Document:

EXHIBIT 10.2

 

Allstate
Life Insurance Company

3075
Sanders Road

Northbrook,
IL  60062

 

Re: Sale Agreement for those Mortgages listed on Exhibit “A”

 

Allstate Insurance Company (“Assignor”) by this Assignment Agreement hereby sells, assigns,
transfers and delivers to Allstate Life Insurance
Company (“Assignee”) on September 10th 2008,
(the “Settlement Date”), without recourse, all of its rights, title and
interest in, to and under those certain securities, mortgage notes and mortgages
(and related Claims, if any) with all accrued but unpaid interest thereon as
listed on Schedule “A” attached hereto, specifically including but not by way
of limitation, promissory notes or other evidences of indebtedness (specifically
including participations therein) secured in whole or part by mortgages, deeds
of trust, trust indentures, assignments of rents or any other form of lien or
security interest therein,  and further including
specifically, but not by way of limitation, all title policies, letters of
credit, escrow accounts, insurance policies and any security interest in
personal property given to secure the debt obligation secured by the respective
mortgage transaction (collectively, the “Mortgages”) along with all
claims (including “claims” as defined in the United States Bankruptcy Code, as
amended (the “Bankruptcy Code”), § 101(5)), guaranties, suits, causes of
action, and any other rights of Assignor, whether known or unknown, against any
obligor or issuer, any guarantor of an issuer’s obligations or any of their affiliates,
agents, representatives, contractors, advisors, or any other entity or person
that in any way is based upon, arises out of, or is related to any of the
foregoing, including, to the extent permitted under applicable law, all claims
(including contract claims, tort claims, malpractice claims, and claims under
any law governing the purchase and assignment of, or indentures for, securities
or debt obligations), suits, causes of action, and any other right of Assignor
against any attorney, accountant, financial advisor, appraiser, engineer or
architect, or other person or entity arising under or in connection with the
foregoing, in each case, solely to the extent related to the Mortgages
(collectively, the “Claims”). In this Assignment Agreement, an issuer
may also be referred to as the “obligor”.

 

Allstate
Life Insurance Company hereby purchases and accepts assignment and delivery of
the Mortgages and related Claims for the purchase price indicated in column
captioned, “Market Value” of Schedule “A” attached hereto, plus accrued but
unpaid interest as set forth in the column captioned, “Accrued Interest” of
Schedule “A” attached hereto.

 

1.             Assignor
hereby represents and warrants to Assignee that:

 

(a)           Assignor
is duly organized and validly existing and in good standing under the laws of Illinois
and has the corporate or other power and authority to enter into and perform
its obligations under this Assignment Agreement and to assign, transfer and
deliver to the Assignee the Mortgages.

 

(b)           This
Assignment Agreement has been duly authorized, executed and delivered by, and
is a valid and binding agreement of, Assignor, enforceable in accordance with
its terms, except as the enforcement thereof may be limited by bankruptcy,
insolvency, reorganization, moratorium or other similar laws relating to or
affecting the rights and remedies of creditors or by general equitable
principles.

 

 

(c)           Assignor
is the legal, record and beneficial owner of the Mortgages. Assignor has, and
will have as of the Settlement Date, good and valid title to the Mortgages,
free and clear of all liens, claims, security interests, defenses, rights of
set-off, options or encumbrances of any kind (“Encumbrances”) except
encumbrances set forth as exclusions or exceptions to coverage in the title
policy insuring lender’s interest in the real estate which secures the mortgage
or other evidence of indebtedness and, upon delivery of such Mortgages good and
valid title to such Mortgages, free and clear of all Encumbrances, will be
transferred to Assignee. The Mortgages are not subject to any prior Assignment,
transfer, assignment or participation by Assignor or any agreement by Assignor
to assign, convey, transfer or participate, in whole or in part.

 

(d)           Assignor’s
execution, delivery, and performance of this Assignment Agreement, the assignment
and delivery of the Mortgages to be assigned hereunder, and consummation of the
transactions contemplated hereby will not result in a breach or violation of
any provision of (i) Assignor’s organizational documents, (ii) any
statute, law, writ, order, rule or regulation of any governmental
authority applicable to Assignor, (iii) any judgment, injunction, decree
or determination applicable to Assignor or (iv) any contract, indenture,
mortgage, loan agreement, note, lease or other instrument by which Assignor may
be bound or to which any of the assets of Assignor are subject.

 

(e)           No
consent, approval, authorization or other order of, or registration or filing
with, any court or other governmental or regulatory authority or agency or
other third party, is required for Assignor’s execution, delivery and
performance of this Assignment Agreement, the Assignment and delivery of the Mortgages
being assigned hereunder, or consummation of the transactions contemplated
hereby.

