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M12!$25-44DE"551)3TX@04=2145-14Y4*0TO0W)E871I;VY$871E("A$.C(P
M,#,P.#(P,3,R-C`W*0T^/B`-96YD;V)J#3(V(#`@;V)J#3P\(`TO5'EP92`O
M4&%G97,@#2]+:61S(%L@,CD@,"!2(#$@,"!2(#0@,"!2(#<@,"!2(#$P(#`@
M4B`Q,R`P(%(@,38@,"!2(#$Y(#`@4B!=(`TO0V]U;G0@."`-/CX@#65N9&]B
M:@UX<F5F#3`@,C<@#3`P,#`P,#`P,#`@-C4U,S4@9@T*,#`P,#`Q,#8W,R`P
M,#`P,"!N#0HP,#`P,#$P.#(T(#`P,#`P(&X-"C`P,#`P,3`Y-S`@,#`P,#`@
M;@T*,#`P,#`Q-3DW-"`P,#`P,"!N#0HP,#`P,#$V,3(U(#`P,#`P(&X-"C`P
M,#`P,38R-S$@,#`P,#`@;@T*,#`P,#`R,#DX,B`P,#`P,"!N#0HP,#`P,#(Q
M,3,S(#`P,#`P(&X-"C`P,#`P,C$R-SD@,#`P,#`@;@T*,#`P,#`R-C0R-B`P
M,#`P,"!N#0HP,#`P,#(V-3@P(#`P,#`P(&X-"C`P,#`P,C8W,SD@,#`P,#`@
M;@T*,#`P,#`S,#<V,"`P,#`P,"!N#0HP,#`P,#,P.3$T(#`P,#`P(&X-"C`P
M,#`P,S$P-C$@,#`P,#`@;@T*,#`P,#`S-38S-2`P,#`P,"!N#0HP,#`P,#,U
M-S@Y(#`P,#`P(&X-"C`P,#`P,S4Y-#@@,#`P,#`@;@T*,#`P,#`T,#<X,"`P
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M;@T*,#`P,#`T,C`X.2`P,#`P,"!N#0HP,#`P,#0R,34R(#`P,#`P(&X-"C`P
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H,C4Y-&-E968R86-F-V(^70T^/@US=&%R='AR968-,3<S#24E14]&#3\_
`
end

</PDF>Exhibit 10.1

 

THIS
NOTE AND THE COMMON SHARES ISSUABLE UPON CONVERSION OF THIS NOTE HAVE NOT BEEN
REGISTERED UNDER THE SECURITIES ACT OF 1933, AS AMENDED.  THIS NOTE AND THE COMMON SHARES ISSUABLE
UPON CONVERSION OF THIS NOTE MAY NOT BE SOLD, OFFERED FOR SALE, PLEDGED OR
HYPOTHECATED IN THE ABSENCE OF AN EFFECTIVE REGISTRATION STATEMENT AS TO THIS
NOTE UNDER SAID ACT OR AN OPINION OF COUNSEL REASONABLY SATISFACTORY TO ARTEMIS
INTERNATIONAL SOLUTIONS CORP., THAT SUCH REGISTRATION IS NOT REQUIRED.

 

SECURED
CONVERTIBLE NOTE

 

FOR VALUE RECEIVED, ARTEMIS INTERNATIONAL SOLUTIONS
CORP., a Delaware corporation (hereinafter called the “Borrower”), hereby promises
to pay to LAURUS MASTER FUND, LTD., c/o Ironshore Corporate Services Ltd., P.O.
Box 1234 G.T., Queensgate House, South Church Street, Grand Cayman, Cayman
Islands, Fax: 345-949-9877 (the “Holder”) or its registered assigns, on
order, without demand, the sum of Five Million Dollars ($5,000,000), or such
other amount as may due and owing from time to time by Borrower to Holder
pursuant to the terms of the Security Agreement (as hereafter defined) (the “Principal
Amount”), together with any accrued and unpaid interest, on August
14, 2006 (the “Maturity Date”).

 

Capitalized terms used herein without definition shall
have the meanings ascribed to such terms in the Security Agreement between the
Borrower and the Holder dated the date hereof (as amended, modified and
supplemented from time to time, the “Security Agreement”).

 

The following terms shall apply to this Note:

 

ARTICLE
I

 

INTEREST

 

1.1.  Interest
Rate.  Subject to Section 1.2
hereof, interest on this Note shall be payable at the Contract Rate in
accordance with the terms of the Security Agreement.

