting, at the beginning of the meeting, to the transaction of any business because the meeting is not lawfully called or convened. Unless otherwise provided by the Board of Directors in the resolutions authorizing the creation of the committee, a majority of the authorized number of members of any such committee shall constitute a quorum for the transaction of business, and the act of a majority of those present at any meeting at which a quorum is present shall be the act of such committee.

Section 26.           Organization. At every meeting of the directors, the Chairman of the Board of Directors, or, if a Chairman has not been appointed or is absent, the Chief Executive Officer (if a director), or if the Chief Executive Officer is not a director or is absent, the President (if a director), or if the President is not a director or is absent, the most senior Vice President (if a director) or, in the absence of any such person, a chairman of the meeting chosen by a majority of the directors present, shall preside over the meeting. The Secretary, or in his or her absence, any Assistant Secretary directed to do so by the Chief Executive Officer or President, shall act as secretary of the meeting.

ARTICLE V
Officers

Section 27.           Officers Designated. The officers of the corporation shall include, if and when designated by the Board of Directors, the Chief Executive Officer, the President, one or more Vice Presidents, the Secretary, the Chief Financial Officer, the Treasurer and the Controller, all of whom shall be elected at the annual organizational meeting of the Board of Directors. The Board of Directors may also appoint one or more Assistant Secretaries, Assistant Treasurers, Assistant Controllers and such other officers and agents with such powers and duties as it shall deem necessary. The Board of Directors may assign such additional titles to one or more of the officers as it shall deem appropriate. Any one person may hold any number of offices of the corporation at any one time unless specifically prohibited therefrom by law. The salaries and other compensation of the officers of the corporation shall be fixed by or in the manner designated by the Board of Directors.

Section 28.           Tenure and Duties of Officers.

(a)            General. All officers shall hold office at the pleasure of the Board of Directors and until their successors shall have been duly elected and qualified, unless sooner removed. Any officer elected or appointed by the Board of Directors may be removed at any time by the Board of Directors. If the office of any officer becomes vacant for any reason, the vacancy may be filled by the Board of Directors, or by the Chief Executive Officer or other officer if so authorized by the Board of Directors.

(b)            Duties of Chairman of the Board of Directors. The Chairman of the Board of Directors, when present, shall preside at all meetings of the stockholders and the Board of Directors. The Chairman of the Board of Directors shall perform other duties commonly incident to the office and shall also perform such other duties and have such other powers as the Board of Directors shall designate from time to time. If there is no Chief Executive Officer and no President, then the Chairman of the Board of Directors shall also serve as the Chief Executive Officer of the corporation and shall have the powers and duties prescribed in paragraph (c) of this Section.

(c)            Duties of Chief Executive Officer. The Chief Executive Officer shall preside at all meetings of the stockholders and (if a director) at all meetings of the Board of Directors, unless the Chairman of the Board of Directors has been appointed and is present. The Chief Executive Officer shall be the chief executive officer of the corporation and shall, subject to the control of the Board of Directors, have general supervision, direction and control of the business and officers of the corporation. The Chief Executive Officer shall perform other duties commonly incident to the office and shall also perform such other duties and have such other powers as the Board of Directors shall designate from time to time.

(d)            Duties of President. In the absence or disability of the Chief Executive Officer or if the office of Chief Executive Officer is vacant, the President shall preside at all meetings of the stockholders and (if a director) at all meetings of the Board of Directors, unless the Chairman of the Board of Directors has been appointed and is present. If the office of Chief Executive Officer is vacant, the President shall be the chief executive officer of the corporation and shall, subject to the control of the Board of Directors, have general supervision, direction and control of the business and officers of the corporation. The President shall perform other duties commonly incident to the office and shall also perform such other duties and have such other powers as the Board of Directors shall designate from time to time.

(e)            Duties of Vice Presidents. The Vice Presidents may assume and perform the duties of the President in the absence or disability of the President or whenever the office of President is vacant. The Vice Presidents shall perform other duties commonly incident to their office and shall also perform such other duties and have such other powers as the Board of Directors or the President shall designate from time to time.

(f)           Duties of Secretary. The Secretary shall attend all meetings of the stockholders and of the Board of Directors and shall record all acts and proceedings thereof in the minute book of the corporation. The Secretary shall give notice in conformity with these Bylaws of all meetings of the stockholders and of all meetings of the Board of Directors and any committee thereof requiring notice. The Secretary shall perform all other duties provided for in these Bylaws and other duties commonly incident to the office and shall also perform such other duties and have such other powers as the Board of Directors shall designate from time to time. The Chief Executive Officer may direct any Assistant Secretary to assume and perform the duties of the Secretary in the absence or disability of the Secretary, and each Assistant Secretary shall perform other duties commonly incident to the office and shall also perform such other duties and have such other powers as the Board of Directors or the Chief Executive Officer shall designate from time to time.

(g)            Duties of Chief Financial Officer. The Chief Financial Officer shall keep or cause to be kept the books of account of the corporation in a thorough and proper manner and shall render statements of the financial affairs of the corporation in such form and as often as required by the Board of Directors or the Chief Executive Officer. The Chief Financial Officer, subject to the order of the Board of Directors, shall have the custody of all funds and securities of the corporation. The Chief Financial Officer shall perform other duties commonly incident to his or her office and shall also perform such other duties and have such other powers as the Board of Directors or the Chief Executive Officer shall designate from time to time. The Chief Executive Officer may direct the Treasurer or any Assistant Treasurer, or the Controller or any Assistant Controller to assume and perform the duties of the Chief Financial Officer in the absence or disability of the Chief Financial Officer, and each Treasurer and Assistant Treasurer and each Controller and Assistant Controller shall perform other duties commonly incident to the office and shall also perform such other duties and have such other powers as the Board of Directors or the Chief Executive Officer shall designate from time to time.

Section 29.           Delegation of Authority. The Board of Directors may from time to time delegate the powers or duties of any officer to any other officer or agent, notwithstanding any provision hereof.

Section 30.           Resignations. Any officer may resign at any time by giving notice in writing or by electronic transmission notice to the Board of Directors or to the Chief Executive Officer or to the President or to the Secretary. Any such resignation shall be effective when received by the person or persons to whom such notice is given, unless a later time is specified therein, in which event the resignation shall become effective at such later time. Unless otherwise specified in such notice, the acceptance of any such resignation shall not be necessary to make it effective. Any resignation shall be without prejudice to the rights, if any, of the corporation under any contract with the resigning officer.

Section 31.           Removal. Any officer may be removed from office at any time, either with or without cause, by the affirmative vote of a majority of the directors in office at the time, or by the unanimous written or electronic consent of the directors in office at the time, or by any committee or superior officers upon whom such power of removal may have been conferred by the Board of Directors.

ARTICLE VI
Execution Of Corporate Instruments And Voting Of Securities Owned By The Corporation

Section 32.           Execution of Corporate Instruments. The Board of Directors may, in its discretion, determine the method and designate the signatory officer or officers, or other person or persons, to execute on behalf of the corporation any corporate instrument or document, or to sign on behalf of the corporation the corporate name, or to enter into contracts on behalf of the corporation, except where otherwise provided by law or these Bylaws, and such execution or signature shall be binding upon the corporation. All checks and drafts drawn on banks or other depositaries of funds to the credit of the corporation or on special accounts of the corporation shall be signed by such person or persons as the Board of Directors shall authorize so to do. Unless authorized or ratified by the Board of Directors or within the agency power of an officer, no officer, agent or employee shall have any power or authority to bind the corporation by any contract or engagement or to pledge its credit or to render it liable for any purpose or for any amount.

Section 33.           Voting of Securities Owned by the Corporation. All stock and other securities of other corporations owned or held by the corporation for itself, or for other parties in any capacity, shall be voted, and all proxies with respect thereto shall be executed, by the person authorized so to do by resolution of the Board of Directors, or, in the absence of such authorization, by the Chairman of the Board of Directors, the Chief Executive Officer, the President, or any Vice President.

ARTICLE VII
Shares Of Stock

Section 34.           Form and Execution of Certificates. The shares of the corporation shall be represented by certificates, or shall be uncertificated. Certificates for the shares of stock, if any, of the corporation shall be in such form as is consistent with the Certificate of Incorporation and applicable law. Any stock certificate issued by the corporation will note conspicuously that the corporation is a public benefit corporation pursuant to Section 364 of the DGCL. Every holder of shares of stock in the corporation represented by certificate shall be entitled to have a certificate signed by or in the name of the corporation by any two authorized officers, including but not limited to the Chief Executive Officer, the President, the Chief Financial Officer, any Vice President, the Treasurer or Assistant Treasurer or the Secretary or Assistant Secretary, certifying the number of shares owned by him or her in the corporation. Any or all of the signatures on the certificate may be facsimiles. In case any officer, transfer agent, or registrar who has signed or whose facsimile signature has been placed upon a certificate shall have ceased to be such officer, transfer agent, or registrar before such certificate is issued, it may be issued with the same effect as if he or she were such officer, transfer agent, or registrar at the date of issue.

Section 35.           Lost Certificates. A new certificate or certificates shall be issued in place of any certificate or certificates theretofore issued by the corporation alleged to have been lost, stolen, or destroyed, upon the making of an affidavit of that fact by the person claiming the certificate of stock to be lost, stolen, or destroyed. The corporation may require, as a condition precedent to the issuance of a new certificate or certificates, the owner of such lost, stolen, or destroyed certificate or certificates, or the owner’s legal representative, to agree to indemnify the corporation in such manner as it shall require or to give the corporation a surety bond in such form and amount as it may direct as indemnity against any claim that may be made against the corporation with respect to the certificate alleged to have been lost, stolen, or destroyed.

Section 36.           Restrictions on Transfer.

(a)            The corporation shall have power to enter into and perform any agreement with any number of stockholders of any one or more classes of stock of the corporation to restrict the sale, transfer, assignment, pledge, or other disposal of or encumbering of any of the shares of stock of the corporation or any right or interest therein, whether voluntarily or by operation of law, or by gift or otherwise (each, a “Transfer”) of shares of stock of the corporation of any one or more classes owned by such stockholders in any manner not prohibited by the DGCL.

(b)            Transfers of record of shares of stock of the corporation shall be made only upon its books by the holders thereof, in person or by attorney duly authorized, and, in the case of stock represented by certificate, upon the surrender of a properly endorsed certificate or certificates for a like number of shares.

Section 37.           Fixing Record Dates.

(a)            In order that the corporation may determine the stockholders entitled to notice of or to vote at any meeting of stockholders or any adjournment thereof, the Board of Directors may fix, in advance, a record date, which record date shall not precede the date upon which the resolution fixing the record date is adopted by the Board of Directors, and which record date shall, subject to applicable law, not be more than sixty (60) nor less than ten (10) days before the date of such meeting. If no record date is fixed by the Board of Directors, the record date for determining stockholders entitled to notice of or to vote at a meeting of stockholders shall be at the close of business on the day immediately preceding the day on which notice is given, or if notice is waived, at the close of business on the day immediately preceding the day on which the meeting is held. A determination of stockholders of record entitled to notice of or to vote at a meeting of stockholders shall apply to any adjournment of the meeting; provided, however, that the Board of Directors may fix a new record date for the adjourned meeting.

(b)            In order that the corporation may determine the stockholders entitled to consent to corporate action in writing without a meeting, the Board of Directors may fix a record date, which record date shall not precede the date upon which the resolution fixing the record date is adopted by the Board of Directors, and which date shall not be more than ten (10) days after the date upon which the resolution fixing the record date is adopted by the Board of Directors. Any stockholder of record seeking to have the stockholders authorize or take corporate action by written consent shall, by written notice to the Secretary, request the Board of Directors to fix a record date. The Board of Directors shall promptly, but in all events within ten (10) days after the date on which such a request is received, adopt a resolution fixing the record date. If no record date has been fixed by the Board of Directors within ten (10) days of the date on which such a request is received, the record date for determining stockholders entitled to consent to corporate action in writing without a meeting, when no prior action by the Board of Directors is required by applicable law, shall be the first date on which a signed written consent setting forth the action taken or proposed to be taken is delivered to the corporation by delivery to its registered office in the State of Delaware, its principal place of business or an officer or agent of the corporation having custody of the book in which proceedings of meetings of stockholders are recorded. Delivery made to the corporation’s registered office shall be by hand or by certified or registered mail, return receipt requested. If no record date has been fixed by the Board of Directors and prior action by the Board of Directors is required by law, the record date for determining stockholders entitled to consent to corporate action in writing without a meeting shall be at the close of business on the day on which the Board of Directors adopts the resolution taking such prior action.