 

(f)            Assignor
has received no notice and has no actual knowledge that the Mortgages (i) were
not duly authorized, executed, issued and delivered and (ii) do not now
constitute valid and legally binding obligations of the obligor enforceable in
accordance with their terms (except as limited by bankruptcy, insolvency,
reorganization, moratorium or other similar laws relating to or affecting the
rights and remedies of creditors or by general equitable principles).

 

(g)           At
the Settlement Date, appropriate (i) allonges (or endorsements without
recourse) for each promissory note or other mortgage debt obligation will be
provided and attached to such promissory note or mortgage debt obligation, and (ii) assignments
of the mortgages in recordable form, each evidencing the transfer to Assignee of
the respective Mortgage, will be executed by person(s) duly authorized to
do so, will be lawfully delivered, and will be valid, binding and enforceable
in accordance with the terms thereof.

 

(h)           To
the best of Assignor’s knowledge, there are no conditions or restrictions
applicable to the Mortgages that would prohibit the assignment thereof to the Assignee.
Assignor knows of no reason that would prevent the Mortgages from being
registered in the Assignee’s name or the name of Assignee’s nominee, subject to
complying with the respective recording requirement and payment of recording
fees.

 

2.             Assignee
hereby makes the following representations and warranties:

 

(a)           Assignee
is duly organized and validly existing and in good standing under the laws and
jurisdiction of Illinois, and has the corporate or other power and authority to
accept delivery and hold the Mortgages and to enter into and perform its
obligations under this Assignment Agreement.

 

2

 

(b)           This
Assignment Agreement has been duly authorized, executed and delivered by, and
is a valid and binding agreement of, Assignee, enforceable in accordance with
its terms, except as the enforcement thereof may be limited by bankruptcy,
insolvency, reorganization, moratorium or other similar laws relating to or
affecting the rights and remedies of creditors or by general equitable
principals.

 

(c)           Assignee’s
execution, delivery, and performance of this Assignment Agreement, the acceptance
of the Mortgages to be assigned hereunder, and the consummation of the
transactions contemplated hereby will not result in a breach of any provision
of (i) Assignee’s organizational documents, (ii) and statute, law,
writ, order, rule, or regulation of any governmental authority applicable to Assignee,
(iii) any judgment, injunction, decree or determination applicable to Assignee,
or (iv) any contract, indenture, mortgage, loan agreement, note, lease, or
other instrument by which Assignee may be bound or to which any of the assets
of Assignee are subject.

 

(d)           No
consent, approval, authorization or other order of, or registration or filing
with, any court or other governmental or regulatory authority or agency or
other third party, is required for Assignee’s execution, delivery and
performance of this Assignment Agreement, the assignment of the Mortgages being
assigned hereunder, or consummation of the transactions contemplated hereby.

 

(e)           Assignee
(i) is a sophisticated entity that is an accredited investor within the
meaning of Rule 501 under the Securities Act of 1933 (the “Act”), (ii) is
able to bear the economic risk associated with the Mortgages, (iii) has
received such information as it deems necessary and appropriate to make an
informed decision regarding the acquisition of the Mortgages, (iv) has
such knowledge and experience, and has made investment of a similar nature, so
as to be aware of the risks and uncertainties inherent in the investment of the
type contemplated in this Assignment Agreement.

 

(f)            The
Mortgages are being acquired for Assignee’s own account without any view to the
“distribution” thereof within the meaning of the Act and Assignee has no
intention of distributing or reselling the Mortgages, or any part thereof,
except in accordance with the Act and the rules and regulations of the
Securities and Exchange Commission promulgated thereunder.

 

3.             The
assignment and transfer of the Mortgages and the foregoing representations,
warranties and agreements of each of Assignor and Assignee shall be deemed made
on and at the date of Assignor’s transfer of the Mortgages to Assignee or its
nominee. Assignee shall have no recourse against Assignor, nor shall Assignor
incur any liability, for any misstatement (whether material or immaterial) or
omission (whether negligent or otherwise) of any issuer or any of the other
parties to the Mortgages (other than of Assignor to the extent set forth
herein).

