Document:

uscrpurchaseagreement

Exhibit 10.1   $200,000,000   U.S. CONCRETE, INC.   8.500% Senior Secured Notes due 2018   Purchase Agreement            November 19, 2013   J.P. Morgan Securities LLC     As Representative of the     several Initial Purchasers listed     in Schedule 1 hereto   c/o J.P. Morgan Securities LLC   383 Madison Avenue   New York, New York 10179   Ladies and Gentlemen:    U.S. Concrete, Inc., a Delaware corporation (the “Company”), proposes to issue   and sell to the several initial purchasers listed in Schedule 1 hereto (the “Initial   Purchasers”), for whom you are acting as representative (the “Representative”),   $200,000,000 principal amount of its 8.500% Senior Secured Notes due 2018 (the   “Securities”).  The Securities will be issued pursuant to an Indenture to be dated as of   November22, 2013 (the “Indenture”) among the Company, the guarantors listed in   Schedule 2 hereto (the “Guarantors”) and U.S. Bank National Association, as trustee (the   “Trustee”) and as collateral agent (the “Collateral Agent”), and will be guaranteed on a   senior secured basis by each of the Guarantors (the “Guarantees”).    The Securities will be sold to the Initial Purchasers without being registered under   the Securities Act of 1933, as amended (the “Securities Act”), in reliance upon an   exemption therefrom.  The Company and the Guarantors have prepared a preliminary   offering memorandum dated November 7, 2013 (the “Preliminary Offering   Memorandum”) and will prepare an offering memorandum dated the date hereof (the   “Offering Memorandum”) setting forth information concerning the Company, the   Guarantors and the Securities.  Copies of the Preliminary Offering Memorandum have   been, and copies of the Offering Memorandum will be, delivered by the Company to the   Initial Purchasers pursuant to the terms of this purchase agreement (the “Agreement”).    The Company hereby confirms that it has authorized the use of the Preliminary Offering   Memorandum, the other Time of Sale Information (as defined below) and the Offering   Memorandum in connection with the offering and resale of the Securities by the Initial   Purchasers in the manner contemplated by this Agreement.  Capitalized terms used but   not defined herein shall have the meanings given to such terms in the Preliminary   Offering Memorandum.  References herein to the Preliminary Offering Memorandum,   the Time of Sale Information and the Offering Memorandum shall be deemed to refer to   and include any document incorporated by reference therein and any reference to   “amend,” “amendment” or “supplement” with respect to the Preliminary Offering     

 

2   Memorandum or the Offering Memorandum shall be deemed to refer to and include any   documents filed after such date and incorporated by reference therein.  References herein   to the Preliminary Offering Memorandum, the Time of Sale Information and the Offering   Memorandum shall be deemed to refer to and include the preliminary Canadian offering   memorandum dated November 7, 2013 (the “Preliminary Canadian Offering   Memorandum”) and the Canadian offering memorandum dated the date hereof (the   “Final Canadian Offering Memorandum”), respectively.     At or prior to the time when sales of the Securities were first made (the “Time of   Sale”), the Company had prepared the following information (collectively, the “Time of   Sale Information”): the Preliminary Offering Memorandum, as supplemented and   amended by the written communications listed on Annex A hereto.   The Company intends to use the proceeds of the offering of the Securities to (i)   repay all of the outstanding borrowings under its asset-based senior secured revolving   credit facility and redeem or otherwise retire all of its outstanding 9.50% Senior Secured   Notes due 2015 (the “Existing Notes”) (such uses, the “Transactions”) and (ii) for general   corporate purposes as described under “Use of Proceeds” in the Time of Sale   Information.    The Securities and the Guarantees will be secured by (a) a first-priority lien on   and security interest in the Notes Priority Collateral (as defined in the Time of Sale   Information), subject to certain exceptions as described in the Indenture and the   Collateral Documents (as defined below) and (b) a second-priority lien on and security   interest in the ABL Priority Collateral (as defined in the Time of Sale Information and,   together with the Notes Priority Collateral, the “Collateral”), in each case subject to   certain exceptions as described in the Indenture and the Collateral Documents and, in the   case of the Notes Priority Collateral, subject to Permitted Collateral Liens (as defined in   the Time of Sale Information) and, in the case of the ABL Priority Collateral, subject to   Permitted Liens (as defined in the Time of Sale Information). The ABL Priority   Collateral secures the First Amended and Restated Loan and Security Agreement,  dated   as of October 29, 2013, by and among the Company and certain of its subsidiaries, the   lenders thereto and Bank of America, N.A., as the administrative agent (the “Credit   Agreement”) on a first-priority basis and the Notes Priority Collateral secures the Credit   Agreement on a second-priority basis. The Collateral shall be described in: (a) with   respect to owned real property listed on Schedule 4 hereto, to be delivered in accordance   with Schedule 5 hereto, the mortgages, deeds of trust or deeds to secure debt   (collectively, the “Mortgages”), (b) with respect to personal property that constitutes   Collateral, the Pledge and Security Agreement to be dated as of the Closing Date (as   defined below) and entered into by the Company and the Guarantors (the “Security   Agreement”) and (c) with respect to the grants of security interest in registrations and/or   applications for trademarks, patents and copyrights (and exclusive licenses in any of the   foregoing), in either the Security Agreement or in the First Lien Patent and Trademark   Security Agreement, to be dated as of the Closing Date and entered into by each of the   Company and the Guarantors, as provided therein (the “Intellectual Property Security   Agreement”), each to be delivered to the Collateral Agent, granting a first-priority   security interest in the Notes Priority Collateral, subject to Permitted Collateral Liens and   a second-priority interest in the ABL Priority Collateral subject to Permitted Liens, in     

 

3   each case, for the benefit of the Collateral Agent and each holder of the Securities and the   successors and assigns of the foregoing.  The term “Collateral Documents” as used herein   shall mean the Mortgages, the Security Agreement and the Intellectual Property Security   Agreement.  The rights of the holders of the Securities with respect to the Collateral shall   be further governed by the Intercreditor Agreement, dated as of August 31, 2010, as   amended by the First Amendment to Intercreditor Agreement, dated as of March 22,   2013, as further amended by the Second Amendment Agreement to Intercreditor   Agreement, to be dated as of the Closing Date (the “Intercreditor Amendment   Agreement”; the Intercreditor Agreement as so amended, the “Intercreditor Agreement”),   by and among Bank of America, N.A., as successor in interest to JPMorgan Chase Bank,   N.A., as administrative agent, the Collateral Agent, the Company and each of the   Guarantors.    Holders of the Securities (including the Initial Purchasers and their direct and   indirect transferees) will be entitled to the benefits of a Registration Rights Agreement, to   be dated as of the Closing Date and substantially in the form attached hereto as Exhibit A   (the “Registration Rights Agreement”), pursuant to which the Company and the   Guarantors will agree to file one or more registration statements with the Securities and   Exchange Commission (the “Commission”) providing for the registration under the   Securities Act of the Securities or the Exchange Securities referred to (and as defined) in   the Registration Rights Agreement and the related Guarantees.    The Company and the Guarantors hereby confirm their agreement with the   several Initial Purchasers concerning the purchase and resale of the Securities, as follows:    1. Purchase and Resale of the Securities.      (a) The Company agrees to issue and sell the Securities to the several Initial   Purchasers as provided in this Agreement, and each Initial Purchaser, on the basis of the   representations, warranties and agreements set forth herein and subject to the conditions   set forth herein, agrees, severally and not jointly, to purchase from the Company the   respective principal amount of Securities set forth opposite such Initial Purchaser’s name   in Schedule 1 hereto at a price equal to 98.00% of the principal amount thereof plus   accrued interest, if any, from November 22, 2013 to the Closing Date.  The Company   will not be obligated to deliver any of the Securities except upon payment for all the   Securities to be purchased as provided herein.    (b) The Company understands that the Initial Purchasers intend to offer the   Securities for resale on the terms set forth in the Time of Sale Information.  Each Initial   Purchaser, severally and not jointly, represents, warrants and agrees that:    (i) it is a qualified institutional buyer within the meaning of   Rule 144A under the Securities Act (a “QIB”) and an accredited investor   within the meaning of Rule 501(a) of Regulation D under the Securities   Act (“Regulation D”);    (ii) it has not solicited offers for, or offered or sold, and will   not solicit offers for, or offer or sell, the Securities by means of any form     

 

4   of general solicitation or general advertising within the meaning of Rule   502(c) of Regulation D or in any manner involving a public offering   within the meaning of Section 4(a)(2) of the Securities Act; and    (iii) it has not solicited offers for, or offered or sold, and will   not solicit offers for, or offer or sell, the Securities as part of their initial   offering except:    (A) within the United States to persons whom it reasonably   believes to be QIBs in transactions pursuant to Rule 144A under the Securities Act   (“Rule 144A”) and in connection with each such sale, it has taken or will take reasonable   steps to ensure that the purchaser of the Securities is aware that such sale is being made   in reliance on Rule 144A; or    (B) in accordance with the restrictions set forth in Annex C   hereto.    (c) Each Initial Purchaser acknowledges and agrees that the Company and, for   purposes of the “no registration” opinions to be delivered to the Initial Purchasers   pursuant to Sections 6(f) and 6(h), counsel for the Company and counsel for the Initial   Purchasers, respectively, may rely upon the accuracy of the representations and   warranties of the Initial Purchasers, and compliance by the Initial Purchasers with their   agreements, contained in paragraph (b) above (including Annex C hereto), and each   Initial Purchaser hereby consents to such reliance.    (d) The Company acknowledges and agrees that the Initial Purchasers may   offer and sell Securities to or through any affiliate of an Initial Purchaser and that any   such affiliate may offer and sell Securities purchased by it to or through any Initial   Purchaser.    (e) The Company and the Guarantors acknowledge and agree that each Initial   Purchaser is acting solely in the capacity of an arm’s length contractual counterparty to   the Company and the Guarantors with respect to the offering of Securities contemplated   hereby (including in connection with determining the terms of the offering) and not as a   financial advisor or a fiduciary to, or an agent of, the Company, the Guarantors or any   other person.  Additionally, neither the Representative nor any other Initial Purchaser is   advising the Company, the Guarantors or any other person as to any legal, tax,   investment, accounting or regulatory matters in any jurisdiction.  The Company and the   Guarantors shall consult with their own advisors concerning such matters and shall be   responsible for making their own independent investigation and appraisal of the   transactions contemplated hereby, and neither the Representative nor any other Initial   Purchaser shall have any responsibility or liability to the Company or the Guarantors with   respect thereto. Any review by the Representative or any Initial Purchaser of the   Company, the Guarantors, and the transactions contemplated hereby or other matters   relating to such transactions will be performed solely for the benefit of the Representative   or such Initial Purchaser, as the case may be, and shall not be on behalf of the Company,   the Guarantors or any other person.     

 

5    2. Payment and Delivery.      (a) Payment for and delivery of the Securities will be made at the offices of   Cravath, Swaine & Moore LLP, 825 Eighth Avenue, New York, New York 10019 at   10:00 A.M., New York City time, on November , 2013, or at such other time or place   on the same or such other date, not later than the fifth business day thereafter, as the   Representative and the Company may agree upon in writing.  The time and date of such   payment and delivery is referred to herein as the “Closing Date”.    (b) Payment for the Securities shall be made by wire transfer in immediately   available funds to the account(s) specified by the Company to the Representative against   delivery to the nominee of The Depository Trust Company (“DTC”), for the account of   the Initial Purchasers, of one or more global notes representing the Securities   (collectively, the “Global Note”), with any transfer taxes payable in connection with the   sale of the Securities duly paid by the Company.  The Global Note will be made available   for inspection by the Representative not later than 1:00 P.M., New York City time, on the   business day prior to the Closing Date.    3. Representations and Warranties of the Company and the Guarantors.  The   Company and the Guarantors jointly and severally represent and warrant to each Initial   Purchaser that:   (a) Preliminary Offering Memorandum, Time of Sale Information and   Offering Memorandum.  The Preliminary Offering Memorandum, as of its date, did not,   the Time of Sale Information, at the Time of Sale, did not, and at the Closing Date, will   not, and the Offering Memorandum, in the form first used by the Initial Purchasers to   confirm sales of the Securities and as of the Closing Date, will not, contain any untrue   statement of a material fact or omit to state a material fact necessary in order to make the   statements therein, in the light of the circumstances under which they were made, not   misleading; provided that the Company and the Guarantors make no representation or   warranty with respect to any statements or omissions made in reliance upon and in   conformity with information relating to any Initial Purchaser furnished to the Company in   writing by such Initial Purchaser through the Representative expressly for use in the   Preliminary Offering Memorandum, the Time of Sale Information or the Offering   Memorandum, it being understood and agreed that the only such information furnished   by any Initial Purchaser consists of the information described as such in Section 7(b)   hereof.   (b) Additional Written Communications.   The Company and the Guarantors   (including their agents and representatives, other than the Initial Purchasers in their   capacity as such) have not prepared, made, used, authorized, approved or referred to and   will not prepare, make, use, authorize, approve or refer to any written communication   that constitutes an offer to sell or solicitation of an offer to buy the Securities (each such   communication by the Company and the Guarantors or their agents and representatives   (other than a communication referred to in clauses (i) and (ii) below) an “Issuer Written   Communication”) other than (i) the Preliminary Offering Memorandum, (ii) the Offering   Memorandum, (iii) the documents listed on Annex A hereto, including a term sheet   substantially in the form of Annex B hereto, which constitute part of the Time of Sale     

 