 

1.2.   Default
Rate.  Following the occurrence and
during the continuance of an Event of Default, interest on this Note shall be
payable at the Default Rate.

ARTICLE
II

 

ADVANCES
UNDER NOTE

 

2.1.  Mechanics
of Advances.  All Revolving Credit
Advances evidenced by this Note shall be made in accordance with the terms and
provisions of the Security Agreement.

 

 

ARTICLE
III

 

CONVERSION
RIGHTS

 

3.1.  Optional
Conversion. Subject to the terms of this Article III, the Holder shall have
the right, but not the obligation, at any time until the Maturity Date or
thereafter during an Event of Default (as defined in Article V), to convert all
or any portion of the outstanding Principal Amount and/or accrued interest and
fees due and payable into fully paid and nonassessable shares of Common Stock
at the conversion price set forth in Section 3.2 (the “Conversion Price”). The
shares of Common Stock to be issued upon such conversion are herein referred to
as the “Conversion
Shares.”

 

3.2.  Conversion
Price. Subject to adjustment as provided in Section 3.6 hereof, the
Conversion Price per share shall be $2.50 (the “Fixed Conversion Price).
Notwithstanding the foregoing, the Fixed Conversion Price shall be adjusted
upward immediately following any conversion under Sections 3.1 and/or 3.9
hereof resulting in the issuance on a cumulative basis of any multiple of
190,000 shares (each, a “Specified Event”). 
Following the occurrence of each Specified Event, the Fixed Conversion
Price shall be adjusted upward based on a formula equal to the volume weighted
average closing prices for the Common Stock on the Principal Market, or on any
securities exchange or other securities market on which the Common Stock is
then being listed or traded, for the five (5) trading days immediately prior to
the occurrence of the Specified Event.

 

3.3.  Conversion
Limitation. Notwithstanding anything contained herein to the contrary, the
Holder shall not be entitled to convert pursuant to the terms of this Note an
amount that would be convertible into that number of Conversion Shares which
would exceed the difference between the number of shares of Common Stock
beneficially owned by such holder or issuable upon exercise of warrants held by
such holder and 2.5% of the outstanding shares of Common Stock of the
Borrower.  For the purposes of the
immediately preceding sentence, beneficial ownership shall be determined in
accordance with Section 13(d) of the Exchange Act and Regulation 13d-3
thereunder.  The Holder may void the
Conversion Share limitation described in this Section 3.3 upon an Event of
Default if the Event of Default is not otherwise cured or waived.

 

3.4.  Mechanics
of Conversion. In the event that the Holder elects to convert this Note
into Common Stock, the Holder shall give notice of such election by delivering
an executed and completed notice of conversion (“Notice of Conversion”) to the
Borrower and such Notice of Conversion shall provide a breakdown in reasonable
detail of the amount of Principal Amount, accrued interest and fees that are
being converted.  On each Conversion
Date (as hereinafter defined) and in accordance with its Notice of Conversion,
the Holder shall make the appropriate reduction to the Principal Amount,
accrued interest and fees as entered in its records and shall provide written
notice thereof to the Borrower within two (2) business days after the
Conversion Date.  Each date on which a
Notice of Conversion is delivered or telecopied to the Borrower in accordance
with the provisions hereof shall be deemed a Conversion Date (the “Conversion
Date”).  A form of Notice of
Conversion that may be employed by the Holder is annexed hereto as Exhibit
A.  The Borrower will cause the transfer
agent to transmit the certificates representing the Conversion Shares to the
Holder by crediting the account of the

 

2

 

Holder’s designated broker with the Depository Trust Corporation (“DTC”)
through its Deposit Withdrawal Agent Commission (“DWAC”) system within three
(3) business days after receipt by the Borrower of the Notice of Conversion
(the “Delivery
Date”).

 

In the case of the exercise of the conversion rights
set forth herein the conversion privilege shall be deemed to have been
exercised and the Conversion Shares issuable upon such conversion shall be
deemed to have been issued upon the date of receipt by the Borrower of the
Notice of Conversion.  The Holder shall
be treated for all purposes as the record holder of such Common Stock, unless
the Holder provides the Borrower written instructions to the contrary.