 

4.             Seller
and Purchaser hereby agree that in consideration of the transfer to Purchaser by
Seller of the Mortgages pursuant hereto, Purchaser, upon delivery to Purchaser
of the Mortgages with endorsements or allonges as described in section 1 (g) hereof
as appropriate to effect transfer of the Mortgages, will pay to Seller by wire
transfer of immediately available funds the amount determined in accordance
with the attached Purchase Price Schedule in accordance with the payment wiring
instructions set forth on the Purchase Price Schedule (or such other account of
Seller as Seller may direct). Settlement will take place pursuant to the
following instructions: Assignor will cause its clearing bank to deliver the Mortgages
to the following institution:

 

3

 

ALLSTATE LIFE INSURANCE COMPANY

c/o Citibank, N.A.

333 West 34th Street, 3rd
Floor Securities Vault

New York, New York 10001

Attention: 
Danny Reyes

For Allstate Life Insurance Company / Safekeeping Account No. 846627

 

(or
such other delivery to Assignee as Assignee may reasonably direct)  and Assignee, upon delivery of the Mortgages
(with allonges or endorsements as provided in Section 1(g) hereof),
will pay to Assignor by wire transfer of immediately available funds the amount
indicated on the Purchase Price Schedule.

 

5.             From
and after the date hereof, Assignor covenants and agrees to execute and deliver
all such agreements, instruments and documents or modifications such as (but
not by way of limitation) assignments, U.C.C. filings of Assignment or
modification, and to take all such further actions as the other party may
reasonably request from time to time (at the requesting party’s expense) to
carry out the intent and purposes and to consummate the transactions
contemplated hereby and to fully effect the transfer of the Mortgages and all
interests held by Assignor therein to the Assignee.

 

6.             If
at any time after the closing of the transactions contemplated hereby, Assignor
receives any payment or other distributions of cash (including principal, interest,
or premium), notes, securities, or other property (including collateral) or
proceeds (including insurance proceeds) under or in respect of the Mortgages (a
“Distribution”), Assignor shall (i) accept and hold the
Distribution for the account and sole benefit of Assignee, (ii) have no
equitable or beneficial interest in the Distribution, and (iii) promptly
deliver the Distribution to Assignee in accordance with the wiring instructions
set forth below (free of any withholding, setoff, recoupment, or deduction of
any kind except as required by law).

 

7.             The
respective agreements, representations, warranties and other statements of Assignor
and Assignee set forth in or made pursuant to this Assignment Agreement will
remain in full force and effect, regardless of any investigation made by or on
behalf of Assignee or Assignor or any of their respective partners, officers or
directors or any controlling person, as the case may be, and will survive
delivery of the Securities assigned hereunder.

 

8.             This
Assignment Agreement shall be governed by and construed in accordance with the
laws of the State of New York applicable to agreements made and to be performed
entirely within such state. THE PARTIES HEREBY IRREVOCABLY AND UNCONDITIONALLY
WAIVE, TO THE FULLEST EXTENT PERMITTED BY APPLICABLE LAW, ANY RIGHT THAT THEY MAY HAVE
TO TRIAL BY JURY OF ANY CLAIM OR CAUSE OF ACTION, OR IN ANY LEGAL PROCEEDING,
DIRECTLY OR INDIRECTLY BASED UPON OR ARISING OUT OF THIS ASSIGNMENT AGREEMENT
OR THE TRANSACTIONS CONTEMPLATED BY THIS ASSIGNMENT AGREEMENT (WHETHER BASED ON
CONTRACT, TORT OR ANY OTHER THEORY).

 

9.             This
Assignment Agreement will inure to the benefit of and be binding upon the
parties hereto, and in each case their respective successors, and no other
person will have any right or obligation hereunder.

 

4

 

10.           The
invalidity or unenforceability of any section, paragraph or provision of this Assignment
Agreement shall not affect the validity or enforceability of any other section,
paragraph or provision hereof. If any section, paragraph or provision of this Assignment
Agreement is for any reason determined to be invalid or unenforceable, there
shall be deemed to be made changes (and only such changes) as are necessary to
make it valid and enforceable.

 

11.           This
Assignment Agreement may be executed in two or more counterparts, each one of
which shall be an original, with the same effect as if the signatures thereto
and hereto were upon the same instrument. This Assignment Agreement may not be
amended or modified unless in writing by all of the parties hereto, and no
condition herein (express or implied) may be waived unless waived in writing by
each party whom the condition is meant to benefit.

 

 

	
   

  	
   

  	
  Allstate Insurance Company, Assignee

  
	
   

  	
   

  	
   

  
	
   

  	
   

  	
   

  
	
   

  	
   

  	
  By:

  	
  /s/ Breege Farrell

  
	
   

  	
   

  	
  Name:  

  	
  Breege Farrell

  
	
   

  	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
   

  	
  By:

  	
  /s/ Patricia Wilson

  
	
   

  	
   

  	
  Name:  

  	
  Patricia Wilson

  
	
   

  	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
   

  	
   

  
	
  Accepted and Agreed this 10th day of September, 2008.