(c)            In order that the corporation may determine the stockholders entitled to receive payment of any dividend or other distribution or allotment of any rights or the stockholders entitled to exercise any rights in respect of any change, conversion or exchange of stock, or for the purpose of any other lawful action, the Board of Directors may fix, in advance, a record date, which record date shall not precede the date upon which the resolution fixing the record date is adopted, and which record date shall be not more than sixty (60) days prior to such action. If no record date is fixed, the record date for determining stockholders for any such purpose shall be at the close of business on the day on which the Board of Directors adopts the resolution relating thereto.

Section 38.           Registered Stockholders. The corporation shall be entitled to recognize the exclusive right of a person registered on its books as the owner of shares to receive dividends, and to vote as such owner, and shall not be bound to recognize any equitable or other claim to or interest in such share or shares on the part of any other person whether or not it shall have express or other notice thereof, except as otherwise provided by the laws of Delaware.

ARTICLE VIII
Other Securities Of The Corporation

Section 39.           Execution of Other Securities. All bonds, debentures and other corporate securities of the corporation, other than stock certificates (covered in Section 34 of these Bylaws), may be signed by the Chairman of the Board of Directors, the Chief Executive Officer, the President or any Vice President, or such other person as may be authorized by the Board of Directors, and the corporate seal impressed thereon or a facsimile of such seal imprinted thereon and attested by the signature of the Secretary or an Assistant Secretary, or the Chief Financial Officer or Treasurer or an Assistant Treasurer; provided, however, that where any such bond, debenture or other corporate security shall be authenticated by the manual signature, or where permissible facsimile signature, of a trustee under an indenture pursuant to which such bond, debenture or other corporate security shall be issued, the signatures of the persons signing and attesting the corporate seal on such bond, debenture or other corporate security may be the imprinted facsimile of the signatures of such persons. Interest coupons appertaining to any such bond, debenture or other corporate security, authenticated by a trustee as aforesaid, shall be signed by the Treasurer or an Assistant Treasurer of the corporation or such other person as may be authorized by the Board of Directors, or bear imprinted thereon the facsimile signature of such person. In case any officer who shall have signed or attested any bond, debenture or other corporate security, or whose facsimile signature shall appear thereon or on any such interest coupon, shall have ceased to be such officer before the bond, debenture or other corporate security so signed or attested shall have been delivered, such bond, debenture or other corporate security nevertheless may be adopted by the corporation and issued and delivered as though the person who signed the same or whose facsimile signature shall have been used thereon had not ceased to be such officer of the corporation.

ARTICLE IX
Dividends

Section 40.           Declaration of Dividends. Dividends upon the capital stock of the corporation, subject to the provisions of the Certificate of Incorporation and applicable law, if any, may be declared by the Board of Directors pursuant to law at any regular or special meeting. Dividends may be paid in cash, in property, or in shares of the capital stock, subject to the provisions of the Certificate of Incorporation and applicable law.

Section 41.           Dividend Reserve. Before payment of any dividend, there may be set aside out of any funds of the corporation available for dividends such sum or sums as the Board of Directors from time to time, in their absolute discretion, think proper as a reserve or reserves to meet contingencies, or for equalizing dividends, or for repairing or maintaining any property of the corporation, or for such other purpose as the Board of Directors shall think conducive to the interests of the corporation, and the Board of Directors may modify or abolish any such reserve in the manner in which it was created.

ARTICLE X
Fiscal Year

Section 42.           Fiscal Year. The fiscal year of the corporation shall be fixed by resolution of the Board of Directors.

ARTICLE XI
indemnification

Section 43.           Indemnification of Directors, Executive Officers, Employees and Other Agents.

(a)            Directors and Executive Officers. The corporation shall indemnify its directors and executive officers (for the purposes of this Article, “executive officers” shall have the meaning defined in Rule 3b-7 promulgated under the 1934 Act) to the fullest extent not prohibited by the DGCL or any other applicable law; provided, however, that the corporation may modify the extent of such indemnification by individual contracts with its directors and executive officers; and, provided, further, that the corporation shall not be required to indemnify any director or executive officer in connection with any proceeding (or part thereof) initiated by such person unless (i) such indemnification is expressly required to be made by law, (ii) the proceeding was authorized by the Board of Directors of the corporation, (iii) such indemnification is provided by the corporation, in its sole discretion, pursuant to the powers vested in the corporation under the DGCL or any other applicable law or (iv) such indemnification is required to be made under paragraph (d) of this Section.

(b)            Other Officers, Employees and Other Agents. The corporation shall have power to indemnify its other officers, employees and other agents as set forth in the DGCL or any other applicable law. The Board of Directors shall have the power to delegate the determination of whether indemnification shall be given to any such person except executive officers to such officers or other persons as the Board of Directors shall determine.

(c)            Expenses. The corporation shall advance to any person who was or is a party or is threatened to be made a party to any threatened, pending or completed action, suit or proceeding, whether civil, criminal, administrative or investigative, by reason of the fact that such person is or was a director or executive officer of the corporation, or is or was serving at the request of the corporation as a director or executive officer of another corporation, partnership, joint venture, trust or other enterprise, prior to the final disposition of the proceeding, promptly following request therefor, all expenses incurred by any director or executive officer in connection with such proceeding; provided, however, that, if the DGCL requires, an advancement of expenses incurred by a director or officer in his or her capacity as a director or officer (and not in any other capacity in which service was or is rendered by such indemnitee, including, without limitation, service to an employee benefit plan) shall be made only upon delivery to the corporation of an undertaking, by or on behalf of such indemnitee, to repay all amounts so advanced if it shall ultimately be determined by final judicial decision from which there is no further right to appeal that such indemnitee is not entitled to be indemnified for such expenses under this Section or otherwise.

Notwithstanding the foregoing, unless otherwise determined pursuant to paragraph (e) of this Section, no advance shall be made by the corporation to an executive officer of the corporation (except by reason of the fact that such executive officer is or was a director of the corporation, in which event this paragraph shall not apply) in any action, suit or proceeding, whether civil, criminal, administrative or investigative, if a determination is reasonably and promptly made (i) by a majority vote of a quorum consisting of directors who were not parties to the proceeding, even if not a quorum, or (ii) by a committee of such directors designated by a majority of such directors, even though less than a quorum, or (iii) if there are no such directors, or such directors so direct, by independent legal counsel in a written opinion, that the facts known to the decision-making party at the time such determination is made demonstrate clearly and convincingly that such person acted in bad faith or in a manner that such person did not believe to be in or not opposed to the best interests of the corporation.

(d)            Enforcement. Without the necessity of entering into an express contract, all rights to indemnification and advances to directors and executive officers under this Section shall be deemed to be contractual rights and be effective to the same extent and as if provided for in a contract between the corporation and the director or executive officer. Any right to indemnification or advances granted by this Section to a director or executive officer or officer shall be enforceable by or on behalf of the person holding such right in any court of competent jurisdiction if (i) the claim for indemnification or advances is denied, in whole or in part, or (ii) no disposition of such claim is made within ninety (90) days of request therefor. The claimant in such enforcement action, if successful in whole or in part, shall be entitled to be paid also the expense of prosecuting the claim. In connection with any claim for indemnification, the corporation shall be entitled to raise as a defense to any such action that the claimant has not met the standards of conduct that make it permissible under the DGCL or any other applicable law for the corporation to indemnify the claimant for the amount claimed. In connection with any claim by an executive officer of the corporation (except in any action, suit or proceeding, whether civil, criminal, administrative or investigative, by reason of the fact that such executive officer is or was a director of the corporation) for advances, the corporation shall be entitled to raise as a defense as to any such action clear and convincing evidence that such person acted in bad faith or in a manner that such person did not believe to be in or not opposed to the best interests of the corporation, or with respect to any criminal action or proceeding that such person acted without reasonable cause to believe that his or her conduct was lawful. Neither the failure of the corporation (including its Board of Directors, independent legal counsel or its stockholders) to have made a determination prior to the commencement of such action that indemnification of the claimant is proper in the circumstances because he has met the applicable standard of conduct set forth in the DGCL or any other applicable law, nor an actual determination by the corporation (including its Board of Directors, independent legal counsel or its stockholders) that the claimant has not met such applicable standard of conduct, shall be a defense to the action or create a presumption that claimant has not met the applicable standard of conduct.

(e)           Non-Exclusivity of Rights. The rights conferred on any person by this Section shall not be exclusive of any other right which such person may have or hereafter acquire under any applicable statute, provision of the Certificate of Incorporation, Bylaws, agreement, vote of stockholders or disinterested directors or otherwise, both as to action in his or her official capacity and as to action in another capacity while holding office. The corporation is specifically authorized to enter into individual contracts with any or all of its directors, officers, employees or agents respecting indemnification and advances, to the fullest extent not prohibited by the DGCL or any other applicable law.

(f)           Survival of Rights. The rights conferred on any person by this Section shall continue as to a person who has ceased to be a director or executive officer and shall inure to the benefit of the heirs, executors and administrators of such a person.

(g)           Insurance. To the fullest extent permitted by the DGCL, or any other applicable law, the corporation, upon approval by the Board of Directors, may purchase insurance on behalf of any person required or permitted to be indemnified pursuant to this Section.

(h)           Amendments. Any repeal or modification of this Section shall only be prospective and shall not affect the rights under this Bylaw in effect at the time of the alleged occurrence of any action or omission to act that is the cause of any proceeding against any agent of the corporation.

(i)           Saving Clause. If this Section or any portion hereof shall be invalidated on any ground by any court of competent jurisdiction, then the corporation shall nevertheless indemnify each director and executive officer to the full extent not prohibited by any applicable portion of this Bylaw that shall not have been invalidated, or by any other applicable law. If this Section shall be invalid due to the application of the indemnification provisions of another jurisdiction, then the corporation shall indemnify each director and executive officer to the full extent under applicable law.

(j)           Certain Definitions. The following definitions apply for the purposes of this Section:

(1)            The term “proceeding” shall be broadly construed and shall include, without limitation, the investigation, preparation, prosecution, defense, settlement, arbitration and appeal of, and the giving of testimony in, any threatened, pending or completed action, suit or proceeding, whether civil, criminal, administrative or investigative.

(2)            The term “expenses” shall be broadly construed and shall include, without limitation, court costs, attorneys’ fees, witness fees, fines, amounts paid in settlement or judgment and any other costs and expenses of any nature or kind incurred in connection with any proceeding.

(3)            The term the “corporation” shall include, in addition to the resulting corporation, any constituent corporation (including any constituent of a constituent) absorbed in a consolidation or merger which, if its separate existence had continued, would have had power and authority to indemnify its directors, officers, and employees or agents, so that any person who is or was a director, officer, employee or agent of such constituent corporation, or is or was serving at the request of such constituent corporation as a director, officer, employee or agent of another corporation, partnership, joint venture, trust or other enterprise, shall stand in the same position under the provisions of this Section with respect to the resulting or surviving corporation as he would have with respect to such constituent corporation if its separate existence had continued.

(4)            References to a “director,” “executive officer,” “officer,” “employee,” or “agent” of the corporation shall include, without limitation, situations where such person is serving at the request of the corporation as, respectively, a director, executive officer, officer, employee, trustee or agent of another corporation, partnership, joint venture, trust or other enterprise.

(5)            References to “other enterprises” shall include employee benefit plans; references to “fines” shall include any excise taxes assessed on a person with respect to an employee benefit plan; and references to “serving at the request of the corporation” shall include any service as a director, officer, employee or agent of the corporation which imposes duties on, or involves services by, such director, officer, employee, or agent with respect to an employee benefit plan, its participants, or beneficiaries; and a person who acted in good faith and in a manner he reasonably believed to be in the interest of the participants and beneficiaries of an employee benefit plan shall be deemed to have acted in a manner “not opposed to the best interests of the corporation” as referred to in this Section.

ARTICLE XII
Notices

Section 44.           Notices.

(a)            Notice to Stockholders. Written notice to stockholders of stockholder meetings shall be given as provided in Section 7 of these Bylaws. Without limiting the manner by which notice may otherwise be given effectively to stockholders under any agreement or contract with such stockholder, and except as otherwise required by law, written notice to stockholders for purposes other than stockholder meetings may be sent by United States mail or nationally recognized overnight courier, or by facsimile, telegraph or telex or by electronic mail or other electronic means.

(b)            Notice to Directors. Any notice required to be given to any director may be given by the method stated in paragraph (a) of this Section, or as provided for in Section 21 of these Bylaws. If such notice is not delivered personally, it shall be sent to such address as such director shall have filed in writing with the Secretary, or, in the absence of such filing, to the last known post office address of such director.