6   Information, and (iv) any electronic road show or other written communications, in each   case used in accordance with Section 4(c).  Each such Issuer Written Communication,   when taken together with the Time of Sale Information at the Time of Sale, did not, and   at the Closing Date will not, contain any untrue statement of a material fact or omit to   state a material fact necessary in order to make the statements therein, in the light of the   circumstances under which they were made, not misleading; provided that the Company   and the Guarantors make no representation or warranty with respect to any statements or   omissions made in each such Issuer Written Communication in reliance upon and in   conformity with information relating to any Initial Purchaser furnished to the Company in   writing by such Initial Purchaser through the Representative expressly for use in any   Issuer Written Communication, it being understood and agreed that the only such   information furnished by any Initial Purchaser consists of the information described as   such in Section 7(b) hereof.        (c) Incorporated Documents.  The documents incorporated by reference in   each of the Time of Sale Information and the Offering Memorandum, at the respective   times they were or hereafter are filed with the Commission, complied or will comply as   to form, as the case may be, in all material respects to the requirements of the Exchange   Act, and the rules and regulations of the Commission thereunder, and did not and will not   contain any untrue statement of a material fact or omit to state a material fact required to   be stated therein or necessary to make the statements therein, in the light of the   circumstances under which they were made, not misleading.   (d) Financial Statements.  The financial statements and the related notes   thereto included or incorporated by reference in each of the Time of Sale Information and   the Offering Memorandum present fairly in all material respects the financial position of   the Company and its subsidiaries as of the dates indicated and the results of their   operations and the changes in their cash flows for the periods specified; such financial   statements have been prepared in conformity with U.S. generally accepted accounting   principles applied on a consistent basis throughout the periods covered thereby; and the   other financial information included or incorporated by reference in each of the Time of   Sale Information and the Offering Memorandum has been derived from the accounting   records of the Company and its subsidiaries and presents fairly in all material respects the   information shown thereby.  The interactive data in eXtensbile Business Reporting   Language included or incorporated by reference in each of the Preliminary Offering   Memorandum, the Time of Sale Information and the Offering Memorandum to the extent   set forth in Rule 402(a)(2) of Regulation S-T fairly presents the information called for in   all material respects and is prepared in accordance with the Commission’s rules and   guidelines applicable thereto.   (e) No Material Adverse Change.  Since the date of the most recent financial   statements of the Company included or incorporated by reference in each of the Time of   Sale Information and the Offering Memorandum, except as otherwise disclosed in each   of the Time of Sale Information and the Offering Memorandum (i) there has not been any   material change in the capital stock or long-term debt of the Company or any of its   subsidiaries, or any dividend or distribution of any kind declared, set aside for payment,   paid or made by the Company on any class of capital stock, or any material adverse   change, or any development involving a prospective material adverse change, in or     

 

7   affecting the business, properties, rights, assets, management, financial position, results   of operations or prospects of the Company and its subsidiaries taken as a whole; (ii)   neither the Company nor any of its subsidiaries has entered into any transaction or   agreement that is material to the Company and its subsidiaries taken as a whole or   incurred any liability or obligation, direct or contingent, that is material to the Company   and its subsidiaries taken as a whole; and (iii) neither the Company nor any of its   subsidiaries has sustained any loss or interference with its business that is material to the   Company and its subsidiaries taken as a whole from fire, explosion, flood or other   calamity, whether or not covered by insurance, or from any labor dispute or any action,   order or decree of any court or arbitrator or governmental or regulatory authority.   (f) Organization and Good Standing.  The Company and each of its   subsidiaries have been duly organized and are validly existing and in good standing under   the laws of their respective jurisdictions of organization, are duly qualified to do business   and are in good standing in each jurisdiction in which their respective ownership or lease   of property or the conduct of their respective businesses requires such qualification, and   have all power and authority necessary to own or hold their respective properties and to   conduct the businesses in which they are engaged, except where the failure to be so   qualified, in good standing or have such power or authority would not, individually or in   the aggregate, have a material adverse effect on the business, properties, rights, assets,   management, financial position, results of operations or prospects of the Company and its   subsidiaries taken as a whole or on the performance by the Company and the Guarantors   of their obligations under this Agreement, the Securities, the Guarantees and the   Collateral Documents (a “Material Adverse Effect”).  The Company does not own or   control, directly or indirectly, any corporation, association or other entity other than the   subsidiaries listed in Schedule 3 to this Agreement.   (g) Capitalization.  The Company has the capitalization as set forth in each of   the Time of Sale Information and the Offering Memorandum under the heading   “Capitalization”; and all the outstanding shares of capital stock or other equity interests   of each subsidiary of the Company have been duly and validly authorized and issued, are   fully paid and non-assessable and are owned directly or indirectly by the Company, free   and clear of any lien, charge, encumbrance, security interest, restriction on voting or   transfer or any other claim of any third party (collectively, “Liens”), except for Liens   pursuant to (i) the Credit Agreement and (ii) the Existing Notes, which Liens, in the case   of clause (ii), will be released and terminated upon consummation of the Transactions on   the Closing Date as described in each of the Time of Sale Information and the Offering   Memorandum.   (h) Due Authorization.  The Company and each of the Guarantors have the   requisite corporate, limited liability company, or limited partnership, as applicable, right,   power and authority to execute and deliver this Agreement, the Securities, the Indenture   (including each Guarantee set forth therein), the Exchange Securities (including the   related Guarantees), the Registration Rights Agreement, each of the Collateral   Documents to the extent a party thereto and the Intercreditor Agreement (collectively, the   “Transaction Documents”) , including granting the Liens and security interests to be   granted by it pursuant to the Indenture and the Collateral Documents and to perform their   respective obligations hereunder and thereunder; and all action required to be taken for     

 

8   the due and proper authorization, execution and delivery of each of the Transaction   Documents and the consummation of the transactions contemplated thereby has been   duly and validly taken.   (i) The Indenture.  The Indenture (including the Guarantees set forth therein)   has been duly authorized by the Company and each of the Guarantors and on the Closing   Date will be duly executed and delivered by the Company and each of the Guarantors   and, when duly executed and delivered in accordance with its terms by each of the parties   thereto, will constitute a valid and legally binding agreement of the Company and each of   the Guarantors enforceable against the Company and each of the Guarantors in   accordance with its terms, except as enforceability may be limited by applicable   bankruptcy, insolvency, reorganization, moratorium, fraudulent transfer or conveyance or   other similar laws affecting the enforcement of creditors’ rights generally or by equitable   principles relating to enforceability (collectively, the “Enforceability Exceptions”); and   on the Closing Date, the Indenture will conform in all material respects to the   requirements of the Trust Indenture Act of 1939, as amended (the “Trust Indenture Act”),   and the rules and regulations of the Commission applicable to an indenture that is   qualified thereunder.   (j) The Securities and the Guarantees.  The Securities have been duly   authorized by the Company and, when duly executed, authenticated, issued and delivered   as provided in the Indenture and paid for as provided herein, will be duly and validly   issued and outstanding and will constitute valid and legally binding obligations of the   Company enforceable against the Company in accordance with their terms, subject to the   Enforceability Exceptions, and will be entitled to the benefits of the Indenture; and the   Guarantees have been duly authorized by each of the Guarantors and, when the Securities   have been duly executed, authenticated, issued and delivered as provided in the Indenture   and paid for as provided herein, will be valid and legally binding obligations of each of   the Guarantors, enforceable against each of the Guarantors in accordance with their   terms, subject to the Enforceability Exceptions, and will be entitled to the benefits of the   Indenture.   (k) The Exchange Securities.  On the Closing Date, the Exchange Securities   (including the related Guarantees) will have been duly authorized by the Company and   each of the Guarantors and, when duly executed, authenticated, issued and delivered in   connection with the exchange offer as contemplated by the Registration Rights   Agreement, will be duly and validly issued and outstanding and will constitute valid and   legally binding obligations of the Company, as issuer, and each of the Guarantors, as   guarantor, enforceable against the Company and each of the Guarantors in accordance   with their terms, subject to the Enforceability Exceptions, and will be entitled to the   benefits of the Indenture.   (l) Purchase and Registration Rights Agreements.  This Agreement has been   duly authorized, executed and delivered by the Company and each of the Guarantors; and   the Registration Rights Agreement has been duly authorized by the Company and each of   the Guarantors and on the Closing Date will be duly executed and delivered by the   Company and each of the Guarantors and, when duly executed and delivered in   accordance with its terms by each of the parties thereto, will constitute a valid and legally     

 

9   binding agreement of the Company and each of the Guarantors enforceable against the   Company and each of the Guarantors in accordance with its terms, subject to the   Enforceability Exceptions, and except that rights to indemnity and contribution   thereunder may be limited by applicable law and public policy.   (m) Collateral Documents and Intercreditor Amendment Agreement.  Each of   the Collateral Documents and the Intercreditor Amendment Agreement has been duly   authorized by the Company and each of the Guarantors, to the extent a party thereto, and   on the Closing Date, each of the Collateral Documents and the Intercreditor Amendment   Agreement will be duly executed and delivered by the Company and each of the   Guarantors, to the extent a party thereto, and, when duly executed and delivered in   accordance with its terms by each of the parties thereto, will constitute a valid and legally   binding agreement of the Company and each of the Guarantors, to the extent a party   thereto, and each of the Collateral Documents and the Intercreditor Agreement, including   the Intercreditor Amendment Agreement, will be enforceable against the Company and   each of the Guarantors, to the extent a party thereto, in accordance with its terms, subject   to the Enforceability Exceptions.    (n) Descriptions of the Transaction Documents; Collateral.  Each Transaction   Document conforms in all material respects to the description thereof contained in each   of the Time of Sale Information and the Offering Memorandum.  The Collateral   conforms in all material respects to the description thereof contained in the Time of Sale   Information and the Offering Memorandum.   (o)  Collateral Documents, Financing Statements and Collateral.  After the   release and termination of the Liens related to the Existing Notes upon consummation of   the Transactions on the Closing Date as described in each of the Time of Sale   Information and the Offering Memorandum:   (i) Upon execution and delivery, the Mortgages will be effective to   grant a legal, valid and enforceable mortgage lien or security title   on all of the mortgagor’s right, title and interest in the real   property listed on Schedule 4 hereto (each, a “Mortgaged   Property” and, collectively, the “Mortgaged Properties”).  When   the Mortgages are duly recorded in the proper recorders’ offices   or appropriate public records and the mortgage recording fees   and taxes in respect thereof are paid and compliance is otherwise   had with the formal requirements of state law, applicable to the   recording of real estate mortgages generally, each such Mortgage   shall constitute a validly perfected and enforceable first-priority   lien or security title in the related Mortgaged Property   constituting Collateral for the benefit of the Collateral Agent and   the holders of the Securities, subject only to Permitted Collateral   Liens or liens and encumbrances expressly set forth as an   exception to the policies of title insurance obtained to insure the   lien of each Mortgage with respect to each of the Mortgaged   Properties (such encumbrances and exceptions, the “Permitted   Exceptions”), and to the Enforceability Exceptions;     

 

10   (ii) Upon execution and delivery, the Security Agreement and the   Intellectual Property Security Agreement will be effective to   grant a legal, valid and enforceable security interest in all of the   grantor’s right, title and interest in the Collateral (other than the   Mortgaged Properties);   (iii) Upon due and timely filing and/or recording of the financing   statements and Intellectual Property Security Agreement and   Mortgages, as applicable, at the filing offices specified in the   perfection certificate to be delivered by the Company on the   Closing Date with respect to the Collateral described in the   Security Agreement that constitutes personal property, the   Intellectual Property Security Agreement and the equipment and   fixtures described in the Mortgages (the “Personal Property   Collateral”), the security interests granted thereby will constitute   valid, perfected first-priority security interests in the Personal   Property Collateral constituting Notes Priority Collateral and   valid, perfected second-priority security interests in the Personal   Property Collateral constituting ABL Priority Collateral, in each   case to the extent such security interests can be perfected by the   filing and/or recording, as applicable, of financing statements, the   Intellectual Property Security Agreement and Mortgages for the   benefit of the Collateral Agent and the holders of the Securities,   and, to the extent so perfected, such security interests will be   enforceable in accordance with the terms contained therein   against all creditors of any grantor or mortgagor and subject only   to liens expressly permitted to be incurred or exist on the   Collateral under the Indenture (“Permitted Encumbrances”);   (iv) Upon execution and delivery by the parties thereto of the control   agreements listed on Schedule 7, the security interests in deposit   accounts granted pursuant to the Security Agreement will   constitute valid, perfected second-priority security interests for   the benefit of the Collateral Agent and the holders of the   Securities, enforceable in accordance with the terms contained   therein against all creditors of any grantor and subject only to   Permitted Encumbrances; and   (v) The Company and its subsidiaries collectively own, have rights in   or have the power and authority to collaterally assign rights in the   Collateral, free and clear of any liens other than the Permitted   Exceptions and the Permitted Encumbrances.   (p) No Violation or Default.  Neither the Company nor any of its subsidiaries   is (i) in violation of its charter or by-laws or similar organizational documents; (ii) in   default, and no event has occurred that, with notice or lapse of time or both, would   constitute such a default, in the due performance or observance of any term, covenant or   condition contained in any indenture, mortgage, deed of trust, loan agreement or other     

 