 

3.5.  Late
Payments. The Borrower understands that a delay in the delivery of the
shares of Common Stock in the form required pursuant to this Article beyond the
Delivery Date could result in economic loss to the Holder.  As compensation to the Holder for such loss,
the Borrower agrees to pay late payments to the Holder for late issuance of
such shares in the form required pursuant to this Article III upon conversion
of the Note, in the amount equal to the greater of (i) $500 per business day
after the Delivery Date and (ii) the Holder’s actual damages from such delayed
delivery.  The Borrower shall pay any
payments incurred under this Section in immediately available funds upon demand
and, in the case of actual damages, accompanied by reasonable documentation of
the amount of such damages.

 

3.6.  Adjustment
Provisions. The Fixed Conversion Price and number and kind of shares or
other securities to be issued upon conversion determined pursuant to Sections
3.1 and 3.2, shall be subject to adjustment from time to time upon the
happening of certain events while this conversion right remains outstanding, as
follows:

 

A.            Reclassification,
etc.  If the Borrower at any time
shall, by reclassification or otherwise, change the Common Stock into the same
or a different number of securities of any class or classes, this Note, as to
the unpaid Principal Amount and accrued interest thereon, shall thereafter be
deemed to evidence the right to purchase an adjusted number of such securities
and kind of securities as would have been issuable as the result of such change
with respect to the Common Stock immediately prior to such reclassification or
other change.

 

B.            Stock
Splits, Combinations and Dividends. 
If the shares of Common Stock are subdivided or combined into a greater
or smaller number of shares of Common Stock, or if a dividend is paid on the
Common Stock in shares of Common Stock, the Fixed Conversion Price shall be
proportionately reduced in case of subdivision of shares or stock dividend or
proportionately increased in the case of combination of shares, in each such
case by the ratio which the total number of shares of Common Stock outstanding
immediately after such event bears to the total number of shares of Common
Stock outstanding immediately prior to such event.

 

C.            Share
Issuances.  Subject to the provisions
of this Section 3.6, if the Borrower shall at any time prior to the conversion
or repayment in full of the Principal Amount issue any shares of Common Stock
to a person other than the Holder (other than issuance of shares (i) pursuant
to Subsections A or B above; (ii) pursuant to options, warrants, or other
obligations to issue shares outstanding on the date hereof as disclosed to
Holder in writing; or (iii) pursuant to options that may be issued under any
employee incentive stock option and/or

 

3

 

any qualified stock
option plan adopted by the Borrower for a consideration per share (the “Offer
Price”) less than the Fixed Conversion Price in effect at the time of such
issuance), then the Fixed Conversion Price shall be immediately reset to such
lower Offer Price. For purposes hereof, the issuance of any security of the
Borrower convertible into or exercisable or exchangeable for Common Stock shall
result in an adjustment to the Fixed Conversion Price only upon the conversion,
exercise or exchange of such securities.

 

D.            Computation of Consideration.
For purposes of any computation respecting consideration received pursuant to
Subsection C above, the following shall apply:

 

(a)           in the case of the issuance of shares
of Common Stock for cash, the consideration shall be the amount of such cash,
provided that in no case shall any deduction be made for any commissions,
discounts or other expenses incurred by the Company for any underwriting of the
issue or otherwise in connection therewith;

 

(b)           in the case of the issuance of shares
of Common Stock for a consideration in whole or in part other than cash, the
consideration other than cash shall be deemed to be the fair market value
thereof as determined in good faith by the Board of Directors of the Company
(irrespective of the accounting treatment thereof); and

 

(c)           in the case of the issuance of
securities convertible into or exchangeable for shares of Common Stock, the
aggregate consideration received therefor shall be deemed to be the
consideration received by the Company for the issuance of such securities plus
the additional minimum consideration, if any, to be received by the Company
upon the conversion or exchange thereof (the consideration in each case to be
determined in the same manner as provided in clauses (a) and (b) of this
Subsection (D)).

 

3.7.  Reservation
of Shares. During the period the conversion right exists, the Borrower will
reserve from its authorized and unissued Common Stock a sufficient number of
shares to provide for the issuance of Common Stock upon the full conversion of
this Note subject to the limitations provided for in Section 3.3.  The Borrower represents that upon issuance,
such shares will be duly and validly issued, fully paid and non-assessable.  The Borrower agrees that its issuance of
this Note shall constitute full authority to its officers, agents, and transfer
agents who are charged with the duty of executing and issuing stock certificates
to execute and issue the necessary certificates for shares of Common Stock upon
the conversion of this Note.

 

3.8.  Registration
Rights.  The Holder has been granted
registration rights with respect to the shares of Common Stock issuable upon
conversion of this Note as more fully set forth in a Registration Rights
Agreement dated the date hereof.