  	
   

  	
   

  
	
   

  	
   

  	
   

  
	
  Allstate Life Insurance Company, Assignee

  	
   

  	
   

  
	
   

  	
   

  	
   

  
	
   

  	
   

  	
   

  
	
  By:

  	
  /s/ David A. Walsh

  	
   

  	
   

  
	
  Name: 

  	
  David A. Walsh

  	
   

  	
   

  
	
  Title:

  	
  Authorized Signatory

  	
   

  	
   

  
	
   

  	
   

  	
   

  
	
  By:

  	
  /s/ Mark Cloghessy

  	
   

  	
   

  
	
  Name: 

  	
  Mark Cloghessy

  	
   

  	
   

  
	
  Title:

  	
  Authorized Signatory

  	
   

  	
   

  

 

5

 

Purchase Price Schedule

 

Seller’s Wiring Instructions

 

	
  Bank:

  	
  Citibank

  
	
  ABA #:

  	
  021000089

  
	
  Account Name:

  	
  Allstate Insurance Company Collection Account

  
	
  Account #:

  	
  30546952

  

 

The
Purchase Price for each respective Mortgage listed on Schedule “A” shall be the
amount specified in the column captioned “Market Value” on Schedule “A”, plus
accrued interest to, but not including the Settlement Date specified in the
column captioned “Accrued Interest” on Schedule “A”.

 

6

 

Exhibit A

 

	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
  Principal

  	
   

  	
   

  	
   

  	
   

  
	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
  Amount as of

  	
   

  	
   

  	
   

  	
  Fair Value as of

  
	
  DEPT

  	
   

  	
  Acct/Book

  	
   

  	
  CUSIP

  	
   

  	
  Description

  	
   

  	
  Maturity Date

  	
   

  	
  Coupon Rate

  	
   

  	
  NAIC Rating

  	
   

  	
  Schedule

  	
   

  	
  9/10/2008

  	
   

  	
  Price

  	
   

  	
  9/10/2008

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001070080

  	
   

  	
  Park &
  Commerce Centre

  	
   

  	
  3/1/2012

  	
   

  	
  7.72

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  1,344,842

  	
   

  	
  103.4066

  	
   

  	
  1,390,656

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001070090

  	
   

  	
  Mayfair
  Centre

  	
   

  	
  3/1/2012

  	
   

  	
  7.72

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  551,730

  	
   

  	
  103.4066

  	
   

  	
  570,526

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001070100

  	
   

  	
  200 W.
  Highway 114

  	
   

  	
  8/1/2010

  	
   

  	
  7.25

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  6,385,538

  	
   

  	
  100.0000

  	
   

  	
  6,385,538

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001223740

  	
   

  	
  Hamden Plaza

  	
   

  	
  3/1/2014

  	
   

  	
  5.30

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  8,470,927

  	
   

  	
  98.2414

  	
   

  	
  8,321,959

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001223930

  	
   

  	
  Darien Towne
  Center

  	
   

  	
  6/1/2010

  	
   

  	
  4.65

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  10,000,000

  	
   

  	
  98.3765

  	
   

  	
  9,837,646

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001223970

  	
   

  	
  Stony Creek
  Marketplace

  	
   

  	
  1/1/2011

  	
   

  	
  4.77

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  14,162,000

  	
   

  	
  97.7574

  	
   

  	
  13,844,404

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001223990

  	
   

  	
  Cargill
  Buildings

  	
   

  	
  2/10/2011

  	
   

  	
  5.17

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  10,000,000

  	
   

  	
  101.0459

  	
   

  	
  10,104,592

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001224020

  	
   

  	
  Chestnut
  Apartments

  	
   

  	
  2/1/2009

  	
   

  	
  4.19

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  9,750,000

  	
   

  	
  98.6334

  	
   

  	
  9,616,755

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001224100

  	
   

  	
  Plaza At
  Robinson Town Centre

  	
   

  	
  2/1/2014

  	
   

  	
  5.25

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  7,435,701

  	
   

  	
  96.5363

  	
   

  	
  7,178,150

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001224140

  	
   

  	
  Town &
  Country

  	
   

  	
  9/1/2014

  	
   

  	
  5.15

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  13,690,318

  	
   

  	
  96.7646

  	
   

  	
  13,247,379

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001224180

  	
   

  	
  Dermody -
  Las Vegas

  	
   

  	
  5/1/2014

  	
   

  	
  5.08

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  18,686,852

  	
   