11   agreement or instrument to which the Company or any of its subsidiaries is a party or by   which the Company or any of its subsidiaries is bound or to which any property, right or   asset of the Company or any of its subsidiaries is subject; or (iii) in violation of any law   or statute or any judgment, order, rule or regulation of any court or arbitrator or   governmental or regulatory authority, except, in the case of clauses (ii) and (iii) above,   for any such default or violation that would not, individually or in the aggregate, have a   Material Adverse Effect.   (q) No Conflicts.  The execution, delivery and performance by the Company   and each of the Guarantors of each of the Transaction Documents to which each is a party   (including, but not limited to, the filing of any applicable fixture filings relating to the   real property covered by the Mortgages, the filing of any applicable financing statements   pursuant to the Security Agreement or the filing of the Intellectual Property Security   Agreement), the issuance and sale of the Securities and the issuance of the Guarantees,   the issuance of the Exchange Notes and the related Guarantees, the grant and perfection   of liens and security interests in the Collateral pursuant to the Mortgages, the Security   Agreement and the Intellectual Property Security Agreement and compliance by the   Company and each of the Guarantors with the terms thereof and the consummation of the   transactions contemplated by the Transaction Documents will not (i) conflict with or   result in a breach or violation of any of the terms or provisions of, or constitute a default   under, result in the termination, modification or acceleration of, or result in the creation   or imposition of any lien, charge or encumbrance upon any property, right or asset of the   Company or any of its subsidiaries pursuant to, any indenture, mortgage, deed of trust,   loan agreement or other agreement or instrument to which the Company or any of its   subsidiaries is a party or by which the Company or any of its subsidiaries is bound or to   which any property, right or asset of the Company or any of its subsidiaries is subject   (other than any lien or encumbrance created or imposed pursuant to the Collateral   Documents or the collateral documents relating to the Credit Agreement), (ii) result in   any violation of the provisions of the charter or by-laws or similar organizational   documents of the Company or any of its subsidiaries or (iii) result in the violation of any   law or statute or any judgment, order, rule or regulation of any court or arbitrator or   governmental or regulatory authority, except, (A) in the case of clauses (i) and (iii)   above, for any such conflict, breach, violation, default, termination, modification,   acceleration, lien, charge or encumbrance that would not, individually or in the aggregate,   have a Material Adverse Effect and (B) in the case of clause (i) above after giving effect   to the redemption and discharge of the Existing Notes.   (r) No Consents Required.  No consent, approval, authorization, order,   registration or qualification of or with any court or arbitrator or governmental or   regulatory authority is required for the execution, delivery and performance by the   Company and each of the Guarantors of each of the Transaction Documents to which   each is a party (including, but not limited to, the filing of any applicable fixture filings   relating to the real property covered by the Mortgages, the filing of any applicable   financing statements pursuant to the Security Agreement or the filing of the Intellectual   Property Security Agreement), the issuance and sale of the Securities and the issuance of   the Guarantees, the issuance of the Exchange Notes and the related Guarantees, the grant   and perfection of liens and security interests in the Collateral pursuant to the Mortgages,   the Security Agreement and the Intellectual Property Security Agreement and compliance     

 

12   by the Company and each of the Guarantors with the terms thereof and the consummation   of the transactions contemplated by the Transaction Documents, except for such   consents, approvals, authorizations, orders and registrations or qualifications as may be   required (i) under applicable state securities laws in connection with the purchase and   resale of the Securities by the Initial Purchasers, (ii) with respect to the Exchange   Securities (including the related Guarantees) and the Indenture under the Securities Act,   the Trust Indenture Act and applicable state securities laws as contemplated by the   Registration Rights Agreement and (iii) to perfect the Trustee’s or the Collateral Agent’s   security interests and liens granted pursuant to the Mortgages, the Security Agreement,   the Intellectual Property Security Agreement and the financing statements related thereto.   (s) Legal Proceedings.  Except as described in each of the Time of Sale   Information and the Offering Memorandum, there are no legal, governmental or   regulatory investigations, actions, suits, or proceedings (“Actions”) pending to which the   Company or any of its subsidiaries is a party or to which any property, right or asset of   the Company or any of its subsidiaries is subject that, individually or in the aggregate, if   determined adversely to the Company or any of its subsidiaries, could reasonably be   expected to have a Material Adverse Effect; and no such Actions are to the knowledge of   the Company and each of the Guarantors, threatened or contemplated by any   governmental or regulatory authority or by others.   (t) Independent Accountants.  Grant Thornton LLP, who have certified   certain financial statements of the Company and its subsidiaries and   PricewaterhouseCoopers LLP who have certified certain financial statements of the   Company and its subsidiaries, are each independent public accountants with respect to   the Company and its subsidiaries within the applicable rules and regulations adopted by   the Commission and the Public Company Accounting Oversight Board (United States)   and as required by the Securities Act.   (u) Real and Personal Property.  The Company and its subsidiaries have good   and marketable title in fee simple to, or have valid rights to lease or otherwise use, all   items of real and personal property that are described in or referred to in the Mortgages   and have good and marketable title to personal property that is material to the respective   businesses of the Company and its subsidiaries, in each case free and clear of all Liens   and defects and imperfections of title except for Permitted Exceptions, in the case of   Mortgaged Properties, and, in the case of personal property, those that (i) do not   materially interfere with the use made and proposed to be made of such property by the   Company and its subsidiaries, (ii) could not reasonably be expected, individually or in the   aggregate, to have a Material Adverse Effect or (iii)  secure the Credit Agreement or the   Existing Notes, which Liens with respect to the Existing Notes will be released   substantially contemporaneously with the issuance of the Securities on the Closing Date   in accordance with the Indenture.     (v) Intellectual Property.  (i) The Company and its subsidiaries own or have   the right to use all patents, patent applications, trademarks, service marks, trade names,   trademark registrations, service mark registrations, domain names, copyrights and   copyrightable works (collectively, “Intellectual Property”) material to the conduct of their   respective businesses as currently conducted; (ii) to the knowledge of the Company and     

 

13   any Guarantor, the Company and its subsidiaries’ conduct of their respective businesses   does not infringe, misappropriate or otherwise violate any Intellectual Property of any   person; (iii) the Company and its subsidiaries have not received any written notice of any   claim of infringement relating to the Company or any of its subsidiary’s use of any    Intellectual Property; and (iv) to the knowledge of the Company and any Guarantor, the   Intellectual Property of the Company and their subsidiaries is not being infringed,   misappropriated or otherwise violated by any person.   (w) No Undisclosed Relationships.    No relationship, direct or indirect, exists   between or among the Company or any of its subsidiaries, on the one hand, and the   directors, officers, 5% or greater stockholders or other affiliates of the Company or any of   its subsidiaries, on the other, that would be required by the Securities Act to be described   in a registration statement on Form S-1 to be filed with the Commission and that is not so   described in or incorporated by reference in each of the Time of Sale Information and the   Offering Memorandum.     (x) Investment Company Act.  Neither the Company nor any of the Guarantors   is, and after giving effect to the offering and sale of the Securities and the application of   the proceeds thereof as described in each of the Time of Sale Information and the   Offering Memorandum, none of them will be, an “investment company” or an entity   “controlled” by an “investment company” within the meaning of the Investment   Company Act of 1940, as amended, and the rules and regulations of the Commission   thereunder (collectively, the “Investment Company Act”).   (y) Taxes.  The Company and its subsidiaries have paid all material U.S.   federal, state, local and foreign taxes and filed all material income tax returns required to   be paid or filed through the date hereof (taking into account any applicable extensions);   and except as otherwise disclosed in each of the Time of Sale Information and the   Offering Memorandum, there is no material income tax deficiency that has been, or could   reasonably be expected to be, asserted against the Company or any of its subsidiaries or   any of their respective properties or assets, except for any taxes the amount or validity of   which is currently being contested in good faith or for which adequate reserves have been   provided in accordance with U.S. generally accepted accounting principles.   (z) Licenses and Permits.  The Company and its subsidiaries possess all   certificates, authorizations and permits issued by the appropriate federal, state, local or   foreign governmental or regulatory authorities that are necessary for the conduct of their   respective businesses in the manner contemplated by the Time of Sale Information and   the Offering Memorandum, except where the failure to possess such certificates,   authorizations or permits would not, individually or in the aggregate, have a Material   Adverse Effect; and except as described in each of the Time of Sale Information and the   Offering Memorandum, neither the Company nor any of its subsidiaries has received   notice of proceedings relating to the revocation or modification of any such certificate,   authorization or permit  which, singly or in the aggregate, if the subject of an unfavorable   decision, ruling or finding, could be reasonably expected to have a Material Adverse   Effect, and the Company does not reasonably expect any future inability to acquire such   permits as are necessary to conduct its business in the manner contemplated by the Time     

 

14   of Sale Information and the Offering Memorandum, except as would not have a Material   Adverse Effect.   (aa) No Labor Disputes.  No labor disturbance by or dispute with employees of   the Company or any of its subsidiaries exists or, to the knowledge of the Company and   each of the Guarantors, is contemplated or threatened, except as would not have a   Material Adverse Effect. Neither the Company nor any Guarantor is aware of any   existing or imminent labor disturbance by, or dispute with, the employees of any of the   Company’s or any of the Company’s subsidiaries’ principal suppliers, contractors or   customers, except as would not have a Material Adverse Effect.  Neither the Company   nor any of its subsidiaries has received any written notice of cancellation or termination   with respect to any collective bargaining agreement to which it is a party, except as   would not have a Material Adverse Effect.   (bb) Compliance with Environmental Laws.  Except as described in the Time of   Sale Information and the Offering Memorandum, (i) the Company and its subsidiaries (x)   are, and at all prior times (except for such matters that have been fully and finally   resolved) were, in compliance with any and all applicable federal, state, local and foreign   laws, rules, regulations, requirements, binding decisions and orders relating to hazardous   or toxic substances or wastes, pollutants or contaminants, the protection of human health   or safety, the environment and natural resources (collectively, “Environmental Laws”),   (y) have received and are in compliance with all permits, licenses, certificates or other   authorizations or approvals required of them under applicable Environmental Laws to   conduct their respective businesses, and (z) have not received written notice of any actual   or potential liability under or relating to any Environmental Laws, including for the   investigation or remediation of any disposal or release of hazardous or toxic substances   or wastes, pollutants or contaminants, and have no knowledge of any event or condition   that would reasonably be expected to result in any such notice, and (ii) there are no costs   or liabilities associated with Environmental Laws of or relating to the Company or its   subsidiaries, except in the case of each of (i) and (ii) above, for any such failure to   comply, or failure to receive required permits, licenses, certificates, authorizations, or   approvals, or cost or liability, as would not, individually or in the aggregate, have a   Material Adverse Effect; and (iii) (x) there are no proceedings that are pending, or that   are known to be contemplated, against the Company or any of its subsidiaries under any   Environmental Laws in which a governmental entity is also a party, other than such   proceedings regarding which it is reasonably believed no monetary sanctions of $100,000   or more will be imposed, (y) compliance of the Company and its subsidiaries with   Environmental Laws, or liabilities or other obligations under Environmental Laws or   concerning hazardous or toxic substances or wastes, pollutants or contaminants could not   reasonably be expected to have a material effect on the capital expenditures, earnings or   competitive position of the Company and its subsidiaries, and (z) none of the Company   and its subsidiaries anticipates material capital expenditures relating to compliance with   any Environmental Laws.   (cc) Compliance with ERISA.  (i) Each employee benefit plan, within the   meaning of Section 3(3) of the Employee Retirement Income Security Act of 1974, as   amended (“ERISA”), for which the Company or any member of its “Controlled Group”   (defined as any organization which is a member of a controlled group of corporations     

 

15   within the meaning of Sections 414(b), (c), (m) or (o) of the Internal Revenue Code of   1986, as amended (the “Code”)) would have any liability (each, a “Plan”) has been   maintained in compliance with its terms and the requirements of any applicable statutes,   orders, rules and regulations, including but not limited to ERISA and the Code;  (ii) no   prohibited transaction, within the meaning of Section 406 of ERISA or Section 4975 of   the Code, has occurred with respect to any Plan excluding transactions effected pursuant   to a statutory or administrative exemption; (iii) for each Plan that is subject to the funding   rules of Section 412 of the Code or Section 302 of ERISA, no Plan has failed (whether or   not waived), or is reasonably expected to fail, to satisfy the minimum funding standards   (within the meaning of Section 302 of ERISA or Section 412 of the Code) applicable to   such Plan; (iv) no Plan is, or is reasonably expected to be, in “at risk status” (within the   meaning of Section 303(i) of ERISA) or “endangered status” or “critical status” (within   the meaning of Section 305 of ERISA); (v) the fair market value of the assets of each   Plan exceeds the present value of all benefits accrued under such Plan (determined based   on those assumptions used to fund such Plan); (vi) no “reportable event” (within the   meaning of Section 4043(c) of ERISA) has occurred or is reasonably expected to occur;   (vii) each Plan that is intended to be qualified under Section 401(a) of the Code is so   qualified and nothing has occurred, whether by action or by failure to act, which would   cause the loss of such qualification and (viii) neither the Company nor any member of the   Controlled Group has incurred, nor reasonably expects to incur, any liability under Title   IV of ERISA (other than contributions to the Plan or premiums to the Pension Benefit   Guarantee Corporation, in the ordinary course and without default) in respect of a Plan   (including a “multiemployer plan”, within the meaning of Section 4001(a)(3) of ERISA),   except in each case with respect to the events or conditions set forth in (i) through (viii)   hereof, as would not, individually or in the aggregate, have a Material Adverse Effect, or   as disclosed in the Time of Sale Information or the Offering Memorandum.   (dd)  Disclosure Controls.  The Company and its subsidiaries maintain an   effective system of “disclosure controls and procedures” (as defined in Rule 13a-15(e) of   the Exchange Act) that is designed to ensure that information required to be disclosed by   the Company in reports that it files or submits under the Exchange Act is recorded,   processed, summarized and reported within the time periods specified in the   Commission’s rules and forms, including controls and procedures designed to ensure that   such information is accumulated and communicated to the Company’s management as   appropriate to allow timely decisions regarding required disclosure.  The Company and   its subsidiaries have carried out evaluations of the effectiveness of their disclosure   controls and procedures as required by Rule 13a-15 of the Exchange Act.   (ee) Accounting Controls.  The Company and its subsidiaries maintain systems   of “internal control over financial reporting” (as defined in Rule 13a-15(f) of the   Exchange Act) that comply with the requirements of the Exchange Act and have been   designed by, or under the supervision of, their respective principal executive and   principal financial officers, or persons performing similar functions, to provide   reasonable assurance regarding the reliability of financial reporting and the preparation of   financial statements for external purposes in accordance with generally accepted   accounting principles.  The Company and its subsidiaries, on a consolidated basis,    maintain internal accounting controls sufficient to provide reasonable assurance that (i)   transactions are executed in accordance with management’s general or specific     

 