 

3.9.  Required
Conversion.  In the event that the
Common Stock trades on the Principal Market at a price greater than 115% of the
Fixed Conversion Price for a period of at least eleven (11) consecutive trading
days, then the Borrower may, at its sole option, provide the Holder irrevocable
written notice (“Call Notice”) requiring the conversion at the Fixed Conversion
Price of all or a portion of the Note held by the Holder (subject to the
limitation provided for in Section 3.3) as of the date set forth in such Call
Notice (the “Call Date”). The Call Date shall be at least eleven (11)
trading days following the date of the Call Notice,

 

4

 

provided a registration statement covering resales of that number of
Conversion Shares provided for in the Call Notice has been declared effective
and is available for use.  The number of
Conversion Shares to be issued in connection with any such conversion pursuant
to a particular Call Notice pursuant to this Section 3.9 shall not exceed 25%
of the aggregate dollar trading volume of the Common Stock for the eleven (11)
trading days immediately preceding the Call Date.  If the price of the Common Stock falls below 115% of the
Conversion Price during the eleven (11) trading day period preceding the Call
Date, then the Holder will no longer be required to convert the Note pursuant
to such Call Notice.

 

ARTICLE
IV

 

EVENT OF DEFAULT

 

The occurrence of any of the following events is an
Event of Default (“Event of Default”):

 

4.1.  Failure
to Pay Principal, Interest or other Fees. 
The Borrower fails to pay any installment of principal, interest or
other fees hereon or on any other promissory note issued pursuant to the
Security Agreement, when due, provided however, that the Company shall have
five (5) business days to cure such payment default.

 

4.2.  Breach
of Covenant.  The Borrower breaches
any covenant or other term or condition of this Note in any material respect
and such breach, if subject to cure, continues for a period of ten (10) days
after the occurrence thereof.

 

4.3.   Breach
of Representations and Warranties. 
any material representation, warranty or statement made by the Company
or the Subsidiary Guarantor hereunder, in any Ancillary Agreement, any
certificate, statement or document delivered pursuant to the terms hereof, or
in connection with the transactions contemplated by this Agreement should at
the time made be false or misleading in any material respect;.

 

4.4.   Receiver
or Trustee.  if the Company or the
Subsidiary Guarantor shall (i) apply for, consent to or suffer to exist the
appointment of, or the taking of possession by, a receiver, custodian, trustee
or liquidator of itself or of all or a substantial part of its property, (ii)
make a general assignment for the benefit of creditors, (iii) commence a
voluntary case under the federal bankruptcy laws (as now or hereafter in
effect), (iv) be adjudicated a bankrupt or insolvent, (v) file a petition
seeking to take advantage of any other law providing for the relief of debtors,
(vi) acquiesce to, or fail to have dismissed, within thirty (30) days, any
petition filed against it in any involuntary case under such bankruptcy laws,
or (vii) take any action for the purpose of effecting any of the foregoing;

 

4.5.  
Judgments.  Any money judgment, writ
or similar final process shall be entered or filed against the Borrower or any
of its property or other assets for more than $250,000, and shall remain
unvacated, unbonded or unstayed for a period of ninety (90) days.

 

4.6. 
Intentionally omitted.

 

5

 

4.7.  Stop
Trade.  An SEC stop trade order or
Principal Market trading suspension of the Common Stock for 5 consecutive days
or 5 days during a period of 10 consecutive days, excluding in all cases a
suspension of all trading on a Principal Market.

 

4.8.  Default
Under Related Agreement.  The
occurrence of an Event of Default under and as defined in the Security
Agreement.

 

ARTICLE
V

 

 

5.1.  Cumulative
Remedies.  The remedies under this
Note shall be cumulative.

 

ARTICLE
VI

 

MISCELLANEOUS

 

6.1.  Failure
or Indulgence Not Waiver.  No
failure or delay on the part of the Holder hereof in the exercise of any power,
right or privilege hereunder shall operate as a waiver thereof, nor shall any
single or partial exercise of any such power, right or privilege preclude other
or further exercise thereof or of any other right, power or privilege.  All rights and remedies existing hereunder
are cumulative to, and not exclusive of, any rights or remedies otherwise
available.

 

6.2.  Notices.  Any notice herein required or permitted to
be given shall be in writing and provided in accordance with the terms of the
Security Agreement.