(c)            Affidavit of Mailing. An affidavit of mailing, executed by a duly authorized and competent employee of the corporation or its transfer agent appointed with respect to the class of stock affected or other agent, specifying the name and address or the names and addresses of the stockholder or stockholders, or director or directors, to whom any such notice or notices was or were given, and the time and method of giving the same, shall in the absence of fraud, be prima facie evidence of the facts therein contained.

(d)            Methods of Notice. It shall not be necessary that the same method of giving notice be employed in respect of all recipients of notice, but one permissible method may be employed in respect of any one or more, and any other permissible method or methods may be employed in respect of any other or others.

(e)            Notice to Person with Whom Communication Is Unlawful. Whenever notice is required to be given, under any provision of law or of the Certificate of Incorporation or Bylaws of the corporation, to any person with whom communication is unlawful, the giving of such notice to such person shall not be required and there shall be no duty to apply to any governmental authority or agency for a license or permit to give such notice to such person. Any action or meeting which shall be taken or held without notice to any such person with whom communication is unlawful shall have the same force and effect as if such notice had been duly given. In the event that the action taken by the corporation is such as to require the filing of a certificate under any provision of the DGCL, the certificate shall state, if such is the fact and if notice is required, that notice was given to all persons entitled to receive notice except such persons with whom communication is unlawful.

(f)           Notice to Stockholders Sharing an Address. Except as otherwise prohibited under DGCL, any notice given under the provisions of DGCL, the Certificate of Incorporation or the Bylaws shall be effective if given by a single written notice to stockholders who share an address if consented to by the stockholders at that address to whom such notice is given. Such consent shall have been deemed to have been given if such stockholder fails to object in writing to the corporation within 60 days of having been given notice by the corporation of its intention to send the single notice. Any consent shall be revocable by the stockholder by written notice to the corporation.

ARTICLE XIII
Amendments

Section 45.           Amendments. The Board of Directors is expressly empowered to adopt, amend or repeal Bylaws of the corporation. The stockholders shall also have power to adopt, amend or repeal the Bylaws of the corporation; provided, however, that, in addition to any vote of the holders of any class or series of stock of the corporation required by law or by the Certificate of Incorporation, such action by stockholders shall require the affirmative vote of the holders of a majority of the voting power of all of the then-outstanding shares of the capital stock of the corporation entitled to vote generally in the election of directors, voting together as a single class.

ARTICLE XIV
Loans To Officers

Section 46.           Loans to Officers. Except as otherwise prohibited under applicable law, the corporation may lend money to, or guarantee any obligation of, or otherwise assist any officer or other employee of the corporation or of its subsidiaries, including any officer or employee who is a Director of the corporation or its subsidiaries, whenever, in the judgment of the Board of Directors, such loan, guarantee or assistance may reasonably be expected to benefit the corporation. The loan, guarantee or other assistance may be with or without interest and may be unsecured, or secured in such manner as the Board of Directors shall approve, including, without limitation, a pledge of shares of stock of the corporation. Nothing in these Bylaws shall be deemed to deny, limit or restrict the powers of guaranty or warranty of the corporation at common law or under any statute.

ARTICLE XV
Miscellaneous

Section 47.           Benefit Report. The Board of Directors shall biennially cause the corporation to provide the stockholders of the corporation a statement as to the corporation’s promotion of the public benefit(s) identified in the corporation’s Certificate of Incorporation, as may be amended from time to time, and of the best interests of those materially affected by the corporation’s conduct, which statement shall comply with Section 366(b) of the DGCL.

Section 48.           Annual Report.

(a)            Subject to the provisions of paragraph (b) of this Section, during such time or times that the corporation is subject to Section 1501 of the CGCL, the Board of Directors shall cause an annual report to be sent to each stockholder of the corporation not later than one hundred twenty (120) days after the close of the corporation’s fiscal year. Such report shall include a balance sheet as of the end of such fiscal year and an income statement and statement of changes in financial position for such fiscal year, accompanied by any report thereon of independent accountants or, if there is no such report, the certificate of an authorized officer of the corporation that such statements were prepared without audit from the books and records of the corporation. When there are more than 100 stockholders of record of the corporation’s shares, as determined by Section 605 of the CGCL, additional information as required by Section 1501(b) of the CGCL shall also be contained in such report, provided that if the corporation has a class of securities registered under Section 12 of the 1934 Act, the 1934 Act shall take precedence. Such report shall be sent to stockholders at least fifteen (15) days prior to the next annual meeting of stockholders after the end of the fiscal year to which it relates.

(b)            If and so long as there are fewer than one hundred (100) holders of record of the corporation’s shares, the requirement of sending of an annual report to the stockholders of the corporation is hereby expressly waived.

Section 49.           Forum. Unless the corporation consents in writing to the selection of an alternative forum, the Court of Chancery of the State of Delaware shall be the sole and exclusive forum for (i) any derivative action or proceeding brought on behalf of the corporation; (ii) any action asserting a claim of breach of a fiduciary duty owed by any director, officer or other employee of the corporation to the corporation or the corporation’s stockholders; (iii) any action asserting a claim against the corporation or any director or officer or other employee of the corporation arising pursuant to any provision of the DGCL, the certificate of incorporation or the Bylaws of the corporation; or (iv) any action asserting a claim against the corporation or any director or officer or other employee of the corporation governed by the internal affairs doctrine.

 

 

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EX1A-4 SUBS AGMT 5 ex4.htm FORM OF SUBSCRIPTION AGREEMENT Subscription Agreement

FIFTEEN FIVE PARTNERS PBC

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 “SECURITIES 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 INVESTOR IN CONNECTION WITH THIS OFFERING. ANY REPRESENTATION TO THE CONTRARY IS UNLAWFUL.

THE SECURITIES CANNOT BE SOLD OR OTHERWISE TRANSFERRED EXCEPT IN COMPLIANCE WITH THE SECURITIES ACT AND APPLICABLE STATE SECURITIES LAWS.

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

PROSPECTIVE INVESTORS MAY NOT TREAT THE CONTENTS OF THE SUBSCRIPTION AGREEMENT, THE OFFERING CIRCULAR OR ANY OF THE OTHER MATERIALS PROVIDED BY THE COMPANY (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, ACCOUNTANTS AND OTHER PROFESSIONAL ADVISORS 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. 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.

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.

To: Fifteen Five Partners PBC
901 Crystal Falls Parkway, Suite 207
Leander, Texas 78641

Ladies and Gentlemen:

  1. Subscription.
    1. The Investor hereby irrevocably subscribes for and agrees to purchase shares (the “Shares”) of Class A Common Stock, par value $0.0001 per share (the “Class A Common Stock”), of Fifteen Five Partners PBC, a Delaware public benefit corporation (the “Company”), at a purchase price of $1.00 per Share of Class A Common Stock, rounded down to the nearest whole share based on the Investor’s subscription amount, upon the terms and conditions set forth herein. The purchase price of each Share is payable in the manner provided in Section 2(a) below. The Shares being subscribed for under this Subscription Agreement are sometimes referred to herein as the “Securities.” The rights and preferences of the Securities are as set forth in the certificate of incorporation of the Company, available in the exhibits to the offering statement of the Company (the “Offering Statement”) filed with the Securities and Exchange Commission (the “SEC”) pursuant to Regulation A of the Securities Act of 1933, as amended (the “Act”).
    2. The Investor understands that the Securities are being offered pursuant to the Offering Circular dated December 6, 2018, and its exhibits (the “Offering Circular”) as filed with the SEC. By subscribing, the Investor acknowledges that it has received and reviewed a copy of the Offering Circular and Offering Statement and any other information required by the Investor to make an investment decision with respect to the Securities.
    3. This Subscription may be accepted or rejected, in whole or in part, at any time prior to the Termination Date (as defined below) by the Company in its sole discretion. In addition, the Company, in its sole discretion, may allocate to the Investor only a portion of the number of the Shares that the Investor has subscribed to purchase hereunder. The Company will notify the Investor whether its subscription is accepted (in whole or in part) or rejected. If the Investor’s subscription is rejected, the Investor’s payment (or portion thereof if partially rejected) will be returned without interest and all of the Investor’s obligations hereunder shall terminate.
    4. The aggregate number of shares of Class A Common Stock that may be sold by the Company pursuant to the Offering Statement shall not exceed 250,000 Shares (the “Maximum Shares”). The Company may accept subscriptions until the earlier of (i) the date at which the Maximum Shares have been sold or (ii) the date which is one year from the Offering Statement being qualified by the SEC, provided that the Company may, in its sole discretion, either terminate the offering at an earlier date or extend the offering in accordance with applicable SEC regulations for such additional period as may be required to sell the Maximum Shares (as applicable, the “Termination Date”). 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”).
    5. In the event of rejection of this subscription in its entirety, or in the event the sale of the Shares (or any portion thereof) to the Investor is not consummated for any reason, this Subscription Agreement shall have no force or effect, except for Section 4 hereof, which shall remain in force and effect.
  2. Purchase Procedure.
    1. Payment. The purchase price for the Shares shall be paid simultaneously with the Investor’s subscription. The Investor shall deliver payment for the aggregate purchase price of the Securities by ACH electronic transfer or by wire transfer, or by any other method subject to the Company’s sole and absolute discretion, to an account designated by the Company. In the event the Investor’s subscription is not accepted by the Company, any funds tendered by the Investor shall be promptly returned by the Company to the Investor without interest or deduction.
    2. Delivery of Securities. Upon acceptance of the Investors subscription and a Closing, the Investor shall receive notice and evidence of the digital entry of the number of the Securities owned by the Investor reflected on the books and records of the Company and verified by ClearTrust, LLC (the “Transfer Agent”), which books and records shall bear a notation that the Securities were sold in reliance upon Regulation A of the Securities Act. Upon written instruction by the Investor, the Transfer Agent may record the Shares beneficially owned by the Investor on the books and records of the Company in the name of any other entity as designated by the Investor.
  3. Representations and Warranties of the Company. The Company represents and warrants to the Investor that the following representations and warranties are true and complete in all material respects as of the date of each Closing:
    1. Organization and Standing. The Company is a public benefit corporation 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, the Securities 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.
    2. Issuance of the Securities. The issuance, sale and delivery of the Securities in accordance with this Subscription Agreement have been duly authorized by all necessary corporate action on the part of the Company. The Securities, when 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.
    3. Authority for Agreement. The acceptance by the Company of this Subscription Agreement and the consummation of the transactions contemplated hereby are within the Company’s powers and have been duly authorized by all necessary corporate action on the part of the Company. Upon the Company’s acceptance of this Subscription Agreement, 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.
    4. No Filings. Assuming the accuracy of the Investor’s representations and warranties set forth in Section 3 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 acceptance, 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.
    5. Capitalization. The authorized capital of the Company consists, immediately prior to the first Closing hereunder, of 3,378,200 shares of common stock of the Company, par value $0.0001 per share, of which (i) 2,314,100 shares are designated as Class A Common Stock, of which none are issued and outstanding, (ii) 100 shares are designated as Class F Common Stock, of which 100 are issued and outstanding, and (iii) 1,064,000 shares are designated as Class P Common Stock, of which 564,000 are issued and outstanding. Under the terms of the Company’s certificate of incorporation, shares of Class F Common Stock and Class P Common Stock are convertible into an equivalent number of shares of Class A Common Stock at the election of their holder. Except as set forth herein, there are no other 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.
    6. Financial Statements. Complete copies of the Company’s financial statements, consisting of the consolidated balance sheets of the Company as of its fiscal years ending on December 31, 2016, and December 31, 2017, and the related consolidated statements of income, stockholder’s equity and cash flows for the respective periods then ended (collectively, the “Financial Statements”), have been made available to the Investor and appear in the Offering Circular. The Financial Statements are based on the books and records of the Company and fairly present, in all material respects, the financial position of the Company as of the respective dates they were prepared and the results of the operations, changes in stockholder’s equity and cash flows of the Company for the respective periods indicated. PMB Helin Donovan, LLP, which has audited the Financial Statements at December 31, 2016, and December 31, 2017, and for each fiscal year then ended, is an independent accounting firm within the rules and regulations adopted by the SEC and the Public Company Accounting Oversight Board.
    7. Proceeds. The Company shall use the proceeds from the issuance and sale of the shares of Class A Common Stock sold in the offering as set forth in the section of the Offering Circular captioned “Use of Proceeds.”
    8. Litigation. Except as disclosed in the Offering Circular, 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 (i) against the Company or (ii) to the Company’s knowledge, against any consultant, officer, manager, director or significant 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 Investor. By subscribing, the Investor (and, if the Investor is purchasing the Shares subscribed for hereby in a fiduciary capacity, the person or persons for whom the Investor 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:
    1. Requisite Power and Authority. The Investor has all necessary power and authority under all applicable provisions of law to subscribe hereunder, to execute and deliver this Subscription Agreement and to carry out the provisions of this agreement. All action on the Investor’s part required for its lawful subscription have been or will be effectively taken prior to the Closing. This Subscription Agreement is a valid and binding obligation of the Investor, enforceable in accordance with its respective terms, except (i) as limited by applicable bankruptcy, insolvency, reorganization, moratorium or other laws of general application affecting enforcement of creditors’ rights and (ii) as limited by general principles of equity that restrict the availability of equitable remedies.
    2. Investment Experience. The Investor has sufficient experience in financial and business matters to be capable of utilizing such information to evaluate the merits and risks of the Investor’s investment in the Securities, and to make an informed decision relating thereto; or the Investor has utilized the services of a purchaser representative and together they have sufficient experience in financial and business matters that they are capable of utilizing such information to evaluate the merits and risks of the Investor’s investment in the Securities, and to make an informed decision relating thereto.
    3. Investor Determination of Suitability. The Investor has evaluated the risks of an investment in the Securities, including those described in the section of the Offering Circular captioned “Risk Factors”, and has determined that the investment is suitable for the Investor. The Investor has adequate financial resources for an investment of this character, and at this time the Investor could bear a complete loss of its investment in the Company.
    4. No Registration. The Investor understands that the Securities are not being registered under the Securities Act, on the ground that the issuance thereof is exempt pursuant to Regulation A promulgated under Section 3(b) of the Securities Act, and that reliance on such exemption is predicated in part on the truth and accuracy of the Investor’s representations and warranties and those of the other subscribers for Shares of Class A Common Stock. The Investor further understands that the Securities are not being registered under the securities laws of any states on the basis that the issuance thereof is exempt as an offer and sale not involving a registerable public offering in such state, since the Shares are “covered securities” under Section 18 of the Securities Act. The Investor covenants not to sell, transfer or otherwise dispose of any Securities unless such Securities have been registered under the Securities Act and under applicable state securities laws, or exemptions from such registration requirements are available.
    5. Illiquidity and Continued Economic Risk. The Investor acknowledges and agrees that there is currently no public market for the Securities and that there is no guarantee such a market will ever exist. The Company has no obligation to list any of the Securities on any exchange or take any steps (including registration under the Securities Act or Securities Exchange Act of 1934, as amended) with respect to facilitating trading or resale of the Securities. The Investor must bear the economic risk of this investment indefinitely and the Investor acknowledges that it is able to bear the economic risk of losing its entire investment in the Securities.
    6. Accredited Investor Status or Investment Limits. The Investor represents that either: (i) it is an “accredited investor” within the meaning of Rule 501 of Regulation D promulgated under the Securities Act or (ii) the purchase price, together with any other amounts previously used to purchase Shares in this offering, does not exceed 10 percent of the greater of the Investor’s annual income or net worth (or in the case where the Investor is a non-natural person, their revenue or net assets for its most recently completed fiscal year end). The Investor 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.
    7. Stockholder Information. Within five days after receipt of a request from the Company, the Investor hereby agrees to provide such information with respect to its status as a stockholder (or potential stockholder) and to execute and deliver such documents as may reasonably be necessary to comply with any and all laws and regulations to which the Company is or may become subject, including, without limitation, the need to determine the accredited status of the Company’s stockholders. The Investor 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.
    8. Valuation. The Investor acknowledges that the price of the Shares of Class A Common Stock to be sold in this offering was set by the Company on the basis of the Company’s internal valuation and no warranties are made as to value. The Investor further acknowledges that future offerings of securities of the Company may be made at lower valuations, with the result that the Investor’s investment will bear a lower valuation.
    9. Domicile. The Investor maintains its domicile (and is not a transient or temporary resident) at the address provided with its subscription.
    10. Foreign Investors. If the Investor is not a United States person (as defined by Section 7701(a)(30) of the Internal Revenue Code of 1986, as amended), the Investor 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 Shares or any use of this Subscription Agreement, including (i) the legal requirements within its jurisdiction for the purchase of the Shares, (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. The Investor’s subscription and payment for and continued beneficial ownership of the Securities will not violate any applicable securities or other laws of the Investor’s jurisdiction.
    11. Indemnity. The representations, warranties and covenants made by the Investor herein shall survive the Closing of this Subscription Agreement. The Investor 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 Investor to comply with any covenant or agreement made by the Investor herein or in any other document furnished by the Investor to any of the foregoing in connection with this transaction.
    12. “Market Stand-Off” Agreement. Upon the effective date of a registration statement of an initial public offering of the Company (an “IPO”) filed under the Securities Act and to the extent requested by the Company or an underwriter of Company securities being sold in an IPO, the Investor shall not, without the prior written consent of the managing underwriters in such IPO, offer, sell, make any short sale of, grant or sell any option for the purchase of, lend, pledge, otherwise transfer or dispose of (directly or indirectly), enter into any swap or other arrangement that transfers to another, in whole or in part, any of the economic consequences of ownership (whether any such transaction is described above or is to be settled by delivery of Securities or other securities, in cash, or otherwise), any Securities or other shares of stock of the Company then owned by such Investor, or enter into an agreement to do any of the foregoing, for up to 180 days following such IPO. For purposes of this Section 4(l), “Company” includes any wholly owned subsidiary of the Company into which the Company merges or consolidates. The Company may place restrictive legends on the certificates representing the shares subject to this Section 4(l) and may impose stop transfer instructions with respect to the Securities and such other shares of stock of each Investor until the end of such period. Each Investor shall enter into any agreement reasonably required by the underwriters to the IPO to implement the foregoing within any reasonable timeframe so requested. The underwriters for any IPO are intended third-party beneficiaries of this Section 4(l) and shall have the right, power and authority to enforce the provisions of this Section 4(l) as though they were parties hereto. The Investor agrees that, in the event it transfers any Securities, it will require the transferee of such Securities to agree this Section 4(l) as a condition of such transfer. For the purposes of this Section 4(l), “Investor” includes the Investor and any transferee thereof.
  5. Governing Law; Jurisdiction. This Subscription Agreement shall be governed and construed in accordance with the laws of the State of Delaware.
  6. THE INVESTOR CONSENTS TO THE JURISDICTION OF ANY STATE OR FEDERAL COURT OF COMPETENT JURISDICTION LOCATED WITHIN THE STATE OF TEXAS AND NO OTHER PLACE AND IRREVOCABLY AGREES THAT ALL ACTIONS OR PROCEEDINGS RELATING TO THIS SUBSCRIPTION AGREEMENT MAY BE LITIGATED IN SUCH COURTS. THE INVESTOR ACCEPTS THE EXCLUSIVE JURISDICTION OF THE AFORESAID COURTS FOR SUCH ACTIONS OR PROCEEDINGS 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. THE INVESTOR FURTHER IRREVOCABLY CONSENTS TO THE SERVICE OF PROCESS OF ANY OF THE AFOREMENTIONED COURTS IN THE MANNER AND IN THE ADDRESS SPECIFIED IN SECTION 6 AND PROVIDED WITH THE INVESTOR’S SUBSCRIPTION.

    THE INVESTOR 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 THE COMPANY IN THE NEGOTIATION, ADMINISTRATION, PERFORMANCE AND ENFORCEMENT THEREOF. THE INVESTOR ALSO WAIVES ANY BOND OR SURETY OR SECURITY UPON SUCH BOND WHICH MIGHT, BUT FOR THIS WAIVER, BE REQUIRED. THE INVESTOR 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.

  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, (b) mailed by registered or certified mail, postage prepaid, return receipt requested, in the third day after the posting thereof or (c) emailed on the date of such delivery to the address of the respective parties as follows:
  8. If to the Company, to:

    Fifteen Five Partners PBC
    901 Crystal Falls Parkway, Suite 207
    Leander, Texas 78641

    If to Investor, at the Investor’s address supplied in connection with this subscription, 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 email shall be confirmed by letter given in accordance with (a) or (b) above.

  9. Miscellaneous.
    1. 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.
    2. This Subscription Agreement is not transferable or assignable by the Investor.
    3. The representations, warranties and agreements contained herein shall be deemed to be made by and be binding upon the Investor and its heirs, executors, administrators and successors and shall inure to the benefit of the Company and its successors and assigns.
    4. 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 the Investor.
    5. 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.
    6. 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.
    7. 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.
    8. 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.
    9. The headings used in this Subscription Agreement have been inserted for convenience of reference only and do not define or limit the provisions hereof.
    10. 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.
    11. 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.
    12. 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.
  10. Subscription Procedure. If subscribing electronically, each Investor, by providing its name and subscription amount, and by clicking “accept,” checking the appropriate box on the website, or providing an electronic signature (“Electronic Acceptance”), confirms such Investor’s investment and electronic signature to this Agreement. The Investor agrees that its Electronic Acceptance is the legal equivalent of its manual signature on this Agreement and establishes such Investor’s acceptance of the terms of this Agreement.

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EX1A-6 MAT CTRCT 6 ex6-1.htm INDEPENDENT BANK PROMISSORY NOTE Independent Bank Promissory Note

Promissory Note

$2,572,139.00

Austin, Texas

August 17, 2018

This Promissory Note (the "Note") is executed pursuant to that certain Construction Financing Agreement (as amended, modified, restated or replaced from time to time, the "Loan Agreement") dated of even date herewith, by and between Fifteen Five Corporation, a Texas corporation (the "Borrower") and Independent Bank (the "Lender"). The Advance to be made hereunder by the Lender shall be made in reliance upon each and all of the terms, conditions, representations, warranties, covenants and agreements of the Loan Agreement. In no event will the Lender have any obligation to advance any proceeds of this Note unless the Borrower fully satisfies all conditions thereto set forth in the Loan Agreement. Capitalized terms which are used in this Note and are not otherwise defined are used with the meanings provided for them in the Loan Agreement, unless the context clearly requires otherwise.

For value received, the Borrower promises to pay to the order of the Lender, at its primary office in the City of Georgetown, Williamson County, Texas (or at such other place as the Lender may hereafter direct the Borrower), the principal sum of $2,572,139.00, or the outstanding principal amount advanced hereunder, whichever is the lesser, in legal and lawful money of the United States of America, with interest on the outstanding portion thereof for the period such sums are unpaid, as hereinafter specified. Principal and interest shall be payable as hereinafter specified.