16   authorizations; (ii) transactions are recorded as necessary to permit preparation of   financial statements in conformity with U.S. generally accepted accounting principles and   to maintain asset accountability; (iii) access to assets is permitted only in accordance with   management’s general or specific authorization; (iv) the recorded accountability for   assets is compared with the existing assets at reasonable intervals and appropriate action   is taken with respect to any differences; and (v) interactive data in eXtensbile Business   Reporting Language included or incorporated by reference in each of the Preliminary   Offering Memorandum, the Time of Sale Information and the Offering Memorandum to   the extent set forth in Rule 402(a)(2) of Regulation S-T is prepared in accordance with   the Commission’s rules and guidelines applicable thereto.  Except as disclosed in each of   the Time of Sale Information and the Offering Memorandum, there were no material   weaknesses in the Company’s internal controls as of December 31, 2012.   (ff) Insurance.  The Company and its subsidiaries, on a consolidated basis,   have insurance covering such losses and risks and in such amounts as the Company   reasonably believes are adequate for the conduct of their business. Neither the Company   nor any of its subsidiaries has (i) received notice from any insurer or agent of such insurer   that capital improvements or other expenditures are required or necessary to be made in   order to continue such insurance or (ii) any reason to believe that it will not be able to   renew its existing insurance coverage as and when such coverage expires or to obtain   similar coverage at reasonable cost from similar insurers as may be necessary to continue   its business.   (gg) No Unlawful Payments.  Neither the Company nor any of its subsidiaries   nor any director or officer of the Company or any of its subsidiaries nor, to the   knowledge of the Company and each of the Guarantors, any agent, affiliate, employee or   other person associated with the Company, in each case, acting on behalf of the Company   or any of its subsidiaries has (i) used any corporate funds for any unlawful contribution,   gift, entertainment or other unlawful expense relating to political activity; (ii) made or   taken an act in furtherance of an offer or promise of any unlawful payment or unlawful   benefit to any foreign or domestic government official or employee, including of any   government-owned or controlled entity or of a public international organization, or any   person acting in an official capacity for or on behalf of any of the foregoing, or any   political party or party official or candidate for political office; (iii) violated or is in   violation of any provision of the Foreign Corrupt Practices Act of 1977, as amended, or   any applicable law or regulation implementing the OECD Convention on Combating   Bribery of Foreign Public Officials in International Business Transactions, or committed   an offence under the Bribery Act 2010 of the United Kingdom, or any other applicable   anti-bribery or anti-corruption laws; or (iv) made, offered, agreed, requested or taken an   act in furtherance of any unlawful bribe or other unlawful benefit, including, without   limitation, any rebate, payoff, influence payment, kickback or other unlawful payment or   unlawful benefit. The Company and its subsidiaries have instituted, maintain and enforce,   and will continue to maintain and enforce policies and procedures designed to promote   and ensure compliance with all applicable anti-bribery and anti-corruption laws.   (hh) Compliance with Money Laundering Laws.  The operations of the   Company and its subsidiaries are and have been conducted at all times in compliance in   all material respects with applicable financial recordkeeping and reporting requirements,     

 

17   including those of the Currency and Foreign Transactions Reporting Act of 1970, as   amended, the applicable money laundering statutes of all jurisdictions where the   Company or any of its subsidiaries conducts business, the rules and regulations   thereunder and any related or similar rules, regulations or guidelines issued, administered   or enforced by any governmental agency (collectively, the “Anti-Money Laundering   Laws”) and no action, suit or proceeding by or before any court or governmental agency,   authority or body or any arbitrator involving the Company or any of its subsidiaries with   respect to the Anti-Money Laundering Laws is pending or, to the knowledge of the   Company or any of the Guarantors, threatened.   (ii) No Conflicts with Sanctions Laws.  Neither the Company nor any of its   subsidiaries, directors or officers, nor, to the knowledge of the Company or any of the   Guarantors, any agent, employee or affiliate or other person, in each case, acting on   behalf of the Company or any of its subsidiaries is currently the subject or, to the   knowledge of the Company, the target of any sanctions administered or enforced by the   U.S. Government, (including, without limitation, the Office of Foreign Assets Control of   the U.S. Department of the Treasury (“OFAC”) or the U.S. Department of State and   including, without limitation, the designation as a “specially designated national” or   “blocked person”), the United Nations Security Council (“UNSC”), the European Union,   Her Majesty’s Treasury (“HMT”), or other relevant sanctions authority (collectively,   “Sanctions”), nor is the Company, any of its subsidiaries or any of the Guarantors   located, organized or resident in a country or territory that is the subject or the target of   Sanctions, including, without limitation, Cuba, Burma (Myanmar), Iran, North Korea,   Sudan and Syria (each, a “Sanctioned Country”); and the Company will not knowingly,   upon due inquiry, use the proceeds of the offering of the Securities hereunder, or lend,   contribute or otherwise make available such proceeds to any subsidiary, joint venture   partner or other person or entity (i) to fund or facilitate any activities of or business with   any person that, at the time of such funding or facilitation, is the subject or the target of   Sanctions, (ii) to fund or facilitate any activities of or business in any Sanctioned Country   or (iii) in any other manner that will result in a violation by any person (including any   person participating in the transaction as initial purchaser) of Sanctions. For the past 5   years, the Company and its subsidiaries have not knowingly engaged in, are not now   knowingly engaged in, and will not knowingly engage in, any dealings or transactions   with any person that at the time of the dealing or transaction is or was the subject or the   target of Sanctions or with any Sanctioned Country.    (jj) Solvency.  On and immediately after the Closing Date, the Company and   each Guarantor (after giving effect to the issuance and sale of the Securities and the   issuance of the related Guarantees and the other transactions related thereto as described   in each of the Time of Sale Information and the Offering Memorandum) will be Solvent.    As used in this paragraph, the term “Solvent” means, with respect to a particular date and   entity, that on such date (i) the present fair market value (and present fair saleable value)   of the assets of such entity is not less than the total amount required to pay the liabilities   of such entity on its total existing debts and liabilities (including contingent liabilities) as   they become absolute and matured; (ii) such entity is able to realize upon its assets and   pay its debts and other liabilities, contingent obligations and commitments as they mature   and become due in the normal course of business; (iii) assuming consummation of the   issuance and sale of the Securities and the issuance of the related Guarantees as     

 

18   contemplated by this Agreement, the Time of Sale Information and the Offering   Memorandum, such entity does not have, intend to incur or believe that it will incur debts   or liabilities beyond its ability to pay as such debts and liabilities mature; (iv) such entity   is not engaged in any business or transaction, and does not propose to engage in any   business or transaction, for which its property would constitute unreasonably small   capital after giving due consideration to the prevailing practice in the industry in which   such entity is engaged; and (v) such entity is not a defendant in any civil action that   would be reasonably likely to result in a judgment that such entity is or would become   unable to satisfy.    (kk) No Restrictions on Subsidiaries.  No subsidiary of the Company is   currently prohibited, directly or indirectly, under any agreement or other instrument to   which it is a party or is subject, from paying any dividends to the Company, from making   any other distribution on such subsidiary’s capital stock or similar ownership interest,   from repaying to the Company any loans or advances to such subsidiary from the   Company or from transferring any of such subsidiary’s properties or assets to the   Company or any other subsidiary of the Company, except for any such restrictions (a)   contained in the (i) Credit Agreement or (ii) Existing Notes, which restrictions, in the   case of clause (ii), will be discharged and released upon consummation of the   Transactions on the Closing Date as described in each of the Time of Sale Information   and the Offering Memorandum, or (b) that will be permitted by the Indenture.   (ll) No Broker’s Fees.  Neither the Company nor any of its subsidiaries is a   party to any contract, agreement or understanding with any person (other than this   Agreement) that would give rise to a valid claim against any of them or any Initial   Purchaser for a brokerage commission, finder’s fee or like payment in connection with   the offering and sale of the Securities that has not been previously disclosed to the   Representative.   (mm) Rule 144A Eligibility.  On the Closing Date, the Securities will not be of   the same class as securities listed on a national securities exchange registered under   Section 6 of the Exchange Act or quoted in an automated inter-dealer quotation system;   and each of the Preliminary Offering Memorandum and the Offering Memorandum, as of   its respective date, contains or will contain all the information that, if requested by a   prospective purchaser of the Securities, would be required to be provided to such   prospective purchaser pursuant to Rule 144A(d)(4) under the Securities Act.   (nn) No Integration.  Neither the Company nor any of its affiliates (as defined   in Rule 501(b) of Regulation D) has, directly or through any agent, sold, offered for sale,   solicited offers to buy or otherwise negotiated in respect of, any security (as defined in   the Securities Act), that is or will be integrated with the sale of the Securities as   contemplated by this Agreement, the Time of Sale Information and the Offering   Memorandum in a manner that would require registration of the Securities under the   Securities Act.   (oo) No General Solicitation or Directed Selling Efforts.  None of the   Company or any of its affiliates or any other person acting on its or their behalf (other   than the Initial Purchasers, as to which no representation is made) has (i) solicited offers     

 

19   for, or offered or sold, the Securities by means of any form of general solicitation or   general advertising within the meaning of Rule 502(c) of Regulation D or in any manner   involving a public offering within the meaning of Section 4(a)(2) of the Securities Act or   (ii) engaged in any directed selling efforts within the meaning of Regulation S under the   Securities Act (“Regulation S”), and all such persons have complied with the offering   restrictions requirement of Regulation S.   (pp) Securities Law Exemptions.  Assuming the accuracy of the representations   and warranties of the Initial Purchasers contained in Section 1(b) (including Annex C   hereto) and their compliance with their agreements set forth therein, it is not necessary, in   connection with the issuance and sale of the Securities to the Initial Purchasers and the   offer, resale and delivery of the Securities by the Initial Purchasers in the manner   contemplated by this Agreement, the Time of Sale Information and the Offering   Memorandum, to register the Securities under the Securities Act or to qualify the   Indenture under the Trust Indenture Act.   (qq) No Stabilization.  Neither the Company nor any of the Guarantors has   taken, directly or indirectly, any action designed to or that could reasonably be expected   to cause or result in any stabilization or manipulation of the price of the Securities.   (rr) Margin Rules.  Neither the issuance, sale and delivery of the Securities nor   the application of the proceeds thereof by the Company as described in each of the Time   of Sale Information and the Offering Memorandum will violate Regulation T, U or X of   the Board of Governors of the Federal Reserve System or any other regulation of such   Board of Governors.   (ss) Forward-Looking Statements.  No forward-looking statement (within the   meaning of Section 27A of the Securities Act and Section 21E of the Exchange Act)   included or incorporated by reference in any of the Time of Sale Information or the   Offering Memorandum has been made or reaffirmed without a reasonable basis or has   been disclosed other than in good faith.   (tt) Industry Statistical and Market Data.  Nothing has come to the attention   of the Company or any Guarantor that has caused the Company or such Guarantor to   believe that the industry statistical and market-related data included or incorporated by   reference in each of the Time of Sale Information and the Offering Memorandum is not   based on or derived from sources that are reliable and accurate in all material respects.   (uu)  Sarbanes-Oxley Act.  There is and has been no failure on the part of the   Company or, to the Company’s knowledge, any of the Company’s directors or officers, in   their capacities as such, to comply, in all material respects, with any provision of the   Sarbanes-Oxley Act of 2002, as amended, and the rules and regulations promulgated in   connection therewith (the “Sarbanes-Oxley Act”), including Section 402 related to loans   and Sections 302 and 906 related to certifications.    4. Further Agreements of the Company and the Guarantors.  The Company   and the Guarantors jointly and severally covenant and agree with each Initial Purchaser   that:     

 

20   (a) Delivery of Copies.  The Company will deliver, without charge, to the   Initial Purchasers as many copies of the Preliminary Offering Memorandum, any other   Time of Sale Information, any Issuer Written Communication and the Offering   Memorandum (including all amendments and supplements thereto) as the Representative   may reasonably request.   (b) Offering Memorandum, Amendments or Supplements.  Before finalizing   the Offering Memorandum or making or distributing any amendment or supplement to   any of the Time of Sale Information or the Offering Memorandum or filing with the   Commission any document that will be incorporated by reference therein, the Company   will furnish to the Representative and counsel for the Initial Purchasers a copy of the   proposed Offering Memorandum or such amendment or supplement or document to be   incorporated by reference therein for review, and will not distribute any such proposed   Offering Memorandum, amendment or supplement or file any such document with the   Commission to which the Representative reasonably objects.   (c) Additional Written Communications.  Before making, preparing, using,   authorizing, approving or referring to any Issuer Written Communication, the Company   and the Guarantors will furnish to the Representative and counsel for the Initial   Purchasers a copy of such written communication for review and will not make, prepare,   use, authorize, approve or refer to any such written communication to which the   Representative reasonably objects.   (d) Notice to the Representative.  The Company will advise the   Representative promptly, and confirm such advice in writing, (i) of the issuance by any   governmental or regulatory authority of any order preventing or suspending the use of   any of the Time of Sale Information, any Issuer Written Communication or the Offering   Memorandum or the initiation or threatening of any proceeding for that purpose; (ii) of   the occurrence of any event at any time prior to the completion of the initial offering of   the Securities as a result of which any of the Time of Sale Information, any Issuer   Written Communication or the Offering Memorandum as then amended or supplemented   would include any untrue statement of a material fact or omit to state a material fact   necessary in order to make the statements therein, in the light of the circumstances   existing when such Time of Sale Information, Issuer Written Communication or the   Offering Memorandum is delivered to a purchaser, not misleading; and (iii) of the receipt   by the Company of any notice with respect to any suspension of the qualification of the   Securities for offer and sale in any jurisdiction or the initiation or threatening of any   proceeding for such purpose; and the Company will use its commercially reasonable   efforts to prevent the issuance of any such order preventing or suspending the use of any   of the Time of Sale Information, any Issuer Written Communication or the Offering   Memorandum or suspending any such qualification of the Securities and, if any such   order is issued, will obtain as soon as possible the withdrawal thereof.   (e) Time of Sale Information.  If at any time prior to the Closing Date (i) any   event shall occur or condition shall exist as a result of which any of the Time of Sale   Information as then amended or supplemented would include any untrue statement of a   material fact or omit to state any material fact necessary in order to make the statements   therein, in the light of the circumstances under which they were made, not misleading or     

 

