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Due Diligence: The
Due Diligence Checklist
(posted March 22,
2011) |
PDF
of Checklist
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Issuers are often
required to engage in a due diligence review by their audit firms,
legal counsel, underwriters and other
outside third parties in anticipation of: (1) preparing audited financial
statements and annual report; (2) a public or private financing
transaction; (3) an initial public offering: (4) a merger or acquisition
of the issuer's business; (5) a significant
commercial transaction such as a joint venture; (6) major bank financing;
or (7) general risk management.
The due diligence process has several components.
Legal counsel and underwriters will usually start by conducting a business
and media database review. They will then search various public
records to independently confirm key information and then move on to
direct contact with government and industry information sources such as
court registries, Canadian Revenue Services, Workman's Compensation,
PPSA, Patent & Trademark Office etc. Some of the searches will require
written consent from the issuer and may take a few weeks to be returned.
As part of the due diligence process, issuers will
be asked to gather and provide a rather long list of documents and
detailed written disclosure often referred to as a "due diligence check
list". Directors, officers and major stockholders will also be asked
to complete a detailed background questionnaire.
It can take a considerable amount of time for an
issuer to get the required documents and information together forming a
due diligence checklist. It is one of the major stumbling blocks to
moving a transaction along at a reasonable pace.
The cost associated with a transaction can also go
up considerably when legal counsel is faced with an Easter egg hunt for
information and documents delivered in 10 unmarked jumbled boxes with little input
from management. Paying a lawyer $400 an hour to organize, gather
information and identify the missing pieces in a due diligence check list
is crazy unless an issuer has deep pockets and no staff on hand getting
paid less than $425 an hour to organize things in-house. Even if a
law firm uses a law student or a legal assistant to organize this material
for an issuer, they are going to charge $150 an hour for that student or
assistant to sort out what would have cost that issuer 1/10th the cost if
the work had been done by their own executive assistant or Jerry the temp.
Of course, the choice is that of the issuer. Law firms will gladly
accommodate the wishes of any client who wishes the law firm to do this type
of work for them. Just expect to be charged accordingly.
Issuers can get jump on their audit or major
transaction by gathering and organizing the material and information
normally requested in a due diligence review. The list below is an
example of a due diligence checklist which a technology or industrial
company would likely receive in connection with a major transaction. Resource companies would have a
slightly different list focused on their specific industry. Each
item in the list is required to be addressed. If an item is not
applicable or the answer is "none" it should be noted in the notes column
on the right hand side. Relevant documents referenced in the due
diligence list should be flagged with a sticky that corresponds with the
item number in the due diligence list. If an answer requires more
room than available in the notes column; a page with the item number at the
top should be created as a schedule and the answer provided in that
schedule. Some of our
clients like to place their due diligence package in a binder(s).
Other clients use a banker box with folders to keep the various items
sorted. Either method is fine. What is important is that the
information and documents are easy to find. Legal counsel can fine tune
the due diligence package once the basics are in place.
An issuer who has a due diligence review package
together, whether for audit or other purposes, will find it is relatively
easy to
update this package moving forward when it is needed for other uses. It is
getting the initial due diligence review package together that is time
consuming. Issuers who are prepared will find the due diligence process a relatively painless experience with very
few if any surprises.
The due diligence checklist below is
presented as an example only. We encourage you to contact your
own legal counsel before using this checklist .
Almost all attorneys and audit firms have their own version of a due
diligence checklist. Please feel free, however, to instruct your legal counsel to adapt this
form to your own use if you find it useful as a starting point.