  	
  97.0852

  	
   

  	
  18,142,163

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001224290

  	
   

  	
  221 Main
  Street

  	
   

  	
  9/1/2014

  	
   

  	
  5.10

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  6,840,899

  	
   

  	
  96.1273

  	
   

  	
  6,575,968

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001224330

  	
   

  	
  Wells Fargo
  Office

  	
   

  	
  6/1/2011

  	
   

  	
  4.39

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  2,381,719

  	
   

  	
  95.2802

  	
   

  	
  2,269,306

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001224340

  	
   

  	
  2301
  Maitland Center Parkway

  	
   

  	
  6/1/2011

  	
   

  	
  4.39

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  4,479,053

  	
   

  	
  95.5171

  	
   

  	
  4,278,263

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001224480

  	
   

  	
  One
  Financial Plaza

  	
   

  	
  6/1/2009

  	
   

  	
  4.30

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  8,512,060

  	
   

  	
  98.5700

  	
   

  	
  8,390,336

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001224580

  	
   

  	
  Brook 35
  Plaza

  	
   

  	
  7/1/2014

  	
   

  	
  5.46

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  6,841,830

  	
   

  	
  98.4589

  	
   

  	
  6,736,393

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001224620

  	
   

  	
  Crate &
  Barrel

  	
   

  	
  5/1/2014

  	
   

  	
  5.14

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  4,525,000

  	
   

  	
  94.9530

  	
   

  	
  4,296,622

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001224630

  	
   

  	
  Oak Brook
  Executive Center

  	
   

  	
  6/1/2011

  	
   

  	
  4.66

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  15,000,000

  	
   

  	
  96.0073

  	
   

  	
  14,401,088

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001224660

  	
   

  	
  Countryside
  Shopping Center

  	
   

  	
  2/1/2019

  	
   

  	
  5.62

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  7,632,400

  	
   

  	
  94.1474

  	
   

  	
  7,185,702

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001224680

  	
   

  	
  Providence
  Square SC

  	
   

  	
  7/1/2011

  	
   

  	
  4.89

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  12,700,000

  	
   

  	
  97.5293

  	
   

  	
  12,386,217

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001224690

  	
   

  	
  Andersen
  Windows

  	
   

  	
  8/10/2019

  	
   

  	
  5.62

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  4,306,270

  	
   

  	
  96.6391

  	
   

  	
  4,161,540

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001225050

  	
   

  	
  Eckerd

  	
   

  	
  3/1/2010

  	
   

  	
  5.31

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  799,925

  	
   

  	
  97.0825

  	
   

  	
  776,587

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001225070

  	
   

  	
  8901-8965
  Yellow Brick & 670 Chesap

  	
   

  	
  8/1/2011

  	
   

  	
  5.43

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  8,500,000

  	
   

  	
  98.8479

  	
   

  	
  8,402,068

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001225090

  	
   

  	
  Clayton Lane
  - Phase I

  	
   

  	
  9/10/2014

  	
   

  	
  6.02

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  3,096,994

  	
   

  	
  96.6524

  	
   

  	
  2,993,318

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001225100

  	
   

  	
  Clayton Lane
  - Phase II

  	
   

  	
  9/10/2014

  	
   

  	
  6.16

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  9,456,326

  	
   

  	
  97.3494

  	
   

  	
  9,205,675

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001225130

  	
   

  	
  ProLogis
  Deerfield - NJ

  	
   

  	
  9/1/2012

  	
   

  	
  5.72

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  9,686,270

  	
   

  	
  94.2294

  	
   

  	
  9,127,312

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001225140

  	
   

  	
  ProLogis
  Deerfield- PA

  	
   

  	
  9/1/2012

  	
   

  	
  5.72

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  9,686,270

  	
   

  	
  94.1357

  	
   

  	
  9,118,237

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001225440

  	
   

  	
  Crosstown
  Centre

  	
   

  	
  12/1/2014

  	
   

  	
  5.39

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  3,800,016

  	
   

  	
  87.7236

  	
   

  	
  3,333,513

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001225540

  	
   

  	
  Medical
  Plaza I

  	
   

  	
  3/1/2020

  	
   

  	
  5.69

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  6,973,942

  	
   

  	
  93.3522

  	
   

  	
  6,510,328

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001225580

  	
   

  	
  Regatta
  Apartment Homes

  	
   

  	
  2/1/2011

  	
   

  	
  4.72

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  10,000,000

  	
   

  	
  96.6118

  	
   

  	
  9,661,181

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001225680

  	
   

  	
  Olentangy
  Medical Office Building

  	
   