21   (ii) it is necessary to amend or supplement the Time of Sale Information to comply with   law, the Company will immediately notify the Initial Purchasers thereof and forthwith   prepare and, subject to paragraph (b) above, furnish to the Initial Purchasers such   amendments or supplements to the Time of Sale Information (or any document to be filed   with the Commission and incorporated by reference therein) as may be necessary so that   the statements in any of the Time of Sale Information as so amended or supplemented   (including such documents to be incorporated by reference therein) will not, in the light   of the circumstances under which they were made, be misleading or so that any of the   Time of Sale Information will comply with law.     (f) Ongoing Compliance of the Offering Memorandum.  If at any time prior to   the completion of the initial offering of the Securities (i) any event shall occur or   condition shall exist as a result of which the Offering Memorandum as then amended or   supplemented would include any untrue statement of a material fact or omit to state any   material fact necessary in order to make the statements therein, in the light of the   circumstances existing when the Offering Memorandum is delivered to a purchaser, not   misleading or (ii) it is necessary to amend or supplement the Offering Memorandum to   comply with law, the Company will immediately notify the Initial Purchasers thereof and   forthwith prepare and, subject to paragraph (b) above, furnish to the Initial Purchasers   such amendments or supplements to the Offering Memorandum (or any document to be   filed with the Commission and incorporated by reference therein) as may be necessary so   that the statements in the Offering Memorandum as so amended or supplemented   (including such document to be incorporated by reference therein) will not, in the light of   the circumstances existing when the Offering Memorandum is delivered to a purchaser,   be misleading or so that the Offering Memorandum will comply with law.    (g) Blue Sky Compliance.  The Company will qualify the Securities for offer   and sale under the securities or Blue Sky laws of such jurisdictions as the Representative   shall reasonably request and will continue such qualifications in effect so long as required   for the offering and resale of the Securities; provided that neither the Company nor any of   the Guarantors shall be required to (i) qualify as a foreign corporation or other entity or as   a dealer in securities in any such jurisdiction where it would not otherwise be required to   so qualify, (ii) file any general consent to service of process in any such jurisdiction or   (iii) subject itself to taxation in any such jurisdiction if it is not otherwise so subject.   (h) Clear Market.  During the period from the date hereof through and   including the date that is 90 days after the date hereof, the Company and each of the   Guarantors will not, without the prior written consent of the Representative, offer, sell,   contract to sell or otherwise dispose of any debt securities issued or guaranteed by the   Company or any of the Guarantors and having a tenor of more than one year.    (i) Use of Proceeds.  The Company will apply the net proceeds from the sale   of the Securities as described in each of the Time of Sale Information and the Offering   Memorandum under the heading “Use of proceeds”.   (j) Supplying Information.  While the Securities remain outstanding and are   “restricted securities” within the meaning of Rule 144(a)(3) under the Securities Act, the   Company and each of the Guarantors will, during any period in which the Company is     

 

22   not subject to and in compliance with Section 13 or 15(d) of the Exchange Act, furnish to   holders of the Securities and prospective purchasers of the Securities designated by such   holders, upon the request of such holders or such prospective purchasers, the information   required to be delivered pursuant to Rule 144A(d)(4) under the Securities Act.   (k) DTC.   The Company will reasonably assist the Initial Purchasers in   arranging for the Securities to be eligible for clearance and settlement through DTC.   (l) No Resales by the Company.  Until consummation of the exchange offer   as contemplated by the Registration Rights Agreement, the Company will not, and will   not permit any of its affiliates (as defined in Rule 144 under the Securities Act) to, resell   any of the Securities that have been acquired by any of them, except for Securities   purchased by the Company or any of its affiliates and resold in a transaction registered   under the Securities Act.   (m) No Integration.  Neither the Company nor any of its affiliates (as defined   in Rule 501(b) of Regulation D) will, directly or through any agent, sell, offer for sale,   solicit offers to buy or otherwise negotiate in respect of, any security (as defined in the   Securities Act), that is or will be integrated with the sale of the Securities as contemplated   by this Agreement, the Time of Sale Information and the Offering Memorandum in a   manner that would require registration of the Securities under the Securities Act.   (n) No General Solicitation or Directed Selling Efforts.  None of the   Company or any of its affiliates or any other person acting on its or their behalf (other   than the Initial Purchasers, as to which no covenant is given) will (i) solicit offers for, or   offer or sell, the Securities by means of any form of general solicitation or general   advertising within the meaning of Rule 502(c) of Regulation D or in any manner   involving a public offering within the meaning of Section 4(a)(2) of the Securities Act or   (ii) engage in any directed selling efforts within the meaning of Regulation S, and all   such persons will comply with the offering restrictions requirement of Regulation S.   (o) No Stabilization.  Neither the Company nor any of the Guarantors will   take, directly or indirectly, any action designed to or that could reasonably be expected to   cause or result in any stabilization or manipulation of the price of the Securities.   (p)  Perfection of Security Interests.  The Company and each Guarantor (i)   shall complete on or prior to the Closing Date all filings and other similar actions   required in connection with the perfection of security interests in the Collateral as and to   the extent contemplated by the Indenture and the Collateral Documents and (ii) shall take   all actions necessary to maintain such security interests and to perfect security interests in   any Collateral acquired after the Closing Date, in each case as and to the extent   contemplated by the Indenture and the Collateral Documents; provided that the Company   and the Guarantors may deliver, furnish and/or cause to be furnished all of the obligations   set forth on Schedule 6 hereto within the time periods set forth therein.    5. Certain Agreements of the Initial Purchasers. Each Initial Purchaser   hereby represents and agrees that it has not and will not use, authorize use of, refer to, or   participate in the planning for use of, any written communication that constitutes an offer     

 

23   to sell or the solicitation of an offer to buy the Securities other than (i) the Preliminary   Offering Memorandum and the Offering Memorandum, (ii) any written communication   that contains either (a) no “issuer information” (as defined in Rule 433(h)(2) under the   Securities Act) or (b) “issuer information” that was included (including through   incorporation by reference) in the Time of Sale Information or the Offering   Memorandum, (iii) any written communication listed on Annex A or prepared pursuant   to Section 4(c) above (including any electronic road show), (iv) any written   communication prepared by such Initial Purchaser and approved by the Company in   advance in writing or (v) any written communication relating to or that contains the terms   of the Securities and/or other information that was included (including through   incorporation by reference) in the Time of Sale Information or the Offering   Memorandum.    6. Conditions of Initial Purchasers’ Obligations.  The obligation of each   Initial Purchaser to purchase Securities on the Closing Date as provided herein is subject   to the performance by the Company and each of the Guarantors of their respective   covenants and other obligations hereunder and to the following additional conditions:   (a) Representations and Warranties.  The representations and warranties of   the Company and the Guarantors contained herein shall be true and correct on the date   hereof and on and as of the Closing Date; and the statements of the Company, the   Guarantors and their respective officers made in any certificates delivered pursuant to this   Agreement shall be true and correct on and as of the Closing Date.   (b) No Downgrade.  Subsequent to the earlier of (A) the Time of Sale and (B) the   execution and delivery of this Agreement, (i) no downgrading shall have occurred in the   rating accorded the Securities or any other debt securities or preferred stock issued or   guaranteed by the Company or any of its subsidiaries by any “nationally recognized   statistical rating organization”, as such term is defined under Section 3(a)(62) under the   Exchange Act and (ii) no such organization shall have publicly announced that it has   under surveillance or review, or has changed its outlook with respect to, its rating of the   Securities or of any other debt securities or preferred stock issued or guaranteed by the   Company or any of its subsidiaries (other than an announcement with positive   implications of a possible upgrading or an “under criteria observation” identifier assigned   in accordance with Standard & Poor’s Ratings Services’ announcement dated November   13, 2013 of its intention to publish revised criteria for determining certain issuer credit   ratings).      (c) No Material Adverse Change.  No event or condition of a type described   in Section 3(e) hereof shall have occurred or shall exist, which event or condition is not   described in each of the Time of Sale Information (excluding any amendment or   supplement thereto) and the Offering Memorandum (excluding any amendment or   supplement thereto) the effect of which in the judgment of the Representative makes it   impracticable or inadvisable to proceed with the offering, sale or delivery of the   Securities on the terms and in the manner contemplated by this Agreement, the Time of   Sale Information and the Offering Memorandum.     

 

24   (d) Officer’s Certificate.  The Representative shall have received on and as of   the Closing Date a certificate of an executive officer (solely in his official capacity) of the   Company and of each Guarantor who has specific knowledge of the Company’s or such   Guarantor’s financial matters and is satisfactory to the Representative (i) confirming that   such officer has carefully reviewed the Time of Sale Information and the Offering   Memorandum and, to the knowledge of such officer, the representations set forth in   Sections 3(a) and 3(b) hereof are true and correct, (ii) confirming that the other   representations and warranties of the Company and the Guarantors in this Agreement are   true and correct and that the Company and the Guarantors have complied with all   agreements and satisfied all conditions on their part to be performed or satisfied   hereunder at or prior to the Closing Date and (iii) to the effect set forth in paragraphs (b)   and (c) above.   (e) Comfort Letters.  On the date of this Agreement and on the Closing Date,   Grant Thornton LLP and PricewaterhouseCoopers LLP shall have furnished to the   Representative, at the request of the Company, letters, dated the respective dates of   delivery thereof and addressed to the Initial Purchasers, in form and substance reasonably   satisfactory to the Representative, containing statements and information of the type   customarily included in accountants’ “comfort letters” to underwriters with respect to the   financial statements and certain financial information contained or incorporated by   reference in each of the Time of Sale Information and the Offering Memorandum;   provided that the letters delivered on the Closing Date shall use a “cut-off” date no more   than three business days prior to the Closing Date.    (f) Opinion and 10b-5 Statement of Counsel for the Company.  Akin Gump   Strauss Hauer & Feld LLP, counsel for the Company, shall have furnished to the   Representative, at the request of the Company, their written opinion and 10b-5 statement,   dated the Closing Date and addressed to the Initial Purchasers, in form and substance   reasonably satisfactory to the Representative, to the effect set forth in Annex D hereto.   (g) Opinions of Local Counsel. (i) Conner & Winters, LLP, counsel for Atlas-   Tuck Concrete, Inc. (the “Oklahoma Guarantor”) in the State of Oklahoma, shall have   furnished to the Representative, at the request of the Company, its written opinion, dated   the Closing Date and addressed to the Initial Purchasers, in form and substance   reasonably satisfactory to the Representative, to the effect set forth in Annex E hereto;   (ii) Connell Foley LLP, counsel for Eastern Concrete Materials, Inc., Hamburg Quarry   Limited Liability Company, and Master Mix Concrete, LLC (the “New Jersey   Guarantors”) in the State of New Jersey, shall have furnished to the Representative, at the   request of the Company, its written opinion, dated the Closing Date and addressed to the   Initial Purchasers, in form and substance reasonably satisfactory to the Representative, to   the effect set forth in Annex F hereto; (iii) Honigman Miller Schwartz and Cohn LLP,   counsel for Kurtz Gravel Company (the “Michigan Guarantor”) in the State of Michigan,   shall have furnished to the Representative, at the request of the Company, its written   opinion, dated the Closing Date and addressed to the Initial Purchasers, in form and   substance reasonably satisfactory to the Representative, to the effect set forth in Annex G   hereto; and (iv) Whiteford, Taylor & Preston L.L.P., counsel for MG, LLC (the   “Maryland Guarantor”) in the State of Maryland, shall have furnished to the   Representative, at the request of the Company, its written opinion, dated the Closing Date     

 

25   and addressed to the Initial Purchasers, in form and substance reasonably satisfactory to   the Representative, to the effect set forth in Annex H hereto.   (h) Opinion and 10b-5 Statement of Counsel for the Initial Purchasers.  The   Representative shall have received on and as of the Closing Date an opinion and 10b-5   statement, addressed to the Initial Purchasers, of Cravath, Swaine & Moore LLP, counsel   for the Initial Purchasers, with respect to such matters as the Representative may   reasonably request, and such counsel shall have received such documents and   information as they may reasonably request to enable them to pass upon such matters.   (i) No Legal Impediment to Issuance.  No action shall have been taken and no   statute, rule, regulation or order shall have been enacted, adopted or issued by any   federal, state or foreign governmental or regulatory authority that would, as of the   Closing Date, prevent the issuance or sale of the Securities or the issuance of the   Guarantees; and no injunction or order of any federal, state or foreign court shall have   been issued that would, as of the Closing Date, prevent the issuance or sale of the   Securities or the issuance of the Guarantees.   (j) Good Standing.  The Representative shall have received on and as of the   Closing Date satisfactory evidence of the good standing of the Company and its   subsidiaries in their respective jurisdictions of organization and their good standing in   such other jurisdictions as the Representative may reasonably request, in each case in   writing or any standard form of telecommunication from the appropriate governmental   authorities of such jurisdictions.   (k) Registration Rights Agreement.  The Initial Purchasers shall have received   a counterpart of the Registration Rights Agreement that shall have been executed and   delivered by a duly authorized officer of the Company and each of the Guarantors.   (l) DTC.  The Securities shall be eligible for clearance and settlement through   DTC.   (m) Indenture and Securities.  The Indenture shall have been duly executed   and delivered by a duly authorized officer of the Company, each of the Guarantors, the   Trustee and the Collateral Agent, and the Securities shall have been duly executed and   delivered by a duly authorized officer of the Company and duly authenticated by the   Trustee.   (n) Lien Searches.  The Representative shall have received the results of a   recent lien search in each of the jurisdictions where the Company and the Guarantors are   located or where the Company and the Guarantors have material assets and any   jurisdictions in which valid filings with respect to such assets of the Company and the   Guarantors may be in effect, and such search shall reveal no liens on any of the assets of   the Company and the Guarantors or their respective subsidiaries except for Permitted   Exceptions, Permitted Liens (or, with respect to the Notes Priority Collateral, Permitted   Collateral Liens) or liens with respect to the Credit Agreement or the Existing Notes.   (o) Security Agreement and Intellectual Property Security Agreement.  The   Initial Purchasers shall have received conformed counterparts of the Security Agreement,     