  1. Defined Terms. Capitalized terms used herein are used with the same meanings given such terms in the Loan Agreement and the Note, unless otherwise indicated by the context in which used. As used herein, capitalized terms which are not otherwise defined shall have the same meanings given below.
    1. Adjustment Dates. The term "Adjustment Dates" means August 17, 2028 (the "First Adjustment Date"), August 17, 2033 (the "Second Adjustment Date"), and August 17, 2038 (the "Third Adjustment Date").
    2. Applicable Interest Rate. The term "Applicable Interest Rate" shall mean (i) a fixed rate of interest equal to 5.95% per annum from the date of this Note to the First Adjustment Date, (ii) beginning with the First Adjustment Date to the Maturity Date, a fixed rate per annum equal to the Index Rate on each Adjustment Date, plus 0.50% per annum, but in no event less than 6.00% per annum (not to exceed the Maximum Lawful Rate). The Applicable Interest Rate shall be determined by the Lender on each Adjustment Date based on the Index Rate in effect on the respective Adjustment Date. The Lender's determination of the Applicable Interest Rate shall be deemed conclusive absent manifest error.
    3. Conversion Date. The term "Conversion Date" means August 17, 2019.
    4. Index Rate. The term "Index Rate" means the prime rate as published from time to time in The Wall Street Journal (currently in the "Money Rates" section) and presently denominated as the base rate posted by 70% of the nation's 10 largest banks. In the event more than one such rate, or a range of such rates, is published, then the Index shall be the highest of such rates. In the event such rate ceases to be published by The Wall Street Journal, then the Index shall be the varying per annum rate of interest denominated by the Lender from time to time as its base rate of interest, as such rate is established by the Lender for the guidance of its loan officers, whether or not such rate shall otherwise be published, with the rate so determined changing as and when such rate changes. The Borrower understands that the Index may not be the lowest rate of interest charged to or paid by customers of the Lender, or of any other financial institution, that the Index is not necessarily more favorable than another rate or index, and that rates on other loans or credit facilities may be based on indices other than the Index.
    5. Maturity Date. The term "Maturity Date" means August 17, 2039.
    6. Maximum Lawful Rate. The term "Maximum Lawful Rate" means the maximum rate of non-usurious interest, and the term "Maximum Lawful Amount" means the maximum amount of non-usurious interest permitted with respect to the indebtedness evidenced by this Note from time to time by applicable law after taking into account any and all fees, payments, and other charges that constitute interest under applicable law. Unless changed in accordance with applicable law, the applicable rate ceiling under Texas law shall be the weekly ceiling in effect from time to time, as provided in Chapter 303 of the Texas Finance Code (as amended), subject to the provisions of Section 303.009 of the Texas Finance Code ( as amended).
    7. Monthly Payment Amount. The term "Monthly Payment Amount" means an amount initially determined by the Lender on the Conversion Date and thereafter on each Adjustment Date which shall be the amount necessary to repay the Principal Amount Advanced in 240 consecutive equal monthly installments of principal and interest at the Applicable Interest Rate in effect on the date of any determination of the Monthly Payment Amount. Lender's calculations shall be deemed conclusive absent manifest error.
    8. Monthly Payment Date. The term "Monthly Payment Date" means the 17th day of each month, beginning September 17, 2018.
    9. Principal Amount Advanced. The term "Principal Amount Advanced" means the principal amount advanced by the Lender on this Note.
  2. Repayment of Principal and Interest. This Note is due and payable as follows:
    1. Interest only shall be due and payable monthly as it accrues on each Monthly Payment Date until, and including, the Conversion Date.
    2. Principal and interest payments equal to the Monthly Payment Amount shall be due and payable on each Monthly Payment Date beginning the first Monthly Payment Date following the Conversion Date until and including the Maturity Date.
    3. The entire amount hereof, principal and interest then remaining unpaid, shall be due and payable in full on the Maturity Date.
  3. Interest Rate. Interest on the outstanding Principal Amount Advanced shall accrue to the Maturity Date, or such earlier date as principal owing hereunder becomes due and payable, at the Applicable Interest Rate, as may be adjusted by the Lender as provided herein.
  4. Default Interest. The Borrower shall pay interest (after, as well as before, judgment to the extent permitted by applicable law) on all past due amounts outstanding hereunder and all past due amounts owing under any of the Collateral Agreements at a rate per annum equal to the Maximum Lawful Rate calculated on the basis of actual days in a year.
  5. Application of Payments. All payments made under this Note shall be applied, to the extent thereof, to the payment of any late charges, fees or other charges outstanding hereunder or under any Collateral Agreement, to accrued but unpaid interest, to unpaid principal, and to any other sums due and unpaid to Lender under any Collateral Agreement, in such manner and order as Lender may elect in its sole discretion, any instructions from the Borrower or anyone else to the contrary notwithstanding.
  6. Interest Recoupment. If at any time and from time to time the Lender is prevented from collecting the rate of interest and the fees specified in this Note by applicable law or governmental regulation, the Lender shall be entitled to recoup the amount it would have otherwise been able to collect (the "Recoupment Amount") during such period when the recoupment will not violate such applicable law or regulation (the "Recoupment Period"). During each Recoupment Period, the Borrower shall continue to pay the Maximum Lawful Rate until there has been paid hereon, in addition to the interest at the applicable rate specified herein during such Recoupment Period, an amount equal to the Recoupment Amount. Interest collected by the Lender during each Recoupment Period shall first be applied to payment of current interest due at the applicable rate specified in this Note and any remaining interest collected shall be applied to the Recoupment Amount. When the Lender shall have recouped all of the Recoupment Amount, the interest rate payable by the Borrower shall revert to the applicable rate specified in this Note. In no event, however, shall the interest rate charged hereunder ever exceed the Maximum Lawful Rate and in the event of any prepayment hereof, only that portion of the Recoupment Amount which has been earned through the date of prepayment shall be payable.
  7. Interest Accrual. Interest on this Note shall be calculated at a daily rate based on a year of 360 days, with the daily rate so determined being applied for the actual number of days elapsed, provided that in no event shall the amount of interest payable hereunder exceed the Maximum Lawful Amount.
  8. Default Interest. The Borrower shall pay interest (after, as well as before, judgment to the extent permitted by applicable law) on all past due amounts outstanding hereunder and all past due amounts owing under any of the Collateral Agreements at a rate per annum equal to the Maximum Lawful Rate calculated on the basis of actual days in a year (the "Default Rate").
  9. Rescission of Payments. If at any time any payment made under this Note is rescinded or must otherwise be restored or returned upon the insolvency, bankruptcy or reorganization of one of the Borrower or any endorser, guarantor and surety of this Note or otherwise, the Borrower's obligation to make such payment shall be reinstated as though such payment had not been made.
  10. Collateral Agreements. Payment of this Note is secured by, and this Note is entitled to the benefits of, all security agreements, collateral assignments, deeds of trust, mortgages and lien instruments executed by the Borrower, or any of them if more than one (and other similar instruments, and any guaranties, endorsements or other agreements, executed by any other party) (collectively, the "Collateral Agreements"), to secure, guarantee or otherwise provide for payment hereof, in favor of or for the benefit of the Lender or other holder hereof, including those which have been previously executed or are executed concurrently herewith or subsequently hereto. Without limiting the generality of the foregoing, it is recognized that the Collateral Agreements include, and that this Note is secured by and entitled to the benefits of, that certain Deed of Trust, Security Agreement, Collateral Assignment of Leases and Rents, and Financing Statement of even date herewith executed by the Borrower to Daniel W. Brooks, Trustee for the benefit of the Lender, which instrument covers certain real property (the "Real Property") located in Williamson County, Texas.
  11. Acceleration Upon Default. It is expressly provided that upon default in the punctual payment of this Note or any part hereof, principal or interest, as the same shall become due and payable, or upon default in the performance of or compliance with any of the terms of this Note or any of the Collateral Agreements, or the occurrence of any default or event of default as defined in any thereof, the outstanding principal and the accrued and unpaid interest owing hereon shall be matured, at the option of the Lender.
  12. Payment of Expenses. To the extent not prohibited by applicable law and subject to the provisions of Section 15 hereof, the Borrower agrees to pay all reasonable costs and expenses and reimburse the Lender for any and all reasonable expenditures of every character incurred or expended from time to time by the Lender to third parties for services rendered in connection with the Lender's negotiation, documenting and closing the loan evidenced by the provisions of this Note (the "Loan"), and any amendments, renewals, extensions, modifications, replacements and additions hereto and to the Collateral Agreements, as well as evaluating, monitoring, administering and protecting the Loan and the collateral described in the Collateral Agreements (the "Collateral") and creating, perfecting and realizing upon the Lender's security interest in and liens upon the Collateral, and all reasonable costs and expenses incurred or expended by the Lender to third parties for services rendered and related to the Lender's exercising any of its rights and remedies hereunder, under any of the Collateral Agreements, or at law, including, without limitation, all appraisal fees, consulting fees, filing fees, taxes, brokerage fees and commissions, fees incident to security interests, liens and other title searches and reports, escrow fees, attorney's fees, legal expenses, court costs, auctioneer fees and expenses, other fees and expenses incurred in connection with liquidation or sale of the Collateral and all other professional fees. Any amount to be paid hereunder by the Borrower to the Lender, to the extent not prohibited by applicable law, shall bear interest from the date of expenditure until reimbursed to the Lender by the Borrower at the rate of interest which may be applicable from time to time during the period such funds remain unpaid as provided in this Note.
  13. General Waivers. The Borrower, and all endorsers, guarantors and sureties of this Note severally waive presentment for payment, demand, notice of intent to accelerate, notice of acceleration, protest and notice of protest, and of dishonor and diligence in collecting and the bringing of suit against any other party, and agree to all renewals, extensions, partial payments, releases, subordinations and substitutions of security, in whole or in part, with or without notice, before or after maturity. The failure by the Lender to exercise any of its rights, remedies, recourses, or powers upon the occurrence of one or more defaults shall not constitute a waiver of the right to exercise the same or any other right, remedy, recourse, or power at any subsequent time in respect to the same or any other default. The acceptance by the Lender of any payment hereunder which is less than payment in full of all amounts due and payable at the time of such payment shall not constitute a waiver of the right to exercise any of the Lender's rights, remedies, recourses, or powers at that time, or any subsequent time, or nullify any prior exercise of any such right, remedy, recourse or power without the written consent of the Lender, except as and to the extent otherwise required by applicable law.
  14. Jurisdiction; Venue; Applicable Law. The Borrower agrees and consents to the jurisdiction of the District Courts of Travis County, Texas, and of the United States District Court for the Western District of Texas (Austin Division) and acknowledges that such courts shall constitute proper and convenient forums for the resolution of any actions between the Borrower and the Lender with respect to the subject matter hereof, and agree that such courts shall be the sole and exclusive forums for the resolution of any actions between the Borrower and the Lender with respect to the subject matter hereof, except that any suit to foreclose any lien which secures the payment hereof may be brought by the Lender in the county or district where the property subject to such lien is located. This Note shall be governed by and construed in accordance with the applicable laws of the United States of America and the laws of the State of Texas, except that Chapter 346 of the Texas Finance Code shall not apply to this Note.
  15. Reduction in Interest. It is the intention of the Borrower and the Lender to conform strictly to the applicable laws of usury. All agreements and transactions between the Borrower and the Lender, whether now existing or hereafter arising, whether contained herein or in any other instrument, and whether written or oral, are hereby expressly limited so that in no contingency or event whatsoever, whether by reason of acceleration of the maturity hereof, late payment, prepayment, demand for prepayment or otherwise, shall the amount contracted for, charged or received by the Lender from the Borrower for the use, forbearance, or detention of the principal indebtedness or interest hereof, which remains unpaid from time to time, exceed the Maximum Lawful Amount. Any interest payable hereunder or under any other instrument relating to the Loan that is in excess of the Maximum Lawful Amount, shall, in the event of acceleration of maturity, late payment, prepayment, demand or otherwise, be applied to a reduction of the principal indebtedness hereof and not to the payment of interest, or if such excessive interest exceeds the unpaid balance of such principal, such excess shall be refunded to the Borrower. To the extent not prohibited by law, determination of the Maximum Lawful Amount of interest shall at all times be made by amortizing, prorating, allocating and spreading all interest at any time contracted for, charged or received from the Borrower in connection with the Loan in equal parts during the period of the full term of the Loan until repayment in full of the principal (including the period of any renewal or extension hereof), so that the actual rate of interest on account of such indebtedness does not exceed the Maximum Lawful Amount.
  16. Successors. As used herein, the term "Lender" shall include the successors and assigns of the Lender and any subsequent owner and holder of this Note.
  17. Extension of Due Date. If the payment of principal or interest to be made on this Note shall become due on a day other than a Business Day (as hereinafter defined), such payment may be made on the next succeeding Business Day (unless the result of such extension of time would be to extend the date for such payment beyond the maturity date hereof, in which event the payment shall be made on the Business Day immediately preceding the day on which such payment would otherwise have been due). The term "Business Day", as used herein, shall mean any day of the year (other than a Saturday or Sunday) on which the Lender is open to the public for conducting all regular business and is not required or authorized to close.
  18. Late Charge. Subject in all respects to the limitations and provisions set forth in Section 15 of this Note, the Borrower agrees that in the event any scheduled payment due under this Note (other than the final payment at maturity) shall become overdue for a period of ten (10) days, a late charge in the amount of five percent (5%) of that payment may be charged by the Lender for the purpose of defraying the expense incident to handling such delinquent payment. Such late charge shall be assessed no more than one time per delinquent payment.
  19. Set Off. If the unpaid principal amount of this Note, interest accrued hereon or any other amount owing by the Borrower hereunder or under any of the Collateral Agreements shall have become due and payable (by acceleration or otherwise), the Lender shall have the right, in addition to all other rights and remedies available to it, without notice to the Borrower, to set off against and to appropriate and apply to such due and payable amounts any debt owing to the Borrower, and any other funds held by the Lender in any manner for the account of the Borrower. Such right shall exist whether or not the Lender shall have given notice or made any demand hereunder, whether or not such debt owing to or funds held for the account of the Borrower is or are matured or unmatured, and regardless of the existence or adequacy of any collateral, guaranty or any other security, right or remedy available to the Lender. The Borrower hereby consents to and confirms the foregoing arrangements and confirms the Lender's rights of set off. Nothing in this Note or in any of the Collateral Agreements shall be deemed a waiver or prohibition of or restriction on the Lender's rights of set off.
  20. Right to Prepay. The Borrower reserves the right to prepay this Note in full at any time prior to maturity but only upon payment of the applicable Prepayment Premium (as hereinafter defined), if any. In the event prepayment is funded, directly or indirectly, from a financing source other than the Lender, a Prepayment Premium shall be due and owing contemporaneously with any such prepayment. The Prepayment Premium (the "Prepayment Premium") shall be determined as follows: The Prepayment Premium will be five percent (5%) of the aggregate principal amount prepaid during the First Loan Year, four percent (4%) of the aggregate principal amount prepaid during the Second Loan Year, three percent (3%) of the aggregate principal amount prepaid during the Third Loan Year, two percent (2%) of the aggregate principal amount prepaid during the Third Loan Year, and one percent (1%) of the aggregate principal amount prepaid during the Fifth Loan Year. The term "Loan Year" means each twelve (12)-month period commencing with the date hereof. For purposes of making such determination the date of this Note shall be the first day of the First Loan Year and each successive Loan Year will be determined accordingly. The foregoing notwithstanding, this Note may be prepaid in full without premium or penalty upon a sale of the Mortgaged Property (as defined in the Deed of Trust) by the Borrower to a third party unrelated to Borrower.
  21. Purpose of Loan. This Note (i) is in renewal, extension and rearrangement, but not in extinguishment, of the unpaid balance of that one certain promissory note in the original principal sum of $656,250.00, dated September 15, 2017, executed by the Borrower, and payable to the order of the Lender, more fully described in and secured by a Deed of Trust of even date therewith on the Real Property, duly recorded as Document No. 2017085816, Official Public Records of Williamson County, Texas; and (ii) represents additional sums in cash advanced to or for the benefit of the Borrower by the Lender, provided, however, that the terms and provisions of this Note shall govern the rights and remedies of the Lender and the obligations and liabilities of the Borrower and shall supersede the terms, provisions, rights, remedies and obligations under the promissory note renewed hereby.
  22. WAIVER OF JURY TRIAL. THE BORROWER AND THE LENDER HEREBY KNOWINGLY, VOLUNTARILY, IRREVOCABLY AND INTENTIONALLY WAIVE, TO THE MAXIMUM EXTENT PERMITTED BY LAW, ALL RIGHT TO TRIAL BY JURY IN ANY ACTION, PROCEEDING OR CLAIM ARISING OUT OF OR RELATED TO THIS NOTE OR THE ACTIONS OF THE LENDER IN THE ENFORCEMENT HEREOF.
  23. USA Patriot Act Notification. The following notification is provided to the Borrower pursuant to Section 326 of the USA Patriot Act of 2001, 31 U.S.C. Section 5318:
  24. Lender hereby notifies the Borrower that pursuant to the requirements of the USA Patriot Act (Title III of Pub. L. 107-56 (signed into law October 26, 2001)) (the "Act"), it is required to obtain, verify and record information that identifies the Borrower, which information includes the name and address of the Borrower and other information that will allow Lender to identify the Borrower in accordance with the Act. The Borrower agrees to provide such information from time to time to the Lender.