  	
  5/1/2015

  	
   

  	
  5.49

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  4,658,503

  	
   

  	
  88.4792

  	
   

  	
  4,121,804

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001225730

  	
   

  	
  Cottage
  Plaza

  	
   

  	
  3/1/2010

  	
   

  	
  4.60

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  13,025,000

  	
   

  	
  98.3983

  	
   

  	
  12,816,385

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001225750

  	
   

  	
  Opus Plaza
  At Highlands Ranch II

  	
   

  	
  3/1/2015

  	
   

  	
  5.29

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  9,074,769

  	
   

  	
  91.1087

  	
   

  	
  8,267,906

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001225820

  	
   

  	
  Montogomery
  Corporate Center II

  	
   

  	
  3/1/2010

  	
   

  	
  4.50

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  5,300,000

  	
   

  	
  97.8810

  	
   

  	
  5,187,694

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001225830

  	
   

  	
  Caterpillar
  Building

  	
   

  	
  1/1/2010

  	
   

  	
  4.65

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  10,000,000

  	
   

  	
  98.3942

  	
   

  	
  9,839,418

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001225960

  	
   

  	
  Techworld I

  	
   

  	
  6/1/2015

  	
   

  	
  5.77

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  10,000,000

  	
   

  	
  96.8155

  	
   

  	
  9,681,550

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001226000

  	
   

  	
  Washington
  Franklin Parking Garage

  	
   

  	
  1/1/2015

  	
   

  	
  4.90

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  12,500,000

  	
   

  	
  92.3318

  	
   

  	
  11,541,470

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001226020

  	
   

  	
  Holliday
  Towne Center

  	
   

  	
  3/1/2010

  	
   

  	
  5.18

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  1,596,125

  	
   

  	
  98.8723

  	
   

  	
  1,578,126

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001226130

  	
   

  	
  Park Place
  Plaza

  	
   

  	
  8/1/2012

  	
   

  	
  5.19

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  6,500,000

  	
   

  	
  95.8930

  	
   

  	
  6,233,046

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001226460

  	
   

  	
  SAP I
  Building

  	
   

  	
  9/1/2012

  	
   

  	
  5.12

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  7,487,739

  	
   

  	
  94.6260

  	
   

  	
  7,085,348

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001226640

  	
   

  	
  Northwest
  Industrial Portfolio - Or

  	
   

  	
  9/1/2010

  	
   

  	
  4.85

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  14,750,000

  	
   

  	
  98.4137

  	
   

  	
  14,516,019

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001226720

  	
   

  	
  Ascot Glen

  	
   

  	
  9/1/2012

  	
   

  	
  4.96

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  5,000,000

  	
   

  	
  97.0825

  	
   

  	
  4,854,124

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001226850

  	
   

  	
  Wash
  Franklin

  	
   

  	
  1/1/2015

  	
   

  	
  5.40

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  8,000,000

  	
   

  	
  95.6041

  	
   

  	
  7,648,329

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001226930

  	
   

  	
  International
  Plaza I And II

  	
   

  	
  9/1/2010

  	
   

  	
  6.00

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  9,602,385

  	
   

  	
  99.8118

  	
   

  	
  9,584,312

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001228130

  	
   

  	
  1401 Arch
  Street

  	
   

  	
  6/1/2011

  	
   

  	
  5.58

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  12,500,000

  	
   

  	
  98.3998

  	
   

  	
  12,299,980

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001228330

  	
   

  	
  Macedonia
  Crossing

  	
   

  	
  8/5/2011

  	
   

  	
  6.05

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  5,250,000

  	
   

  	
  97.8711

  	
   

  	
  5,138,234

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001228370

  	
   

  	
  Rockbrook
  Creek

  	
   

  	
  6/1/2011

  	
   

  	
  5.98

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  4,462,500

  	
   

  	
  99.1083

  	
   

  	
  4,422,710

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001228390

  	
   

  	
  Devon Square
  Shopping Center

  	
   

  	
  7/1/2011

  	
   

  	
  5.91

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  10,000,000

  	
   

  	
  93.9292

  	
   

  	
  9,392,920

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001228410

  	
   

  	
  Republic
  Center

  	
   

  	
  9/1/2013

  	
   

  	
  6.11

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  6,250,000

  	
   

  	
  100.9852

  	
   

  	
  6,311,575

  

 

 

	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001228450

  	
   

  	
  Pacific
  Plaza

  	
   

  	
  8/1/2013

  	
   

  	
  6.34

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  7,750,000

  	
   

  	
  97.2951

  	
   

  	
  7,540,373

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001228490

  	
   