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DUE DILIGENCE CHECK LIST
Please
provide us with the documents referred to below for [NAME OF ISSUER] (“[NAME]”)
and each of its subsidiaries and predecessors. (Unless the context
otherwise requires, all references to the “Issuer”
include [NAME] and each of its subsidiaries
and predecessors.) Except where a list, schedule or description is
requested, please provide us with a copy
of the requested agreement, correspondence or other document. Please
do not provide any
“privileged” documents; however, please indicate whether any
“privileged” documents have been withheld. In addition, you do not need to
provide any documents that have been filed on Edgar to the Securities and
Exchange Commission (“SEC”) or on
SEDAR to various Canadian Securities Regulators by the Issuer, as those
documents are deemed to have been provided by you regardless of whether or not
you otherwise deliver copies thereof. With respect to any requests below for a
copy of an agreement and/or contract, you are not being asked to provide any
agreements under which Issuer no longer has any material obligations, rights, or
potential liability, as of [DATE] except where we otherwise specifically request
any such agreements and/or contracts.
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NOTES |
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I. |
GENERAL CORPORATE MATERIALS |
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A. List
of assumed names, division names or other names under which the Issuer is
conducting or has conducted business. |
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B. List
of all jurisdictions in which the Issuer (i) owns, stores, leases or licenses
properties or assets, (ii) has employees, agents or customers, (iii) is
qualified to do business or (iv) conducts business. Provide evidence of
qualification to do business where material, where property interests are
held or where the Issuer’s business is otherwise conducted. |
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C. List
of all present and former subsidiaries of the Issuer, including the name and
address of such subsidiary’s headquarters (including entities in which the
Issuer own less than 100%). |
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D.
A copy
of the charter documents and bylaws with all amendments to date of the
Issuer. |
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E. List
of directors and officers of the Issuer. |
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F. All
minutes of meetings of directors, committees of directors and stockholders of
the Issuer since [DATE]. |
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G. Any
due diligence report prepared for the Issuer or with respect to the Issuer,
to the extent available. |
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H. Press
releases relating to the Issuer not otherwise posted on the Issuer’s website. |
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I.
All
material documentation relating to the Issuer’s disclosure and internal
controls and procedures, including any related attestations, reports,
correspondence or written materials. |
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J. All
charters of committees and subcommittees of the Board (including Audit,
Compensation, Nominating / Corporate Governance, Disclosure and any other
committees). |
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K. Issuer
representation letters to auditors (last two years). |
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II. |
SECURITY-RELATED MATTERS |
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A. A
capitalization schedule setting forth the number of authorized, issued,
outstanding and treasury shares of each class of securities of the Issuer. |
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B. Copies
of private placement memoranda or offering circulars relating to sales of
debt or equity securities and any purchase agreements, indentures or other
agreements governing the terms of any indebtedness incurred by the Issuer or
its subsidiaries (excluding any PPM or offering circular comprised solely of
the Issuer’s filed securities filing reports) for offerings or sales of
equity or debt securities made during the prior 2 years. |
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C. Copies
of any agreements relating to the election of directors. |
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D. Copies
of all agreements relating to repurchases, redemptions, exchanges,
conversions or similar transactions. |
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E. Copies
of all agreements and instruments containing restrictions on transfer,
encumbrances upon, or other restrictions with respect to, the capital stock
of the Issuer. |
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III. |
DEBT AGREEMENTS; INVESTMENTS |
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A. List
of banks or other lenders with which the Issuer have a financial relationship
and brief description of the nature of relationship, e.g., lines of credit,
etc. |
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B. Lines
of credit and any other loan agreements, promissory notes or guarantees,
letters of credit, security agreements, pledge agreements, equipment leases,
including any amendments or renewals, etc. |
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C. Summary
of all currently outstanding interest rate or foreign currency swaps, caps,
options, forwards or other derivative instruments or arrangements to which
the Issuer is a party. |
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D. All
instruments evidencing debt obligations and all agreements and material
correspondence relating thereto. Any other actual or contingent indebtedness
(e.g., loan guarantees, letters
of credit, mortgages, liens, pledges, indemnifications, banker’s acceptances,
swaps, other derivative agreements relating to indebtedness, or other
encumbrances of any nature whatsoever) and all agreements and material
correspondence relating thereto. |
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E. Any
other agreements relating to financing arrangements by the Issuer or its
subsidiaries, including any guarantees, sale and leaseback arrangements and
mortgages. |
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NOTES |
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F. All
notices of default or noncompliance from lenders during the last year
relating to such debt instruments (excluding separately dated default notices
for the same default for which at least one notice was provided) and all
compliance reports submitted by the Issuer or its accountants. |
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G. Correspondence
with lenders, including waivers, compliance certificates and opinions of
counsel regarding compliance or non-compliance with debt obligations, other
than with respect to correspondence older than June 1, 2008 for obligations
no longer in default. |
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H. All
agreements regarding obligations or liabilities of the Issuer as a guarantor.