THIS NOTE AND THE COLLATERAL AGREEMENTS REPRESENT THE FINAL AGREEMENT BETWEEN THE PARTIES AND MAY NOT BE CONTRADICTED BY EVIDENCE OF PRIOR, CONTEMPORANEOUS, OR SUBSEQUENT ORAL AGREEMENTS OF THE PARTIES. THERE ARE NO UNWRITTEN ORAL AGREEMENTS BETWEEN THE PARTIES.

Fifteen Five Corporation,
a Texas corporation
By /s/ Thomas Ince                
      Thomas Ince, President

EX1A-6 MAT CTRCT 7 ex6-2.htm 2018 EQUITY INCENTIVE PLAN 2018 Equity Incentive Plan

FIFTEEN FIVE PARTNERS PBC

2018 EQUITY INCENTIVE PLAN

1.              Establishment, Purpose and Term of Plan.

1.1           Establishment. The Fifteen Five Partners PBC 2018 Equity Incentive Plan is hereby established effective as of July 19, 2018.

1.2           Purpose. The purpose of the Plan is to advance the interests of the Participating Companies and their stockholders by providing an incentive to attract, retain and reward persons performing services for the Participating Companies and by motivating such persons to contribute to the growth and profitability of the Participating Companies. The Company intends that Awards granted pursuant to the Plan be exempt from or comply with Section 409A of the Code (including any amendments or replacements of such section), and the Plan shall be so construed. The Plan is intended to be a written compensatory benefit plan under Rule 701 of the Securities Act; however, awards may be granted under the Plan that do not qualify for exemption under Rule 701.

1.3           Term of Plan. The Plan shall continue in effect until its termination by the Board; provided, however, that all Awards shall be granted, if at all, within ten (10) years from the earlier of the date the Plan is adopted by the Board or the date the Plan is duly approved by the stockholders of the Company.

2.              Definitions and Construction.

2.1           Definitions. Whenever used herein, the following terms shall have their respective meanings set forth below:

a.              “Award” means Restricted Stock granted under the Plan.

b.              “Award Agreement” means a written or electronic agreement between the Company and a Participant setting forth the terms, conditions and restrictions of the Award granted to the Participant.

c.              “Board” means the Board of Directors of the Company. If one or more committees have been appointed by the Board to administer the Plan, “Board” also means such committee(s) and, unless the powers of such committee(s) have been specifically limited, the committee(s) shall have all of the powers of the Board granted herein, including, without limitation, the power to amend or terminate the Plan at any time, subject to the terms of the Plan and any applicable limitations imposed by law.

d.              “Change in Control” means a change in ownership or control of the Company effected through any of the following transactions:

(i)             a merger, consolidation or other reorganization, unless securities representing more than fifty percent (50%) of the total combined voting power of the voting securities of the successor company are immediately thereafter beneficially owned, directly or indirectly, by the persons who beneficially owned the Company’s outstanding voting securities immediately prior to such transaction, or

(ii)           a sale, transfer or other disposition of all or substantially all of the Company’s assets in liquidation or dissolution of the Company, or

(iii)         the acquisition, directly or indirectly by any person or related group of persons (other than the Company or a person that directly or indirectly controls, is controlled by, or is under common control with, the Company), of beneficial ownership of securities possessing more than fifty percent (50%) of the total combined voting power of the Company’s outstanding securities pursuant to a transfer of the then-issued and outstanding voting securities of the Company by one or more of the Company’s stockholders.

Anything in the foregoing to the contrary notwithstanding, a transaction shall not constitute a Change in Control if its sole purpose is to change the legal jurisdiction of the Company’s incorporation or to create a holding company that will be owned in substantially the same proportions by the persons who held the Company’s securities immediately before such transaction. In addition, a sale by the Company of its securities in a transaction, the primary purpose of which is to raise capital for the Company’s operations and business activities, shall not constitute a Change in Control.

e.              “Code” means the Internal Revenue Code of 1986, as amended, and any applicable regulations and administrative guidelines promulgated thereunder.

f.               “Company” means Fifteen Five Partners PBC, a Delaware public benefit corporation, or any successor corporation thereto.

g.              “Consultant” means a person engaged to provide consulting or advisory services (other than as an Employee or a Director) to a Participating Company, provided that the identity of such person, the nature of such services or the entity to which such services are provided would not preclude the Company from offering or selling securities to such person pursuant to the Plan in reliance on the exemption from registration provided by Rule 701 under the Securities Act.

h.              “Director” means a member of the Board.

i.               “Employee” means any person treated as an employee (including an Officer or a Director who is also treated as an employee) in the records of a Participating Company; provided, however, that neither service as a Director nor payment of a director’s fee shall be sufficient to constitute employment for purposes of the Plan. The Company shall determine in good faith and in the exercise of its discretion whether an individual has become or has ceased to be an Employee and the effective date of such individual’s employment or termination of employment, as the case may be. For purposes of an individual’s rights, if any, under the terms of the Plan as of the time of the Company’s determination of whether or not the individual is an Employee, all such determinations by the Company shall be final, binding and conclusive as to such rights, if any, notwithstanding that the Company or any court of law or governmental agency subsequently makes a contrary determination as to such individual’s status as an Employee.

j.               “Fair Market Value” means, as of any date, the value of a share of Stock or other property as determined by the Board (or the Company, if such determination is expressly allocated to the Company herein), in its discretion, subject to the following:

(i)             If, on such date, the Stock is listed on a national or regional securities exchange or market system, the Fair Market Value of a share of Stock shall be the closing price of a share of Stock as quoted on the national or regional securities exchange or market system constituting the primary market for the Stock, as reported in The Wall Street Journal or such other source as the Company deems reliable. If the relevant date does not fall on a day on which the Stock has traded on such securities exchange or market system, the date on which the Fair Market Value shall be established shall be the last day on which the Stock was so traded prior to the relevant date, or such other appropriate day as shall be determined by the Board, in its discretion.

(ii)           If, on such date, the Stock is not listed on a national or regional securities exchange or market system, the Fair Market Value of a share of Stock shall be as determined by the Board in good faith without regard to any restriction other than a restriction which, by its terms, will never lapse, and in a manner consistent with the requirements of Section 409A of the Code.

k.              “Officer” means any person designated by the Board as an officer of the Company.

l.               “Parent Corporation” means any present or future “parent corporation” of the Company, as defined in Section 424(e) of the Code.

m.            “Participant” means any eligible person who has been granted one or more Awards.

n.              “Participating Company” means the Company or any Parent Corporation or Subsidiary Corporation.

o.              “Plan” means this Fifteen Five Partners PBC 2018 Equity Incentive Plan.

p.              “Restricted Stock Award” means an Award of a Restricted Stock granted pursuant to Section 6.

q.              “Securities Act” means the Securities Act of 1933, as amended.

r.               “Service” means a Participant’s employment or service with a Participating Company, whether in the capacity of an Employee, a Director or a Consultant. Unless otherwise provided by the Board, a Participant’s Service shall not be deemed to have terminated merely because of a change in the capacity in which the Participant renders such Service or a change in the Participating Company for which the Participant renders such Service, provided that there is no interruption or termination of the Participant’s Service. Furthermore, a Participant’s Service shall not be deemed to have terminated if the Participant takes any military leave, sick leave, or other bona fide leave of absence approved by the Company. However, unless otherwise provided by the Board, if any such leave taken by a Participant exceeds ninety (90) days, then on the ninety-first (91st) day following the commencement of such leave, the Participant’s Service shall be deemed to have terminated, unless the Participant’s right to return to Service is guaranteed by statute or contract. Notwithstanding the foregoing, unless otherwise designated by the Company or required by law, an unpaid leave of absence shall not be treated as Service for purposes of determining vesting under the Participant’s Award Agreement. Except as otherwise provided by the Board, in its discretion, the Participant’s Service shall be deemed to have terminated either upon an actual termination of Service or upon the business entity for which the Participant performs Service ceasing to be a Participating Company. Subject to the foregoing, the Company, in its discretion, shall determine whether the Participant’s Service has terminated and the effective date of and reason for such termination.

s.              “Stock” means a share of Class P Common Stock of the Company, as adjusted from time to time in accordance with Section 4.2.

t.               “Subsidiary Corporation” means any present or future “subsidiary corporation” of the Company, as defined in Section 424(f) of the Code.

u.              “Vesting Conditions” mean those conditions established in accordance with the Plan prior to the satisfaction of which shares subject to an Award remain subject to forfeiture or a repurchase option in favor of the Company for such shares upon the Participant’s termination of Service.

2.2           Construction. Captions and titles contained herein are for convenience only and shall not affect the meaning or interpretation of any provision of the Plan. Except when otherwise indicated by the context, the singular shall include the plural and the plural shall include the singular. Use of the term “or” is not intended to be exclusive, unless the context clearly requires otherwise.

3.              Administration.

3.1           Administration by the Board. The Plan shall be administered by the Board. All questions of interpretation of the Plan, of any Award Agreement, or of any other form of agreement or other document employed by the Company in the administration of the Plan or of any Award, shall be determined by the Board, and such determinations shall be final, binding and conclusive upon all persons having an interest in the Plan or such Award, unless fraudulent or made in bad faith. Any and all actions, decisions and determinations taken or made by the Board in the exercise of its discretion pursuant to the Plan or Award Agreement or other agreement thereunder (other than determining questions of interpretation pursuant to the preceding sentence) shall be final, binding and conclusive upon all persons having an interest therein.

3.2           Authority of Officers. Any Officer shall have the authority to act on behalf of the Company with respect to any matter, right, obligation, determination or election which is the responsibility of or which is allocated to the Company herein, provided the Officer has apparent authority with respect to such matter, right, obligation, determination or election.