  	
  The Commons

  	
   

  	
  9/1/2016

  	
   

  	
  6.33

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  3,925,000

  	
   

  	
  90.1296

  	
   

  	
  3,537,586

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001228630

  	
   

  	
  Westgate
  Building

  	
   

  	
  11/1/2011

  	
   

  	
  6.07

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  6,671,392

  	
   

  	
  100.2048

  	
   

  	
  6,685,054

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001228680

  	
   

  	
  City Place -
  A

  	
   

  	
  10/5/2011

  	
   

  	
  5.93

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  5,770,560

  	
   

  	
  99.9671

  	
   

  	
  5,768,664

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001228720

  	
   

  	
  City Place -
  B

  	
   

  	
  10/5/2011

  	
   

  	
  5.93

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  3,609,309

  	
   

  	
  99.9017

  	
   

  	
  3,605,760

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001228770

  	
   

  	
  Equinox
  Apartments

  	
   

  	
  9/1/2010

  	
   

  	
  6.40

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  4,275,000

  	
   

  	
  95.2834

  	
   

  	
  4,073,366

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001228840

  	
   

  	
  626 Dekalb
  On The Beltline

  	
   

  	
  7/1/2012

  	
   

  	
  5.84

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  4,907,500

  	
   

  	
  98.4405

  	
   

  	
  4,830,969

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001228880

  	
   

  	
  Pierre
  Laclede Center

  	
   

  	
  9/1/2011

  	
   

  	
  5.87

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  10,000,000

  	
   

  	
  98.1902

  	
   

  	
  9,819,015

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001228900

  	
   

  	
  Osco
  Warehouse

  	
   

  	
  5/5/2016

  	
   

  	
  6.27

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  4,895,394

  	
   

  	
  91.4518

  	
   

  	
  4,476,925

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001228980

  	
   

  	
  Annapolis
  Roads Apartments

  	
   

  	
  1/5/2011

  	
   

  	
  5.95

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  5,145,143

  	
   

  	
  100.0256

  	
   

  	
  5,146,460

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001229120

  	
   

  	
  One Tower
  Bridge

  	
   

  	
  11/10/2011

  	
   

  	
  5.51

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  1,565,000

  	
   

  	
  98.7677

  	
   

  	
  1,545,714

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001229130

  	
   

  	
  Watt Plaza

  	
   

  	
  2/1/2022

  	
   

  	
  5.80

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  2,911,393

  	
   

  	
  93.6220

  	
   

  	
  2,725,704

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001229290

  	
   

  	
  Highlands
  Ranch II

  	
   

  	
  3/1/2015

  	
   

  	
  5.71

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  9,115,729

  	
   

  	
  93.9233

  	
   

  	
  8,561,798

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001229410

  	
   

  	
  Walden Park

  	
   

  	
  1/1/2014

  	
   

  	
  5.45

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  10,000,000

  	
   

  	
  97.2921

  	
   

  	
  9,729,209

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001229760

  	
   

  	
  Tyco
  Building

  	
   

  	
  5/1/2014

  	
   

  	
  5.65

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  8,500,000

  	
   

  	
  96.6671

  	
   

  	
  8,216,700

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001230000

  	
   

  	
  Cottages At
  Ellis Preserve

  	
   

  	
  9/1/2012

  	
   

  	
  5.88

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  6,010,188

  	
   

  	
  97.1160

  	
   

  	
  5,836,856

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001230050

  	
   

  	
  Plantation
  Park @ Ballantyne

  	
   

  	
  7/1/2017

  	
   

  	
  5.46

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  15,200,000

  	
   

  	
  93.4314

  	
   

  	
  14,201,577

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001230110

  	
   

  	
  Castle Ridge
  Plaza

  	
   

  	
  10/1/2022

  	
   

  	
  5.66

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  7,904,307

  	
   

  	
  89.3616

  	
   

  	
  7,063,415

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001230210

  	
   

  	
  Meadowlands
  Distribution Center

  	
   

  	
  6/1/2017

  	
   

  	
  5.61

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  15,000,000

  	
   

  	
  92.9805

  	
   

  	
  13,947,068

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001230220

  	
   

  	
  Jericho
  Atrium

  	
   

  	
  7/1/2012

  	
   

  	
  5.69

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  18,000,000

  	
   

  	
  96.9500

  	
   

  	
  17,450,999

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001230230

  	
   

  	
  Aurora
  Business Center

  	
   

  	
  8/5/2012

  	
   

  	
  5.92

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  2,260,000

  	
   

  	
  98.8594

  	
   

  	
  2,234,222

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001230240

  	
   