 

26   in form and substance reasonably satisfactory to the Representative, and the Intellectual   Property Security Agreement, substantially in the form attached hereto as Exhibit B, that   shall have been executed and delivered by duly authorized officers of each party thereto.   (p) Control Agreements.  The Initial Purchasers shall have received   conformed counterparts of all control agreements listed on Schedule 7 that shall have   been executed and delivered by duly authorized officers of each party thereto.   (q) Intercreditor Amendment Agreement.  The Initial Purchasers shall have   received conformed counterparts of the Intercreditor Amendment Agreement that shall   have been executed and delivered by duly authorized officers of each party thereto,   substantially in the form attached hereto as Exhibit C.   (r) Filings, Registration and Recordings.  Except (i) with respect to   obligations set forth on Schedule 6 hereto, (ii) with respect to mixer trucks and mixing   drums affixed thereto and (iii) as otherwise contemplated by the Intellectual Property   Security Agreement and the Security Agreement, each document (including any Uniform   Commercial Code financing statement) required by the Intellectual Property Security   Agreement and the Security Agreement, or under law or reasonably requested by the   Representative, in each case, to be filed, registered or recorded, or delivered for filing on   or prior to the Closing Date, including filings in the U.S. Patent and Trademark Office,   and the U.S. Copyright Office in order to create in favor of the Collateral Agent, for the   benefit of the holders of the Securities, a perfected first-priority lien and security interest   in the Personal Property Collateral constituting Notes Priority Collateral and a perfected   second-priority lien and security interest in the Personal Property Collateral constituting   ABL Priority Collateral that can be perfected by the making of such filings, registrations   or recordations, prior and superior to the right of any other person (other than Permitted   Liens), shall be executed, if applicable, and in proper form for filing, registration or   recordation.   (s) Collateral Accounts.  Prior to the Closing Date, the Initial Purchasers shall   have received satisfactory evidence that any and all collateral accounts have been   established pursuant to the terms of the Indenture and the Security Agreement.   (t) Mortgages.  For each of the properties listed on Schedule 4 hereto, the   Representative shall have received the documents or evidence of completion of the   actions specified on Schedule 5 hereto.    (u) Existing Indebtedness.  The Representative shall have received evidence   reasonably satisfactory to it that, (i) prior to or substantially simultaneously with the   purchase of the Securities by the Initial Purchasers, all of the Company’s obligations with   respect to the Existing Notes shall have been discharged and an irrevocable notice of   redemption shall have been given and (ii) proceeds of the offering of the Securities will   be used to repay all outstanding borrowings under the Company’s asset-based senior   secured revolving credit facility.    (v) Transactions.  Concurrently with or prior to the Closing Date, each of the   Transactions shall have been consummated in a manner consistent in all material respects     

 

27   with the descriptions thereof in the Time of Sale Information and the Offering   Memorandum.   (w) Additional Documents.  On or prior to the Closing Date, the Company and   the Guarantors shall have furnished to the Representative such further certificates and   documents as the Representative may reasonably request.    All opinions, letters, certificates and evidence mentioned above or elsewhere in   this Agreement shall be deemed to be in compliance with the provisions hereof only if   they are in form and substance reasonably satisfactory to counsel for the Initial   Purchasers.    7. Indemnification and Contribution.     (a) Indemnification of the Initial Purchasers.  The Company and each of the   Guarantors jointly and severally agree to indemnify and hold harmless each Initial   Purchaser, its affiliates, directors and officers and each person, if any, who controls such   Initial Purchaser within the meaning of Section 15 of the Securities Act or Section 20 of   the Exchange Act, from and against any and all losses, claims, damages and liabilities   (including, without limitation, legal fees and other expenses reasonably incurred in   connection with any suit, action or proceeding or any claim asserted, as such fees and   expenses are incurred), joint or several, that arise out of, or are based upon, any untrue   statement or alleged untrue statement of a material fact contained in the Preliminary   Offering Memorandum, any of the other Time of Sale Information, any Issuer Written   Communication or the Offering Memorandum (or any amendment or supplement thereto)   or any omission or alleged omission to state therein a material fact necessary in order to   make the statements therein, in the light of the circumstances under which they were   made, not misleading, in each case except insofar as such losses, claims, damages or   liabilities arise out of, or are based upon, any untrue statement or omission or alleged   untrue statement or omission made in reliance upon and in conformity with any   information relating to any Initial Purchaser furnished to the Company in writing by such   Initial Purchaser through the Representative expressly for use therein.    (b) Indemnification of the Company and the Guarantors.  Each Initial   Purchaser agrees, severally and not jointly, to indemnify and hold harmless the Company,   each of the Guarantors, each of their respective directors and officers and each person, if   any, who controls the Company or any of the Guarantors within the meaning of Section   15 of the Securities Act or Section 20 of the Exchange Act to the same extent as the   indemnity set forth in paragraph (a) above, but only with respect to any losses, claims,   damages or liabilities that arise out of, or are based upon, any untrue statement or   omission or alleged untrue statement or omission made in reliance upon and in   conformity with any information relating to such Initial Purchaser furnished to the   Company in writing by such Initial Purchaser through the Representative expressly for   use in the Preliminary Offering Memorandum, any of the other Time of Sale Information,   any Issuer Written Communication or the Offering Memorandum (or any amendment or   supplement thereto), it being understood and agreed that the only such information   consists of the following information in the Preliminary Offering Memorandum and the   Offering Memorandum: (i) the third paragraph, (ii) the fourth and fifth sentences of the     

 

28   fifteenth paragraph, (iii) the the seventeenth paragraph, (iv) the nineteenth paragraph and   (v) the last sentence of the twentieth paragraph, in each case under the caption “Plan of   distribution”.   (c) Notice and Procedures.  If any suit, action, proceeding (including any   governmental or regulatory investigation), claim or demand shall be brought or asserted   against any person in respect of which indemnification may be sought pursuant to either   paragraph (a) or (b) above, such person (the “Indemnified Person”) shall promptly notify   the person against whom such indemnification may be sought (the “Indemnifying   Person”) in writing; provided that the failure to notify the Indemnifying Person shall not   relieve it from any liability that it may have under paragraph (a) or (b) above except to   the extent that it has been materially prejudiced (through the forfeiture of substantive   rights or defenses) by such failure; and provided, further, that the failure to notify the   Indemnifying Person shall not relieve it from any liability that it may have to an   Indemnified Person otherwise than under paragraph (a) or (b) above.  If any such   proceeding shall be brought or asserted against an Indemnified Person and it shall have   notified the Indemnifying Person thereof, the Indemnifying Person shall retain counsel   reasonably satisfactory to the Indemnified Person (who shall not, without the consent of   the Indemnified Person, be counsel to the Indemnifying Person) to represent the   Indemnified Person and any others entitled to indemnification pursuant to this Section 7   that the Indemnifying Person may designate in such proceeding and shall pay the fees and   expenses of such proceeding and shall pay the fees and expenses of such counsel related   to such proceeding, as incurred.  In any such proceeding, any Indemnified Person shall   have the right to retain its own counsel, but the fees and expenses of such counsel shall be   at the expense of such Indemnified Person unless (i) the Indemnifying Person and the   Indemnified Person shall have mutually agreed to the contrary; (ii) the Indemnifying   Person has failed within a reasonable time to retain counsel reasonably satisfactory to the   Indemnified Person; (iii) the Indemnified Person shall have reasonably concluded that   there may be legal defenses available to it that are different from or in addition to those   available to the Indemnifying Person; or (iv) the named parties in any such proceeding   (including any impleaded parties) include both the Indemnifying Person and the   Indemnified Person and representation of both parties by the same counsel would be   inappropriate due to actual or potential differing interests between them.  It is understood   and agreed that the Indemnifying Person shall not, in connection with any proceeding or   related proceeding in the same jurisdiction, be liable for the fees and expenses of more   than one separate firm (in addition to any local counsel) for all Indemnified Persons, and   that all such fees and expenses shall be reimbursed as they are incurred.  Any such   separate firm for any Initial Purchaser, its affiliates, directors and officers and any control   persons of such Initial Purchaser shall be designated in writing by J.P. Morgan Securities   LLC and any such separate firm for the Company, the Guarantors, their respective   directors and officers and any control persons of the Company and the Guarantors shall   be designated in writing by the Company.  The Indemnifying Person shall not be liable   for any settlement of any proceeding effected without its written consent, but if settled   with such consent or if there be a final judgment for the plaintiff, the Indemnifying   Person agrees to indemnify each Indemnified Person from and against any loss or   liability by reason of such settlement or judgment.  No Indemnifying Person shall,   without the written consent of the Indemnified Person, effect any settlement of any   pending or threatened proceeding in respect of which any Indemnified Person is or could     

 

29   have been a party and indemnification could have been sought hereunder by such   Indemnified Person, unless such settlement (x) includes an unconditional release of such   Indemnified Person, in form and substance reasonably satisfactory to such Indemnified   Person, from all liability on claims that are the subject matter of such proceeding and (y)   does not include any statement as to or any admission of fault, culpability or a failure to   act by or on behalf of any Indemnified Person.   (d) Contribution.  If the indemnification provided for in paragraph (a) or (b)   above is unavailable to an Indemnified Person or insufficient in respect of any losses,   claims, damages or liabilities referred to therein, then each Indemnifying Person under   such paragraph, in lieu of indemnifying such Indemnified Person thereunder, shall   contribute to the amount paid or payable by such Indemnified Person as a result of such   losses, claims, damages or liabilities (i) in such proportion as is appropriate to reflect the   relative benefits received by the Company and the Guarantors on the one hand and the   Initial Purchasers on the other from the offering of the Securities or (ii) if the allocation   provided by clause (i) is not permitted by applicable law, in such proportion as is   appropriate to reflect not only the relative benefits referred to in clause (i) but also the   relative fault of the Company and the Guarantors on the one hand and the Initial   Purchasers on the other in connection with the statements or omissions that resulted in   such losses, claims, damages or liabilities, as well as any other relevant equitable   considerations.  The relative benefits received by the Company and the Guarantors on the   one hand and the Initial Purchasers on the other shall be deemed to be in the same   respective proportions as the net proceeds (before deducting expenses) received by the   Company from the sale of the Securities and the total discounts and commissions   received by the Initial Purchasers in connection therewith, as provided in this Agreement,   bear to the aggregate offering price of the Securities.  The relative fault of the Company   and the Guarantors on the one hand and the Initial Purchasers on the other shall be   determined by reference to, among other things, whether the untrue or alleged untrue   statement of a material fact or the omission or alleged omission to state a material fact   relates to information supplied by the Company or any Guarantor or by the Initial   Purchasers and the parties’ relative intent, knowledge, access to information and   opportunity to correct or prevent such statement or omission.   (e) Limitation on Liability.  The Company, the Guarantors and the Initial   Purchasers agree that it would not be just and equitable if contribution pursuant to this   Section 7 were determined by pro rata allocation (even if the Initial Purchasers were   treated as one entity for such purpose) or by any other method of allocation that does not   take account of the equitable considerations referred to in paragraph (d) above.  The   amount paid or payable by an Indemnified Person as a result of the losses, claims,   damages and liabilities referred to in paragraph (d) above shall be deemed to include,   subject to the limitations set forth above, any legal or other expenses incurred by such   Indemnified Person in connection with any such action or claim.  Notwithstanding the   provisions of this Section 7, in no event shall an Initial Purchaser be required to   contribute any amount in excess of the amount by which the total discounts and   commissions received by such Initial Purchaser with respect to the offering of the   Securities exceeds the amount of any damages that such Initial Purchaser has otherwise   been required to pay by reason of such untrue or alleged untrue statement or omission or   alleged omission.  No person guilty of fraudulent misrepresentation (within the meaning     

 

30   of Section 11(f) of the Securities Act) shall be entitled to contribution from any person   who was not guilty of such fraudulent misrepresentation.  The Initial Purchasers’   obligations to contribute pursuant to this Section 7 are several in proportion to their   respective purchase obligations hereunder and not joint.   (f) Non-Exclusive Remedies.  The remedies provided for in this Section 7 are   not exclusive and shall not limit any rights or remedies that may otherwise be available to   any Indemnified Person at law or in equity.    8. Termination.  This Agreement may be terminated in the absolute   discretion of the Representative, by notice to the Company, if after the execution and   delivery of this Agreement and on or prior to the Closing Date (i) trading generally shall   have been suspended or materially limited on the New York Stock Exchange or the over-   the-counter market; (ii) trading of any securities issued or guaranteed by the Company or   any of the Guarantors shall have been suspended on any exchange or in any over-the-   counter market; (iii) a general moratorium on commercial banking activities shall have   been declared by federal or New York State authorities; or (iv) there shall have occurred   any outbreak or escalation of hostilities or any change in financial markets or any   calamity or crisis, either within or outside the United States, that, in the judgment of the   Representative, is material and adverse and makes it impracticable or inadvisable to   proceed with the offering, sale or delivery of the Securities on the terms and in the   manner contemplated by this Agreement, the Time of Sale Information and the Offering   Memorandum.    9. Defaulting Initial Purchaser.     (a) If, on the Closing Date, any Initial Purchaser defaults on its obligation to   purchase the Securities that it has agreed to purchase hereunder, the non-defaulting Initial   Purchasers may in their discretion arrange for the purchase of such Securities by other   persons satisfactory to the Company on the terms contained in this Agreement.  If, within   36 hours after any such default by any Initial Purchaser, the non-defaulting Initial   Purchasers do not arrange for the purchase of such Securities, then the Company shall be   entitled to a further period of 36 hours within which to procure other persons satisfactory   to the non-defaulting Initial Purchasers to purchase such Securities on such terms.  If   other persons become obligated or agree to purchase the Securities of a defaulting Initial   Purchaser, either the non-defaulting Initial Purchasers or the Company may postpone the   Closing Date for up to five full business days in order to effect any changes that in the   opinion of counsel for the Company or counsel for the Initial Purchasers may be   necessary in the Time of Sale Information, the Offering Memorandum or in any other   document or arrangement, and the Company agrees to promptly prepare any amendment   or supplement to the Time of Sale Information or the Offering Memorandum that effects   any such changes.  As used in this Agreement, the term “Initial Purchaser” includes, for   all purposes of this Agreement unless the context otherwise requires, any person not   listed in Schedule 1 hereto that, pursuant to this Section 9, purchases Securities that a   defaulting Initial Purchaser agreed but failed to purchase.   (b) If, after giving effect to any arrangements for the purchase of the   Securities of a defaulting Initial Purchaser or Initial Purchasers by the non-defaulting     