3.3           Powers of the Board. In addition to any other powers set forth in the Plan and subject to the provisions of the Plan, the Board shall have the full and final power and authority, in its discretion:

a.              to determine the persons to whom, and the time or times at which, Awards shall be granted and the number of shares of Stock to be subject to each Award;

b.              to determine the Fair Market Value of shares of Stock or other property;

c.              to determine the terms, conditions and restrictions applicable to each Award (which need not be identical) and any shares acquired pursuant thereto, including, without limitation, (i) the purchase price of shares pursuant to any Award, (ii) the method of payment for shares purchased pursuant to any Award, (iii) the method for satisfaction of any tax-withholding obligation arising in connection with any Award or shares acquired pursuant thereto, including by the withholding or delivery of shares of Stock, (iv) the timing, terms and conditions of the exercisability or vesting of any Award or shares acquired pursuant thereto, (v) the time of expiration of any Award, (vi) the effect of any Participant’s termination of Service on any of the foregoing, (vii) the performance criteria, if any, and level of achievement versus the performance criteria that shall determine the number of Securities granted, issued, retainable and/or vested, and (vii) all other terms, conditions and restrictions applicable to any Award or shares acquired pursuant thereto not inconsistent with the terms of the Plan;

d.              to approve one or more forms of Award Agreement;

e.              to amend, modify, extend, cancel or renew any Award or to waive any restrictions or conditions applicable to any Award or any shares acquired pursuant thereto;

f.               to accelerate, continue, extend or defer the exercisability or vesting of any Award or any Stock acquired pursuant thereto, including with respect to the period following a Participant’s termination of Service;

g.              to implement a program where outstanding Awards are surrendered or canceled in exchange for Awards with different terms or for cash;

h.              to allow Participants to satisfy withholding tax obligations or costs attendant to exercising an Award by electing to have the Company withhold from the Stock or cash to be delivered upon vesting of an Award that number of shares of Stock represented by the shares of Stock or cash having a Fair Market Value equal to the minimum amount required to be withheld and/or attendant costs, determined on the date that the amount of tax to be withheld and/or costs imposed is to be determined; provided such election by a Participant for these purposes is made in such form and under such conditions as the Board deems necessary or advisable;

i.               to prescribe, amend or rescind rules, guidelines and policies relating to the Plan, or to adopt sub-plans or supplements to, or alternative versions of, the Plan, including, without limitation, as the Board deems necessary or desirable to comply with the laws of, or to accommodate the tax policy, accounting principles or custom of, foreign jurisdictions whose citizens may be granted Awards;

j.               to correct any defect, supply any omission or reconcile any inconsistency in the Plan or any Award Agreement, and to make all other determinations and take such other actions with respect to the Plan or any Award as the Board may deem advisable to the extent not inconsistent with the provisions of the Plan or applicable law; and

k.              to make resolutions necessary or advisable to administer the Plan.

3.4           Indemnification. In addition to such other rights of indemnification as they may have as members of the Board or as officers or employees of a Participating Company, members of the Board and any officers or employees of a Participating Company to whom authority to act for the Board or the Company is delegated shall be indemnified by the Company against all reasonable expenses, including attorneys’ fees, actually and necessarily incurred in connection with the defense of any action, suit or proceeding, or in connection with any appeal therein, to which they or any of them may be a party by reason of any action taken or failure to act under or in connection with the Plan, or any right granted hereunder, and against all amounts paid by them in settlement thereof (provided such settlement is approved by independent legal counsel selected by the Company) or paid by them in satisfaction of a judgment in any such action, suit or proceeding, except in relation to matters as to which it shall be adjudged in such action, suit or proceeding that such person is liable for gross negligence, bad faith or intentional misconduct in duties; provided, however, that within sixty (60) days after the institution of such action, suit or proceeding, such person shall offer to the Company, in writing, the opportunity at its own expense to handle and defend the same.

4.              Shares Subject to Plan.

4.1           Maximum Number of Shares Issuable. Subject to adjustment as provided in Section 4.2, the maximum aggregate number of shares of Stock that may be issued under the Plan shall be sixty-four thousand (64,000) shares and shall consist of authorized but unissued or reacquired shares of Stock or any combination thereof. If an outstanding Award for any reason expires or is terminated or canceled or if shares of Stock are acquired pursuant to an Award subject to forfeiture or repurchase and are forfeited or repurchased by the Company for an amount not greater than the Participant’s purchase price, the shares of Stock allocable to the terminated portion of such Award or such forfeited or repurchased shares of Stock shall again be available for issuance under the Plan.

4.2           Adjustments for Changes in Capital Structure. Subject to any required action by the stockholders of the Company and the requirements of Sections 409A and 424 of the Code to the extent applicable, in the event of any change in the Stock effected without receipt of consideration by the Company, whether through merger, consolidation, reorganization, reincorporation, recapitalization, reclassification, stock dividend, stock split, reverse stock split, split-up, split-off, spin-off, combination of shares, exchange of shares, or similar change in the capital structure of the Company, or in the event of payment of a dividend or distribution to the stockholders of the Company in a form other than Stock (excepting normal cash dividends) that has a material effect on the Fair Market Value of shares of Stock, appropriate and proportionate adjustments shall be made in the number and kind of shares subject to the Plan and to any outstanding Awards, and in the purchase price per share of any outstanding Awards in order to prevent dilution or enlargement of Participants’ rights under the Plan. For purposes of the foregoing, conversion of any convertible securities of the Company shall not be treated as “effected without receipt of consideration by the Company.” If a majority of the shares which are of the same class as the shares that are subject to outstanding Awards are exchanged for, converted into, or otherwise become (whether or not pursuant to a Change in Control) shares of another corporation, the Board may unilaterally amend the outstanding Awards to provide that such Awards are for such shares of such other corporation. In the event of any such amendment, the number of shares subject to, and the purchase price per share of, the outstanding Awards shall be adjusted in a fair and equitable manner as determined by the Board, in its discretion. Any fractional share resulting from an adjustment pursuant to this Section shall be rounded down to the nearest whole number. In no event may the purchase price, if any, under any Award be decreased to an amount less than the par value, if any, of the stock subject to the Award. Such adjustments shall be determined by the Board, and its determination shall be final, binding and conclusive.

5.              Eligibility.

5.1           Persons Eligible for Awards. Awards may be granted only to Employees, Consultants and Directors.

5.2           Participation in the Plan. Awards are granted solely at the discretion of the Board. Eligible persons may be granted more than one Award. However, eligibility in accordance with this Section shall not entitle any person to be granted an Award, or, having been granted an Award, to be granted an additional Award.

6.              Restricted Stock Awards. Restricted Stock Awards shall be evidenced by Award Agreements in such form as the Board shall from time to time establish. Award Agreements evidencing Restricted Stock Awards may incorporate all or any of the terms of the Plan by reference and shall comply with and be subject to the following terms and conditions:

6.1           Restricted Stock Awards Authorized. Restricted Stock Awards may be granted upon such conditions as the Board shall determine, including, without limitation, upon the attainment of one or more performance goals.

6.2           Purchase Price. The purchase price for shares of Stock issuable under each Restricted Stock Award shall be established by the Board in its discretion. Except as may be required by applicable law or established by the Board, no monetary payment (other than applicable tax withholding) shall be required as a condition of receiving shares of Stock pursuant to a Restricted Stock Award.

6.3           Payment of Purchase Price. Except as otherwise provided below, payment of the purchase price (if any) for the number of shares of Stock being purchased pursuant to any Restricted Stock Award shall be made (a) in cash, by check or in cash equivalent, (b) as a deduction from Participant’s regular compensation, (c) by such other consideration as may be approved by the Board from time to time to the extent permitted by applicable law, or (d) by any combination thereof. Unless otherwise determined by the Board, if the Participant does not execute and deliver the Restricted Stock Award agreement along with full payment for the shares to the Company within thirty (30) days of the date on which the Board makes the determination to grant an Award (unless a later date is specified by the Board), then the offer will terminate.

6.4           Vesting and Restrictions on Transfer. Shares issued pursuant to any Restricted Stock Award may (but need not) be made subject to Vesting Conditions based upon the satisfaction of such Service requirements, conditions, restrictions or performance criteria, as shall be established by the Board and set forth in the Award Agreement evidencing such Award. During any period in which shares acquired pursuant to a Restricted Stock Award remain subject to Vesting Conditions, such shares may not be sold, exchanged, transferred, pledged, assigned or otherwise disposed of other than pursuant to a Change in Control or as provided in Section 6.7. Upon request by the Company, each Participant shall execute any agreement evidencing such transfer restrictions prior to the receipt of shares of Stock hereunder and shall promptly present to the Company any and all certificates representing shares of Stock acquired hereunder for the placement on such certificates of appropriate legends evidencing any such transfer restrictions.

6.5           Voting Rights; Dividends and Distributions. Except as provided in this Section, Section 6.4 and any Award Agreement, during any period in which shares acquired pursuant to a Restricted Stock Award remain subject to Vesting Conditions, the Participant shall have all of the rights of a stockholder of the Company holding shares of Stock, including the right to vote such shares and to receive all dividends and other distributions paid with respect to such shares. However, in the event of a dividend or distribution paid in shares of Stock or other property, or any other adjustment made upon a change in the capital structure of the Company as described in Section 4.2, any and all new, substituted or additional securities or other property (other than normal cash dividends) to which the Participant is entitled by reason of the Participant’s Restricted Stock Award shall be immediately subject to the same Vesting Conditions as the shares subject to the Restricted Stock Award with respect to which such dividends or distributions were paid or adjustments were made.

6.6           Effect of Termination of Service. Unless otherwise provided by the Board in the Award Agreement evidencing a Restricted Stock Award, if a Participant’s Service terminates for any reason, whether voluntary or involuntary (including the Participant’s death or disability), then (a) the Company shall have the option to repurchase for the purchase price paid by the Participant any shares acquired by the Participant pursuant to a Restricted Stock Award which remain subject to Vesting Conditions as of the date of the Participant’s termination of Service and (b) if the Participant did not pay any consideration for any shares acquired by the Participant pursuant to a Restricted Stock Award which remain subject to Vesting Conditions as of the date of the Participant’s termination of Service, then such shares shall be surrendered to the Company and canceled without consideration. The Company shall have the right to assign at any time any repurchase right it may have, whether or not such right is then exercisable, to one or more persons as may be selected by the Company.

6.7           Nontransferability of Restricted Stock Award Rights. Rights to acquire shares of Stock pursuant to a Restricted Stock Award shall not be subject in any manner to anticipation, alienation, sale, exchange, transfer, assignment, pledge, encumbrance or garnishment by creditors of the Participant or the Participant’s beneficiary, except transfer by will or the laws of descent and distribution. All rights with respect to a Restricted Stock Award granted to a Participant hereunder shall be exercisable during his or her lifetime only by such Participant or the Participant’s guardian or legal representative.

7.              Standard Forms of Award Agreements.

7.1           Award Agreements. Each Award shall comply with and be subject to the terms and conditions set forth in the appropriate form of Award Agreement approved by the Board and as amended from time to time. No Award or purported Award shall be a valid and binding obligation of the Company unless evidenced by a fully executed Award Agreement. Any Award Agreement may consist of an appropriate form of Notice of Grant and a form of Award Agreement incorporated therein by reference, or such other form or forms, including electronic media, as the Board may approve from time to time.

7.2           Authority to Vary Terms. The Board shall have the authority from time to time to vary the terms of any standard form of Award Agreement, either in connection with the grant or amendment of an individual Award, or in connection with the authorization of a new standard form or forms; provided, however, that the terms and conditions of any such new, revised or amended standard form or forms of Award Agreement are not inconsistent with the terms of the Plan.

8.              Change in Control.

8.1           Effect of Change in Control on Awards. Subject to the requirements and limitations of Section 409A of the Code, if applicable, the Board may provide for any one or more of the following:

a.              Accelerated Vesting. The Board may, in its discretion, provide in any Award Agreement or, in the event of a Change in Control, may take such actions as it deems appropriate to provide for the acceleration of the exercisability and/or vesting in connection with such Change in Control of each or any outstanding Award or portion thereof and shares acquired pursuant thereto upon such conditions, including termination of the Participant’s Service prior to, upon, or following such Change in Control, to such extent as the Board shall determine.

b.              Assumption, Continuation or Substitution of Awards. In the event of a Change in Control, the surviving, continuing, successor, or purchasing corporation or other business entity or parent thereof, as the case may be (the “Acquiror”), may, without the consent of any Participant, assume or continue the Company’s rights and obligations under each or any Award or portion thereof outstanding immediately prior to the Change in Control, or substitute for each or any such outstanding Award or portion thereof a substantially equivalent award with respect to the Acquiror’s stock. Shares acquired pursuant to an Award prior to the Change in Control and any consideration received pursuant to the Change in Control with respect to such shares shall continue to be subject to all applicable provisions of the Award Agreement evidencing such Award, except as otherwise provided in such Award Agreement.

c.              Cash-Out of Outstanding Awards. The Board may, in its discretion and without the consent of any Participant, determine that, upon the occurrence of a Change in Control, each or any Award or portion thereof outstanding immediately prior to the Change in Control shall be canceled in exchange for a payment with respect to each vested share (and each unvested share, if so determined by the Board) of Stock subject to such canceled Award in (i) cash, (ii) stock of the Company or of a corporation or other business entity a party to the Change in Control, or (iii) other property which, in any such case, shall be in an amount having a Fair Market Value equal to the Fair Market Value of the consideration to be paid per share of Stock in the Change in Control, reduced by the purchase price per share, if any, under such Award. If any portion of such consideration may be received by holders of Stock pursuant to the Change in Control on a contingent or delayed basis, the Board may, in its sole discretion, determine such Fair Market Value per share as of the time of the Change in Control on the basis of the Board’s good faith estimate of the present value of the probable future payment of such consideration. In the event such determination is made by the Board, the amount of such payment (reduced by applicable withholding taxes, if any) shall be paid to Participants in respect of the vested portions of their canceled Awards as soon as practicable following the date of the Change in Control and in respect of the unvested portions of their canceled Awards in accordance with the vesting schedules applicable to such Awards.

d.              Other Treatment of Awards. Subject to any greater rights granted to Participants under this Section 8.1, in the event of a Change in Control, any outstanding Awards will be treated as provided in the applicable agreement of reorganization, merger, consolidation, dissolution, liquidation or sale of assets.