 

6.3.  
Amendment Provision.  The term
“Note” and all reference thereto, as used throughout this instrument, shall
mean this instrument as originally executed, or if later amended or
supplemented, then as so amended or supplemented.

 

6.4.  Assignability.  This Note shall be binding upon the Borrower
and its successors and assigns, and shall inure to the benefit of the Holder
and its successors and assigns, and may be assigned by the Holder.

 

6.5.  Cost of
Collection.  If default is made in
the payment of this Note, the Borrower shall pay the Holder hereof reasonable
costs of collection, including reasonable attorneys’ fees.

 

6.6.  Governing
Law, Dispute Resolution.

 

(a)     This agreement and the ancillary agreements
shall be governed by and construed and enforced in accordance with the laws of
the state of New York applicable to contracts made and performed in such state,
without regard to the conflicts of law provisions thereof

 

(b) Any dispute,
controversy or claim arising under, out of or relating to this Agreement,
including, without limitation, its formation, validity, binding effect,

 

6

 

interpretation,
performance, breach or termination, as well as non-contractual claims, shall be
referred to and finally determined by arbitration in accordance with the
Commercial Arbitration Rules (“Rules”) of the American Arbitration Association
(“AAA”) and conducted by a single arbitrator in accordance with the Rules in
the City of New York, State of New York. 
In the event of any conflict between this Agreement and such rules, the
provisions of this Agreement shall govern.

 

(c) The arbitrator
shall not have the authority, power, or right to alter, change, amend, modify,
add, or subtract from any provision of this Agreement or to award punitive
damages. The decision of the arbitrator shall be final and incontestably
binding upon the parties and not subject to appeal.  Judgment upon any award may be entered in any court of competent
jurisdiction.  Each party shall share
equally the fees and expenses of the arbitrator.  Prevailing party shall be entitled to recover from the opposing
party all attorneys fees, costs, expenses, and costs of arbitration.  This arbitration provision shall be deemed
to be self-executing, and in the event that either party fails to appear at any
properly noticed arbitration proceeding, an award may be entered against such
party notwithstanding said failure to appear.  

 

6.7.  Maximum
Payments.  Nothing contained herein
shall be deemed to establish or require the payment of a rate of interest or
other charges in excess of the maximum permitted by applicable law.  In the event that the rate of interest
required to be paid or other charges hereunder exceed the maximum permitted by
such law, any payments in excess of such maximum shall be credited against
amounts owed by the Borrower to the Holder and thus refunded to the Borrower.

 

6.8.  Security
Interest.  The Holder of this Note
has been granted a security interest in certain assets of the Borrower more
fully described in the Security Agreement.

 

6.9.  Construction.  Each party acknowledges that its legal
counsel participated in the preparation of this Note and, therefore, stipulates
that the rule of construction that ambiguities are to be resolved against the
drafting party shall not be applied in the interpretation of this Note to favor
any party against the other.

 

7

 

IN WITNESS WHEREOF, the Borrower has caused
this Note to be signed in its name effective as of this 14th day of August, 2003.

 

	
   

  	
  ARTEMIS INTERNATIONAL SOLUTIONS

  CORPORATION

  
	
   

  	
   

  
	
   

  	
  By:

  	
   

  	
   

  
	
   

  	
   

  
	
  WITNESS:

  	
   

  
	
   

  	
   

  
	
   

  	
   

  	
   

  
					

 

8

 

NOTICE
OF CONVERSION

 

 

(To be executed by the Holder in order to convert the Note)

 

 

The undersigned hereby elects to convert
$                   of
the principal and
$                   of
the interest due on the Note issued by ARTEMIS INTERNATIONAL SOLUTIONS
CORPORATION on June 30, 2003 into Shares of Common Stock of ARTEMIS
INTERNATIONAL SOLUTIONS CORPORATION (the “Company”) according to the conditions
set forth in such Note, as of the date written below.

 

	
  Date of Conversion:

  	
   

  	
   

  
	
   

  	
   

  
	
  Conversion Price:

  	
   

  	
   

  
	
   

  	
   

  
	
  Shares To Be Delivered:

  	
   

  	
   

  
	
   

  	
   

  
	
  Signature:

  	
   

  	
   

  
	
   

  	
   

  
	
  Print Name:

  	
   

  	
   

  
	
   

  	
   

  
	
  Address:

  	
   

  	
   

  
	
   

  	
   

  	
   

  
	
   

  	
   

  	
   

  

 

9

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