 

31   Initial Purchasers and the Company as provided in paragraph (a) above, the aggregate   principal amount of such Securities that remains unpurchased does not exceed one-   eleventh of the aggregate principal amount of all the Securities, then the Company shall   have the right to require each non-defaulting Initial Purchaser to purchase the principal   amount of Securities that such Initial Purchaser agreed to purchase hereunder plus such   Initial Purchaser’s pro rata share (based on the principal amount of Securities that such   Initial Purchaser agreed to purchase hereunder) of the Securities of such defaulting Initial   Purchaser or Initial Purchasers for which such arrangements have not been made.   (c) If, after giving effect to any arrangements for the purchase of the   Securities of a defaulting Initial Purchaser or Initial Purchasers by the non-defaulting   Initial Purchasers and the Company as provided in paragraph (a) above, the aggregate   principal amount of such Securities that remains unpurchased exceeds one-eleventh of   the aggregate principal amount of all the Securities, or if the Company shall not exercise   the right described in paragraph (b) above, then this Agreement shall terminate without   liability on the part of the non-defaulting Initial Purchasers.  Any termination of this   Agreement pursuant to this Section 9 shall be without liability on the part of the   Company or the Guarantors, except that the Company and each of the Guarantors will   continue to be liable for the payment of expenses as set forth in Section 10 hereof and   except that the provisions of Section 7 hereof shall not terminate and shall remain in   effect.   (d) Nothing contained herein shall relieve a defaulting Initial Purchaser of any   liability it may have to the Company, the Guarantors or any non-defaulting Initial   Purchaser for damages caused by its default.    10. Payment of Expenses.     (a) Whether or not the transactions contemplated by this Agreement are   consummated or this Agreement is terminated, the Company and each of the Guarantors   jointly and severally agree to pay or cause to be paid all costs and expenses incident to   the performance of their respective obligations hereunder, including without limitation,   (i) the costs incident to the authorization, issuance, sale, preparation and delivery of the   Securities and any stamp, transfer or similar taxes payable in that connection; (ii) the   costs incident to the preparation and printing of the Preliminary Offering Memorandum,   any other Time of Sale Information, any Issuer Written Communication and the Offering   Memorandum (including any amendment or supplement thereto) and the distribution   thereof; (iii) the costs of reproducing and distributing each of the Transaction Documents;   (iv) the fees and expenses of the Company’s and the Guarantors’ counsel and   independent accountants; (v) the fees and expenses incurred in connection with the   registration or qualification and determination of eligibility for investment of the   Securities under the laws of such jurisdictions as the Representative may designate and   the preparation, printing and distribution of a Blue Sky Memorandum (including the   related fees and expenses of counsel for the Initial Purchasers); (vi) any fees charged by   rating agencies for rating the Securities; (vii) the fees and expenses of the Trustee, the   Collateral Agent and any paying agent (including related fees and expenses of any   counsel to such parties); (viii) all expenses and application fees incurred in connection   with the approval of the Securities for book-entry transfer by DTC; (ix) the fees and     

 

32   expenses incurred with respect to creating, documenting and perfecting the security   interests in the Collateral as contemplated by the Collateral Documents (including the   related fees and expenses of counsel to the Initial Purchasers for all periods prior to and   after the Closing Date); and (x) all expenses incurred by the Company in connection with   any “road show” presentation to potential investors.   (b) If (i) this Agreement is terminated pursuant to Section 8, (ii) the Company   for any reason fails to tender the Securities for delivery to the Initial Purchasers or (iii)   the Initial Purchasers decline to purchase the Securities for any reason permitted under   this Agreement, the Company and each of the Guarantors jointly and severally agree to   reimburse the Initial Purchasers for all out-of-pocket costs and expenses (including the   fees and expenses of their counsel) reasonably incurred by the Initial Purchasers in   connection with this Agreement and the offering contemplated hereby.    11. Persons Entitled to Benefit of Agreement.  This Agreement shall inure to   the benefit of and be binding upon the parties hereto and their respective successors and   the officers and directors and any controlling persons referred to herein, and the affiliates   of each Initial Purchaser referred to in Section 7 hereof.  Nothing in this Agreement is   intended or shall be construed to give any other person any legal or equitable right,   remedy or claim under or in respect of this Agreement or any provision contained herein.    No purchaser of Securities from any Initial Purchaser shall be deemed to be a successor   merely by reason of such purchase.   12. Survival.  The respective indemnities, rights of contribution,   representations, warranties and agreements of the Company, the Guarantors and the   Initial Purchasers contained in this Agreement or made by or on behalf of the Company,   the Guarantors or the Initial Purchasers pursuant to this Agreement or any certificate   delivered pursuant hereto shall survive the delivery of and payment for the Securities and   shall remain in full force and effect, regardless of any termination of this Agreement or   any investigation made by or on behalf of the Company, the Guarantors or the Initial   Purchasers.    13. Certain Defined Terms.  For purposes of this Agreement, (a) except where   otherwise expressly provided, the term “affiliate” has the meaning set forth in Rule 405   under the Securities Act; (b) the term “business day” means any day other than a day on   which banks are permitted or required to be closed in New York City; (c) the term   “subsidiary” has the meaning set forth in Rule 405 under the Securities Act; (d) the term   “Exchange Act” means the Securities Exchange Act of 1934, as amended; and (e) the   term “written communication” has the meaning set forth in Rule 405 under the Securities   Act.     14. Compliance with USA Patriot Act.  In accordance with the requirements   of the USA Patriot Act (Title III of Pub. L. 107-56 (signed into law October 26, 2001)),   the Initial Purchasers are required to obtain, verify and record information that identifies   their respective clients, including the Company, which information may include the name   and address of their respective clients, as well as other information that will allow the   Initial Purchasers to properly identify their respective clients.     

 

33    15. Miscellaneous.     (a) Authority of the Representative.  Any action by the Initial Purchasers   hereunder may be taken by J.P. Morgan Securities LLC on behalf of the Initial   Purchasers, and any such action taken by J.P. Morgan Securities LLC shall be binding   upon the Initial Purchasers.     (b) Notices.  All notices and other communications hereunder shall be in   writing and shall be deemed to have been duly given if mailed or transmitted and   confirmed by any standard form of telecommunication.  Notices to the Initial Purchasers   shall be given to the Representative c/o J.P. Morgan Securities LLC, 383 Madison   Avenue, New York, New York 10179 (fax: 212-270-1063); Attention: Geoffrey Benson.    Notices to the Company and the Guarantors shall be given to Paul M. Jolas, Vice   President, General Counsel & Corporate Secretary, 331 N. Main Street, Euless, Texas   76039 (fax: 817-835-4165).   (c) Governing Law.  This Agreement and any claim, controversy or dispute   arising under or related to this Agreement shall be governed by and construed in   accordance with the laws of the State of New York.   (d) Submission to Jurisdiction.  The Company and each of the Guarantors   hereby submit to the exclusive jurisdiction of the U.S. federal and New York state courts   in the Borough of Manhattan in The City of New York in any suit or proceeding arising   out of or relating to this Agreement or the transactions contemplated hereby.  The   Company and each of the Guarantors waive any objection which it may now or hereafter   have to the laying of venue of any such suit or proceeding in such courts.  Each of the   Company and each of the Guarantors agrees that final judgment in any such suit, action   or proceeding brought in such court shall be conclusive and binding upon the Company   and each Guarantor, as applicable, and may be enforced in any court to the jurisdiction of   which Company and each Guarantor, as applicable, is subject by a suit upon such   judgment.     (e) Waiver of Jury Trial.  Each of the parties hereto hereby waives any right   to trial by jury in any suit or proceeding arising out of or relating to this Agreement.   (f) Counterparts.  This Agreement may be signed in counterparts (which may   include counterparts delivered by any standard form of telecommunication), each of   which shall be an original and all of which together shall constitute one and the same   instrument.   (g) Amendments or Waivers.  No amendment or waiver of any provision of   this Agreement, nor any consent or approval to any departure therefrom, shall in any   event be effective unless the same shall be in writing and signed by the parties hereto.   (h) Headings.  The headings herein are included for convenience of reference   only and are not intended to be part of, or to affect the meaning or interpretation of, this   Agreement.        

 

      (Signature page to Purchase Agreement)       If the foregoing is in accordance with your understanding, please   indicate your acceptance of this Agreement by signing in the space provided   below.   Very truly yours,   U.S. CONCRETE, INC.   By: /s/ William J. Sandbrook     Name: William J. Sandbrook   Title: President and Chief Executive Officer      ALBERTA INVESTMENTS, INC.   ALLIANCE HAULERS, INC.   ATLAS REDI-MIX, LLC   ATLAS-TUCK CONCRETE, INC.   BEALL CONCRETE ENTERPRISES, LLC   BEALL INDUSTRIES, INC.   BEALL INVESTMENT CORPORATION,   INC.   BEALL MANAGEMENT, INC.   EASTERN CONCRETE MATERIALS, INC.   HAMBURG QUARRY LIMITED LIABILITY   COMPANY   REDI-MIX CONCRETE, L.P.   REDI-MIX GP, LLC   REDI-MIX, LLC   U.S. CONCRETE ON-SITE, INC.   USC PAYROLL, INC.         By: /s/ Kevin R. Kohutek      Name: Kevin R. Kohutek   Title: President                                                        

 

      (Signature page to Purchase Agreement)      AMERICAN CONCRETE PRODUCTS, INC.   BODE CONCRETE LLC   BODE GRAVEL CO.   BRECKENRIDGE READY MIX, INC.   CENTRAL CONCRETE SUPPLY CO., INC.   CENTRAL PRECAST CONCRETE, INC.   INGRAM CONCRETE, LLC   KURTZ GRAVEL COMPANY   LOCAL CONCRETE SUPPLY &   EQUIPMENT, LLC   MASTER MIX CONCRETE, LLC   MASTER MIX, LLC   MG, LLC   NYC CONCRETE MATERIALS, LLC   PEBBLE LANE ASSOCIATES, LLC   RIVERSIDE MATERIALS, LLC   SAN DIEGO PRECAST CONCRETE, INC.   SIERRA PRECAST, INC.   SMITH PRE-CAST, INC.   SUPERIOR CONCRETE MATERIALS, INC.   TITAN CONCRETE INDUSTRIES, INC.   USC ATLANTIC, INC.         By: /s/ Kevin R. Kohutek      Name: Kevin R. Kohutek   Title: Vice President      CONCRETE ACQUISITION IV, LLC   CONCRETE ACQUISITION V, LLC   CONCRETE ACQUISITION VI, LLC   CONCRETE XXXIV ACQUISITION, INC.   CONCRETE XXXV ACQUISITION, INC.   CONCRETE XXXVI ACQUISITION, INC.   U.S. CONCRETE TEXAS HOLDINGS, INC.   USC MANAGEMENT CO., LLC   USC TECHNOLOGIES, INC.         By: /s/ Kevin R. Kohutek      Name: Kevin R. Kohutek   Title: Treasurer     

 

      (Signature page to Purchase Agreement)      Accepted: November , 2013   J.P. MORGAN SECURITIES LLC    For itself and on behalf of the    several Initial Purchasers listed    in Schedule 1 hereto.   By:  /s/ Meghann Dotson      Authorized Signatory        

 

Schedule 1                  Initial Purchaser Principal Amount    J.P. Morgan Securities LLC .................................................... $156,000,000   Jefferies LLC .......................................................................... $20,000,000   Capital One Securities, Inc. .................................................... $12,000,000   Mitsubishi UFJ Securities (USA) Inc.  ................................... $12,000,000       Total ............................................................................ $200,000,000     

 

Schedule 2         Guarantors   Alberta Investments, Inc.   Alliance Haulers, Inc.    American Concrete Products, Inc.    Atlas Redi-Mix, LLC    Atlas-Tuck Concrete, Inc.    Beall Concrete Enterprises, LLC    Beall Industries, Inc.   Beall Investment Corporation, Inc.    Beall Management, Inc.    Bode Concrete LLC    Bode Gravel Co.    Breckenridge Ready Mix, Inc.    Central Concrete Supply Co., Inc.    Central Precast Concrete, Inc.    Concrete Acquisition IV, LLC    Concrete Acquisition V, LLC    Concrete Acquisition VI, LLC    Concrete XXXIV Acquisition, Inc.    Concrete XXXV Acquisition, Inc.    Concrete XXXVI Acquisition, Inc.    Eastern Concrete Materials, Inc.    Hamburg Quarry Limited Liability Company   Ingram Concrete, LLC    Kurtz Gravel Company   Local Concrete Supply & Equipment, LLC   Master Mix, LLC    Master Mix Concrete, LLC    MG, LLC    NYC Concrete Materials, LLC    Pebble Lane Associates, LLC    Redi-Mix Concrete, L.P.    Redi-Mix GP, LLC    Redi-Mix, LLC    Riverside Materials, LLC    San Diego Precast Concrete, Inc.    Sierra Precast, Inc.    Smith Pre-Cast, Inc.    Superior Concrete Materials, Inc.    Titan Concrete Industries, Inc   USC Atlantic, Inc.    USC Management Co., LLC    USC Payroll, Inc.    USC Technologies, Inc.    U.S. Concrete On-Site, Inc.   U.S. Concrete Texas Holdings, Inc.       