8.2           Federal Excise Tax Under Section 4999 of the Code.

a.              Excess Parachute Payment. If any acceleration of vesting pursuant to an Award and any other payment or benefit received or to be received by a Participant would subject the Participant to any excise tax pursuant to Section 4999 of the Code due to the characterization of such acceleration of vesting, payment or benefit as an “excess parachute payment” under Section 280G of the Code, then, provided such election would not subject the Participant to taxation under Section 409A of the Code, the Participant may elect, in his or her sole discretion, to reduce the amount of any acceleration of vesting called for under the Award in order to avoid such characterization.

b.              Determination by Independent Accountants. To aid the Participant in making any election called for under Section 8.2a, no later than the date of the occurrence of any event that might reasonably be anticipated to result in an “excess parachute payment” to the Participant as described in Section 8.2a, the Company shall request a determination in writing by independent public accountants selected by the Company (the “Accountants”). As soon as practicable thereafter, the Accountants shall determine and report to the Company and the Participant the amount of such acceleration of vesting, payments and benefits which would produce the greatest after-tax benefit to the Participant. For the purposes of such determination, the Accountants may rely on reasonable, good-faith interpretations concerning the application of Sections 280G and 4999 of the Code. The Company and Participant shall provide the Accountants such information and documents as the Accountants may reasonably request in order to make their required determination. The Company shall bear all fees and expenses the Accountants may reasonably charge in connection with their services contemplated by this Section 8.2b.

9.              Tax Withholding.

9.1           Tax Withholding in General. The Company shall have the right to deduct from any and all payments made under the Plan, or to require the Participant, through payroll withholding, cash payment or otherwise, to make adequate provision for, the federal, state, local and foreign taxes (including any social insurance tax), if any, required by law to be withheld by a Participating Company with respect to an Award or the shares acquired pursuant thereto. The Company shall have no obligation to deliver shares of Stock or to release shares of Stock from an escrow established pursuant to an Award Agreement until the Participating Company’s tax withholding obligations have been satisfied by the Participant.

9.2           Withholding in Shares. The Company shall have the right, but not the obligation, to accept from the Participant the tender of, a number of whole shares of Stock having a Fair Market Value, as determined by the Company, equal to all or any part of the tax withholding obligations of a Participating Company. The Fair Market Value of any shares of Stock withheld or tendered to satisfy any such tax withholding obligations shall not exceed the amount determined by the applicable minimum statutory withholding rates.

10.           Compliance with Securities Law. The grant of Awards and the issuance of shares of Stock pursuant to any Award shall be subject to compliance with all applicable requirements of federal, state and foreign law with respect to such securities and the requirements of any stock exchange or market system upon which the Stock may then be listed. In addition, no shares may be issued pursuant to an Award unless (a) a registration statement under the Securities Act shall at the time of such issuance be in effect with respect to the shares issuable pursuant to the Award or (b) the shares issuable pursuant to the Award may be issued in accordance with the terms of an applicable exemption from the registration requirements of the Securities Act. The inability of the Company to obtain from any regulatory body having jurisdiction the authority, if any, deemed by the Company’s legal counsel to be necessary to the lawful issuance and sale of any shares hereunder shall relieve the Company of any liability in respect of the failure to issue or sell such shares as to which such requisite authority shall not have been obtained. As a condition to issuance of any Stock, the Company may require the Participant to satisfy any qualifications that may be necessary or appropriate, to evidence compliance with any applicable law or regulation and to make any representation or warranty with respect thereto as may be requested by the Company.

11.           Amendment or Termination of Plan. The Board may amend, suspend or terminate the Plan at any time. However, without the approval of the Company’s stockholders, there shall be (a) no increase in the maximum aggregate number of shares of Stock that may be issued under the Plan (except by operation of the provisions of Section 4.2) or (b) no other amendment of the Plan that would require approval of the Company’s stockholders under any applicable law, regulation or rule, including the rules of any stock exchange or market system upon which the Stock may then be listed. No amendment, suspension or termination of the Plan shall affect any then-outstanding Award unless expressly provided by the Board. Except as provided by the next sentence, no amendment, suspension or termination of the Plan may adversely affect any then-outstanding Award without the consent of the Participant. Notwithstanding any other provision of the Plan or any Award Agreement to the contrary, the Board may, in its sole and absolute discretion and without the consent of any Participant, amend the Plan or any Award Agreement, to take effect retroactively or otherwise, as it deems necessary or advisable for the purpose of conforming the Plan or such Award Agreement to any present or future law, regulation or rule applicable to the Plan, including, but not limited to, Section 409A of the Code.

12.           Miscellaneous Provisions.

12.1        Repurchase Rights. Shares issued under the Plan may be subject to forfeiture, a right of first refusal, one or more repurchase options, or other conditions and restrictions as determined by the Board in its discretion at the time the Award is granted. The Company shall have the right to assign at any time any repurchase right it may have, whether or not such right is then exercisable, to one or more persons as may be selected by the Company. Upon request by the Company, each Participant shall execute any agreement evidencing such transfer restrictions prior to the receipt of shares of Stock hereunder, and shall promptly present to the Company any and all certificates representing shares of Stock acquired hereunder for the placement on such certificates of appropriate legends evidencing any such transfer restrictions.

12.2        Exchange or Buyout of Awards. The Board may authorize the Company to issue new Awards in exchange for the surrender and cancellation of outstanding Awards. The Board may at any time buy from a Participant an outstanding Award with payment in cash, Stock, or other consideration. Except as set forth in Section 8.1c. in the event of a Change in Control, the exchange or buyout of outstanding Awards shall be subject to the terms and conditions set by the Board and may occur only with the consent of Participant.

12.3        Rights as Employee, Consultant or Director. No person, even though eligible pursuant to Section 5, shall have a right to be selected as a Participant, or, having been so selected, to be selected again as a Participant. Nothing in the Plan or any Award granted under the Plan shall confer on any Participant a right to remain an Employee, Consultant or Director, or interfere with or limit in any way any right of a Participating Company to terminate the Participant’s Service at any time. To the extent that an Employee of a Participating Company other than the Company receives an Award under the Plan, that Award shall in no event be understood or interpreted to mean that the Company is the Employee’s employer or that the Employee has an employment relationship with the Company.

12.4        Rights as a Stockholder. A Participant shall have no rights as a stockholder with respect to any shares covered by an Award until the date of the issuance of such shares (as evidenced by the appropriate entry on the books of the Company or of a duly authorized transfer agent of the Company). No adjustment shall be made for dividends, distributions or other rights for which the record date is prior to the date such shares are issued, except as provided in Section 4.2 or another provision of the Plan.

12.5        Delivery of Title to Shares. Subject to any governing rules or regulations, the Company shall issue or cause to be issued the shares of Stock acquired pursuant to an Award, and shall deliver such shares to or for the benefit of the Participant by means of one or more of the following: (a) by delivering to the Participant evidence of book entry shares of Stock credited to the account of the Participant, (b) by depositing such shares of Stock for the benefit of the Participant with any broker with which the Participant has an account relationship, or (c) by delivering such shares of Stock to the Participant in certificate form.

12.6        Fractional Shares. The Company shall not be required to issue fractional shares upon the settlement of any Award.

12.7        Retirement and Welfare Plans. Neither Awards made under this Plan nor shares of Stock or cash paid pursuant to such Awards shall be included as “compensation” for purposes of computing the benefits payable to any Participant under any Participating Company’s retirement plans (both qualified and non-qualified) or welfare benefit plans, unless such other plan expressly provides that such compensation shall be taken into account in computing such benefits.

12.8        Section 409A of the Code. Notwithstanding other provisions of the Plan or any Award Agreements hereunder, no Award shall be granted, deferred, accelerated, extended, paid out or modified under this Plan in a manner that would result in the imposition of an additional tax under Section 409A of the Code upon a Participant. In the event that it is reasonably determined by the Board that, as a result of Section 409A of the Code, payments in respect of any Award under the Plan may not be made at the time contemplated by the terms of the Plan or the relevant Award Agreement, as the case may be, without causing the Participant holding such Award to be subject to taxation under Section 409A of the Code, including as a result of the fact that the Participant is a “specified employee” under Section 409A of the Code, the Company will make such payment on the first day that would not result in the Participant incurring any tax liability under Section 409A of the Code. The Company shall use commercially reasonable efforts to implement the provisions of this Section 12.8 in good faith; provided that neither the Company, the Board nor any of the Company’s employees, directors or representatives shall have any liability to Participants with respect to this Section 12.8.

12.9        Severability. If any one or more of the provisions (or any part thereof) of this Plan shall be held invalid, illegal or unenforceable in any respect, such provision shall be modified so as to make it valid, legal and enforceable, and the validity, legality and enforceability of the remaining provisions (or any part thereof) of the Plan shall not in any way be affected or impaired thereby.

12.10     No Constraint on Corporate Action. Nothing in this Plan shall be construed to: (a) limit, impair, or otherwise affect the Company’s or another Participating Company’s right or power to make adjustments, reclassifications, reorganizations, or changes of its capital or business structure, or to merge or consolidate, or dissolve, liquidate, sell, or transfer all or any part of its business or assets; or (b) limit the right or power of the Company or another Participating Company to take any action which such entity deems to be necessary or appropriate.

12.11     Choice of Law. Except to the extent governed by applicable federal law, the validity, interpretation, construction and performance of the Plan and each Award Agreement shall be governed by the laws of the State of Texas, without regard to its conflict of law rules.

12.12     Stockholder Approval. The Plan or any increase in the maximum aggregate number of shares of Stock issuable thereunder as provided in Section 4.1 (the “Authorized Shares”) shall be approved by a majority of the outstanding Stock of the Company entitled to vote within twelve (12) months before or after the date of adoption thereof by the Board. Awards granted prior to security holder approval of the Plan or in excess of the Authorized Shares previously approved by the security holders shall become exercisable no earlier than the date of security holder approval of the Plan or such increase in the Authorized Shares, as the case may be.

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EX1A-11 CONSENT 8 ex11.htm CONSENT OF AUDITOR Consent of Independent Auditor PMB Helin Donovan

CONSENT OF INDEPENDENT AUDITOR

We consent to the use in the Offering Circular constituting a part of this Offering Statement on Form 1-A, as it may be amended, of our Report of Independent Registered Public Accounting Firm dated April 10, 2018 relating to the consolidated balance sheets of Fifteen Five Corporation as of December 31, 2017 and 2016, and the related consolidated statements of income, changes in stockholder's equity, and cash flows for years then ended, and the related notes to the financial statements.

PMB HELIN DONOVAN, LLP

/s/ PMB Helin Donovan, LLP

Austin, Texas
August 17, 2018

EX1A-12 OPN CNSL 9 ex12.htm OPINION OF COUNSEL Opinion as to Validity of Securities

Stokesbary PLLC

December 10, 2018

Fifteen Five Partners PBC
Attention: Board of Directors
901 Crystal Falls Parkway, Suite 207
Leander, Texas 78641

Re: Opinion of Counsel

To the Board of Directors:

Stokesbary PLLC (the “Firm”) is acting as counsel to Fifteen Five Partners PBC (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 250,000 shares of the Company’s Class A Common Stock.

In connection with the opinion contained herein, the Firm has examined the offering statement, the certificates of incorporation and bylaws, the minutes of meetings of the Company’s board of directors, as well as all other documents necessary to render an opinion. In the Firm’s examination, it has 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, the Firm is of the opinion that the shares of Class A Common Stock being sold pursuant to the offering statement are 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.

The Firm further consents to the use of this opinion as an exhibit to the offering statement.

Very truly yours,

/s/ Stokesbary PLLC

1003 Main Street, Suite 5, Sumner, Washington 98390 | (206) 486-0795 | info@stokesbarypllc.com | www.stokesbarypllc.com

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