  	
  Airport
  Business Center II

  	
   

  	
  8/5/2012

  	
   

  	
  5.92

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  1,730,000

  	
   

  	
  98.8594

  	
   

  	
  1,710,267

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001230250

  	
   

  	
  Gateway
  Plaza

  	
   

  	
  8/5/2012

  	
   

  	
  5.92

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  5,680,000

  	
   

  	
  99.2907

  	
   

  	
  5,639,712

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001230330

  	
   

  	
  Greenbriar
  Chateau Apartments

  	
   

  	
  9/1/2012

  	
   

  	
  6.30

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  10,000,000

  	
   

  	
  95.2773

  	
   

  	
  9,527,726

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  001230450

  	
   

  	
  St. Moritz
  Apartments

  	
   

  	
  8/1/2010

  	
   

  	
  6.05

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  34,537,534

  	
   

  	
  99.2570

  	
   

  	
  34,280,916

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  005000090

  	
   

  	
  Loews Santa
  Monica

  	
   

  	
  3/9/2009

  	
   

  	
  3.61

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  10,000,000

  	
   

  	
  90.2906

  	
   

  	
  9,029,058

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  005500010

  	
   

  	
  EOP
  Portfolio

  	
   

  	
  4/1/2009

  	
   

  	
  3.67

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  11,876,971

  	
   

  	
  88.9150

  	
   

  	
  10,560,409

  
	
  CMTG

  	
   

  	
  Asset Type
  >> COMMLOAN

  	
   

  	
  005500020

  	
   

  	
  EOP
  Portfolio

  	
   

  	
  4/1/2009

  	
   

  	
  3.97

  	
   

  	
  NA

  	
   

  	
  Schedule B

  	
   

  	
  18,663,811

  	
   

  	
  88.8750

  	
   

  	
  16,587,462

  
	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  
	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
   

  	
  637,558,136

  	
   

  	
   

  	
   

  	
  613,303,354Exhibit 10.1

 

Amendment Number 1

to

$150,000 Promissory Note Issued by ProUroCare
Medical, Inc

in favor of Profile L.L.C., dated April 3,
2008

 

The $150,000 Promissory Note Issued by ProUroCare Medical, Inc in favor
of Profile L.L.C., dated April 3, 2008 is hereby amended as follows:

 

Section 1 is DELETED and REPLACED by the
following:

 

1.                                       Maturity.  This Note (principal plus accrued and unpaid
interest) becomes due and payable on September 25, 2008, (the “Maturity
Date”).  Purchaser may prepay this Note
at any time without incurring any penalty. 
Unless otherwise agreed or required by applicable law, payments will be
applied first to any accrued unpaid interest and then to principal.

 

Section 6 is DELETED and REPLACED by the
following:

 

6.             Default and
Remedies Upon Event of Default.  An “Event
of Default” shall be deemed to occur if and when this Note is not fully paid at
the Maturity Date.  If Purchaser has not
cured any such Event of Default thereafter, then Seller may exercise or enforce
its rights against the Assets, which rights shall encompass:

 

a)             The Purchaser
delivering to the Seller a bill of sale transferring to Seller all of the
Assets set forth in Exhibit A plus an assignment assigning to Seller all
of the Assets set forth in Exhibit A; and

 

b)            Purchaser renouncing
any and all right to recoup any monies theretofor paid to Seller for such
Assets.

 

 

	
  PURCHASER:

  	
   

  	
   

  
	
   

  	
   

  	
   

  
	
   

  	
   

  	
  ProUroCare Medical, Inc.

  
	
   

  	
   

  	
   

  
	
   

  	
   

  	
   

  
	
   

  	
   

  	
  By:

  	
  /s/Richard Thon

  
	
   

  	
   

  	
   

  	
  CFO

  

 

	
  Accepted:

  	
   

  	
   

  	
   

  
	
   

  	
   

  	
   

  	
   

  
	
  Profile L.L.C.

  	
   

  	
   

  	
   

  
	
   

  	
   

  	
   

  	
   

  
	
   

  	
   

  	
   

  	
   

  
	
  By:

  	
    Stanley Graves

  	
   

  	
   

  	
   

  
	
   

  	
   

  	
   

  	
   

  
	
   

  	
   

  	
   

  	
   

  
	
  Dated:

  	
    Sept
  10, 2008

Source: [{"source": "alea-institute/alea-institute/kl3m-data-edgar-agreements/train-00147-of-00352.parquet"}, [{"source": "alea-institute/alea-institute/kl3m-data-edgar-agreements/train-00147-of-00352.parquet"}]]