 

Schedule 3      Subsidiaries   Alberta Investments, Inc.   Alliance Haulers, Inc.    American Concrete Products, Inc.    Atlas Redi-Mix, LLC    Atlas-Tuck Concrete, Inc.    Beall Concrete Enterprises, LLC    Beall Industries, Inc.   Beall Investment Corporation, Inc.    Beall Management, Inc.    Bode Concrete LLC    Bode Gravel Co.    Breckenridge Ready Mix, Inc.    Central Concrete Supply Co., Inc.    Central Precast Concrete, Inc.    Concrete Acquisition IV, LLC    Concrete Acquisition V, LLC    Concrete Acquisition VI, LLC    Concrete XXXIV Acquisition, Inc.    Concrete XXXV Acquisition, Inc.    Concrete XXXVI Acquisition, Inc.    Eastern Concrete Materials, Inc.    Hamburg Quarry Limited Liability Company   Ingram Concrete, LLC    Kurtz Gravel Company   Local Concrete Supply & Equipment, LLC   Master Mix, LLC    Master Mix Concrete, LLC    MG, LLC    NYC Concrete Materials, LLC    Pebble Lane Associates, LLC    Redi-Mix Concrete, L.P.    Redi-Mix GP, LLC    Redi-Mix, LLC    Riverside Materials, LLC    San Diego Precast Concrete, Inc.    Sierra Precast, Inc.    Smith Pre-Cast, Inc.    Superior Concrete Materials, Inc.    Titan Concrete Industries, Inc   USC Atlantic, Inc.    USC Management Co., LLC    USC Payroll, Inc.    USC Technologies, Inc.    U.S. Concrete On-Site, Inc.   U.S. Concrete Texas Holdings, Inc.       

 

Schedule 4      Real Property      Owner or Tenant Property Name and Address(es) Ownership State   Central Concrete   Supply Co., Inc.   201 South Linden Avenue   South San Francisco, San Mateo County,   California   Owned CA   Central Concrete   Supply Co, Inc.   1844 West Winton Avenue   Hayward, Alameda County, California Owned CA   Central Concrete   Supply Co., Inc.   457 Queens Lane   San Jose, Santa Clara County, California Owned CA   Beall Concrete   Enterprises, LLC      Alliance Plant    13624 FM 1171   Northlake, Denton County, Texas   Owned TX   Central Concrete   Supply Co., Inc.   1305 San Mateo Ave.   South San Francisco, San Mateo County,   California   Owned CA   Beall Concrete   Enterprises, LLC      9500 N.E. County Rd 3270   Chatfield, Navarro County, Texas Owned TX   Redi-Mix, LLC Plant #259 725 E. College St.   Lewisville, Denton County, Texas   Owned TX   Eastern Concrete   Materials, Inc.   Cedar Bridge Quarry   201 Route 539 South   Barnegat, Ocean County, New Jersey   Owned NJ   Beall Concrete   Enterprises, LLC      706 S. Dallas Parkway   Prosper, Collin County, Texas Owned TX   Redi-Mix, LLC Plant #260 Frisco Batch Plant    14703 and 14695 Lebanon Road   Frisco, Collin County, Texas   Owned TX   Eastern Concrete   Materials, Inc.   3369 Paxtonville Road   Middleburg, Snyder County, Pennsylvania Owned PA   Ingram Concrete,   LLC   Noodle Ranch Quarry   FM 126 & FM 1085   Noodle, Jones County, Texas   Owned TX   Central Concrete   Supply Co., Inc.   11911 Brentwood Blvd.   Byron, Contra Costa County, California Owned CA   Ingram Concrete,   LLC   4989 N. FM 199   Cleburne, Somervell County, Texas Owned TX   Central Concrete   Supply Co., Inc.   790 Stockton Avenue   San Jose, Santa Clara County, California Owned CA   Kurtz Gravel   Company   15176 Hawley Road   Holly, Oakland County, Michigan Owned MI     

 

Schedule 5      Mortgage Related Requirements   The Company shall deliver to the Collateral Agent by the Closing Date   counterparts of a Mortgage with respect to each property listed on Schedule 4, duly   executed, acknowledged and delivered by the record owner of such property in form   suitable for recording in the applicable public records and otherwise in form and   substance reasonably acceptable to the Collateral Agent and the Representative.  The   Company shall make reasonable efforts to deliver to the Collateral Agent by the Closing   such legal opinions as the Collateral Agent may reasonably request with respect to any   such mortgage or mortgaged property (the “Real Estate Opinions”).     To the extent that, despite reasonable efforts of the Company to deliver the   Real Estate Opinions, such Real Estate Opinions are not delivered as of the Closing Date,   the Company shall deliver such documents to the Collateral Agent and Trustee on or   before the date that is 120 days after the Issue Date in accordance with the Indenture.    

 

Schedule 6      Post-Closing Collateral Requirements   The Company shall deliver the following documents or evidence of   completion of the following actions, as applicable, to the Collateral Agent on or before   the date that is 120 days after the Issue Date: (A) a policy or policies of title insurance   issued by a nationally recognized title insurance company reasonably acceptable to the   Collateral Agent, insuring the Lien of such mortgage as a valid and enforceable Lien on a   first-priority basis on the mortgaged property described therein, free of any other Liens   except Permitted Collateral Liens, together with such endorsements, coinsurance and   reinsurance as the Collateral Agent may reasonably request, (B) if such mortgaged   property is located in an area determined by the Federal Emergency Management Agency   to have special flood hazards, evidence of such flood insurance as may be required under   applicable law, including Regulation H of the Board of Governors, or as may be   reasonably required by the Collateral Agent and (C) such surveys, abstracts, appraisals,   and other documents (which may include, without limitation, subordination agreements)   as the Collateral Agent may reasonably request with respect to any such mortgage or   mortgaged property.   In the event the Company shall, despite reasonable efforts, fail to deliver   the Real Estate Opinions (as such term is defined on Schedule 5 hereof) on or prior to the   Closing Date, the Company shall, by continued reasonable efforts deliver the Real Estate   Opinions to the Collateral Agent on or before the date that is 120 days after the Issue   Date.   The Company shall, on or before the date that is 120 days after the Issue   Date, deliver to the Noteholder Collateral Agent control agreements and related pledge   agreements in respect of deposit accounts and securities accounts (if any) required   pursuant to the Security Documents.   The Company shall, on or before the date that is 120 days after the Issue   Date, have made such filings, registrations or recordations executed and in proper form   for filing, registration or recordation necessary to create in favor of the Collateral Agent,   for the benefit of the holders of the Securities, a perfected second-priority lien and   security interest in the Specified Trucks (as defined in the Indenture).    

 

Schedule 7      Control Agreements      None.    

 

ANNEX A      Additional Time of Sale Information   1. Term sheet containing the terms of the Securities, substantially in the form of   Annex B.        

 

ANNEX B      Pricing Term Sheet, dated November 19, 2013   to Preliminary Offering Memorandum dated November 7, 2013   Strictly Confidential   U.S. Concrete, Inc.   This pricing term sheet is qualified in its entirety by reference to the Preliminary Offering   Memorandum (the “Preliminary Offering Memorandum”). The information in this   pricing term sheet supplements the Preliminary Offering Memorandum and updates and   supersedes the information in the Preliminary Offering Memorandum to the extent it is   inconsistent with the information in the Preliminary Offering Memorandum. Terms used   and not defined herein have the meanings assigned in the Preliminary Offering   Memorandum.   The notes have not been registered under the Securities Act of 1933, as amended, or the   securities laws of any other jurisdiction. The notes may not be offered or sold in the   United States or to U.S. persons (as defined in Regulation S) except in transactions   exempt from, or not subject to, the registration requirements of the Securities Act.   Accordingly, the notes are being offered only to (1) “qualified institutional buyers” as   defined in Rule 144A under the Securities Act and (2) outside the United States to non-   U.S. persons in compliance with Regulation S under the Securities Act.      Issuer: U.S. Concrete, Inc.   Security description: Senior Secured Notes   Distribution: 144A/Reg S registration rights   Size: $200,000,000   Gross proceeds: $200,000,000   Maturity: December 1, 2018   Coupon:  8.500%   Issue price: 100.000% of face amount.    Yield to maturity: 8.500%   Spread to Benchmark Treasury:  +715bps   Benchmark Treasury: UST 1.25% due October 31, 2018   Interest Payment Dates: June 1 and December 1, commencing June   1, 2014   Equity clawback: Up to 35% at 108.5% prior to December 1,   2015   Optional redemption:     Make-whole call @ T+50bps prior to   December 1, 2015 then:       On or after: Price:    December 1, 2015 104.250%    December 1, 2016 102.125%    December 1, 2017   and thereafter   100.000%         

 

2      Change of control: Putable at 101% of principal plus accrued   and unpaid interest   Trade date: November 19, 2013.   Settlement: T+3; November 22, 2013.    CUSIP: 144A: CUSIP No. 90333L AJ1   REG S: CUSIP No. U9033E AD0   ISIN: 144A: ISIN No. US90333LAJ17   REG S: ISIN No. USU9033EAD05   Denominations/Multiple: 2,000 x 1,000   Ratings*: Caa1/B   Sole  Book-Running Manager: J.P. Morgan Securities LLC       Senior Co-Manager: Jefferies LLC       Co-Managers: Capital One Securities, Inc.    Mitsubishi UFJ Securities (USA) Inc.       Additional comments: (1) On November 13, 2013, Standard &   Poor’s Ratings Services announced   that it intends to publish revised   criteria for determining issuer credit   ratings on corporate and industrial   companies and utilities. Certain   issuer credit ratings (including U.S.   Concrete, Inc.’s credit ratings) may   be affected by the new criteria and   may have a rating change. Earlier in   the fourth quarter of 2013 Standard   & Poor’s Ratings Services assigned   U.S. Concrete, Inc. a B corporate   credit rating as well as a B rating   for the notes being offered and the   criteria revision may affect those   ratings. Any rating agency   downgrades may adversely affect   the trading value of the notes.   (2) The maturity date of our Revolving   Facility will be October 2, 2018 (60   days prior to the maturity of the   notes).       Use of Proceeds   Estimated net proceeds to the Issuer from the offering of notes will be approximately   $193.5 million, after deducting the Initial Purchasers’ discounts and commissions and   estimated offering expenses.   __________________     

 

3      This material is confidential and is for your information only and is not intended to   be used by anyone other than you. This information does not purport to be a   complete description of these notes or the offering. Please refer to the Preliminary   Offering Memorandum for a complete description.    This communication is being distributed in the United States solely to Qualified   Institutional Buyers, as defined in Rule 144A under the Securities Act of 1933, as   amended, and outside the United States solely to Non-U.S. persons as defined under   Regulation S.   This communication does not constitute an offer to sell or the solicitation of an offer   to buy any securities in any jurisdiction to any person to whom it is unlawful to   make such offer or solicitation in such jurisdiction.   *A securities rating is not a recommendation to buy, sell or hold securities and may be   subject to revision or withdrawal at any time.   Any disclaimer or other notice that may appear below is not applicable to this   communication and should be disregarded.  Such disclaimer or notice was automatically   generated as a result of this communication being sent by Bloomberg or another email   system.     

 

      Restrictions on Offers and Sales Outside the United States    In connection with offers and sales of Securities outside the United States:     (a) Each Initial Purchaser acknowledges that the Securities have not been registered   under the Securities Act and may not be offered or sold within the United States or to, or for the   account or benefit of, U.S. persons except pursuant to an exemption from, or in transactions not   subject to, the registration requirements of the Securities Act.    (b) Each Initial Purchaser, severally and not jointly, represents, warrants and agrees   that:    (i) Such Initial Purchaser has offered and sold the Securities, and will   offer and sell the Securities, (A) as part of their distribution at any time and (B)   otherwise until 40 days after the later of the commencement of the offering of the   Securities and the Closing Date, only in accordance with Regulation S under the   Securities Act (“Regulation S”) or Rule 144A or any other available exemption   from registration under the Securities Act.    (ii) None of such Initial Purchaser or any of its affiliates or any other   person acting on its or their behalf has engaged or will engage in any directed   selling efforts with respect to the Securities, and all such persons have complied   and will comply with the offering restrictions requirement of Regulation S.     (iii) At or prior to the confirmation of sale of any Securities sold in   reliance on Regulation S, such Initial Purchaser will have sent to each distributor,   dealer or other person receiving a selling concession, fee or other remuneration   that purchases Securities from it during the distribution compliance period a   confirmation or notice to substantially the following effect:   “The Securities covered hereby have not been registered under the U.S. Securities   Act of 1933, as amended (the “Securities Act”), and may not be offered or sold within the United   States or to, or for the account or benefit of, U.S. persons (i) as part of their distribution at any   time or (ii) otherwise until 40 days after the later of the commencement of the offering of the   Securities and the date of original issuance of the Securities, except in accordance with   Regulation S or Rule 144A or any other available exemption from registration under the   Securities Act.  Terms used above have the meanings given to them by Regulation S.”    (iv) Such Initial Purchaser has not and will not enter into any   contractual arrangement with any distributor with respect to the distribution of the   Securities, except with its affiliates or with the prior written consent of the   Company.   Terms used in paragraph (a) and this paragraph (b) and not otherwise defined in this Agreement   have the meanings given to them by Regulation S.     (c) Each Initial Purchaser acknowledges that no action has been or will be taken by   the Company that would permit a public offering of the Securities, or possession or distribution     

 

2      of any of the Time of Sale Information, the Offering Memorandum, any Issuer Written   Communication or any other offering or publicity material relating to the Securities, in any   country or jurisdiction where action for that purpose is required.    (d) Each Initial Purchaser, severally and not jointly, represents, warrants and agrees   that:     (i) it has only communicated or caused to be communicated and will only   communicate or cause to be communicated any invitation or inducement to engage in investment   activity (within the meaning of Section 21 of the Financial Services and Markets Act 2000 (the   “FSMA”)) received by it in connection with the issue or sale of any Securities in circumstances   in which Section 21(1) of the FSMA does not apply to the Company; and     (ii) it has complied and will comply with all applicable provisions of the   FSMA with respect to anything done by it in relation to the Securities in, from or otherwise   involving the United Kingdom.<PDF>
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