surety, co-signer, endorser, co-maker, indemnitor or otherwise in respect of
the obligation of any other person or entity. |
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I. All
agreements by which the Issuer is obligated or required to provide, or under
which the Issuer is currently providing, funds in the form of a loan, capital
contribution or otherwise. |
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J. All
loan agreements, inter-company notes and guarantees between the Issuer and
any of its employees or affiliates. |
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K. Correspondence
relating to any violations, waivers, consents and releases from any
restrictive covenants. |
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L. Material
correspondence with any current creditor of the Issuer. |
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M. Compliance
certificates, including borrowing base certificates and covenant compliance
calculations, supplied by the Issuer to any creditor. |
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N. Lien
searches or other evidences as to outstanding financing statements or other
notices of liens. |
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IV. |
LITIGATION AND CONTINGENT LIABILITIES |
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A. Summary
of any known contingent liabilities or material commitments of the Issuer,
excluding any liabilities or commitments that individually involve an amount
less than $10,000. |
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B. List
and description of all concluded, pending or threatened litigation (to the
extent such threatened litigation is known to the Issuer), governmental
proceedings, investigations, arbitration proceedings, orders, judgments, or
other potential claims, disputes, investigations or proceedings relating to
the Issuer’s employees, but only to the extent that any such matters were
pending at any time since [DATE]. |
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NOTES |
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C.
Provide
the correspondence regarding any pending or threatened suits, actions,
proceedings or governmental actions, proceedings or inquiries; copies of
initial pleadings (complaint, answer, demurrers) and any judgments, decrees
or orders to which the Issuer is bound or by which any of the Issuer’s
business practices are restricted. If there are matters you have previously
listed or materials you have already provided in response to another section
that would also fall into this section, you may cross reference that section. |
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D. List
and description of all pending or threatened government or other
investigations relating to the Issuer and provide all reports to, notices
from, or correspondence, from the prior five fiscal years and the current
fiscal year. |
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E. All
attorneys’ letters to accountants relating to pending or threatened
litigation or other contingencies relating to the Issuer for the past three
years. |
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F. Any
existing opinions of or correspondence with counsel as to pending litigation
involving the Issuer. |
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G. All
management letters from the Issuer’s independent registered public accounting
firm to the Issuer concerning internal accounting procedures or controls in
connection with the current audit and any other audit conducted in the past
five years. |
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H. Correspondence
concerning inquiries from governmental (i) tax authorities, or (ii)
authorities regarding equal opportunities violations, antitrust violations,
or violations of any other law, rule or regulation. |
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I. Any
settlement documentation regarding any of the foregoing. |
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V. |
COMPLIANCE WITH LAWS |
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A. All
inspection or regulatory reports, citations and notices received from
government agencies or self-regulatory organizations relating to the Issuer. |
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B. List
of all material governmental permits, franchises, licenses, clearances,
permissions and approvals relating to the Issuer (collectively, “Permits”),
together with information regarding any such Permits which have been canceled
or terminated, required to carry out the business or operations of the
Issuer, including such Permits required by foreign, federal, provincial or
local authorities, and any evidence of exemption from such permit or license
requirement. Copies of all Permits. |
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C. All
correspondence with any third party who has alleged unfair competition by the
Issuer. |
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NOTES |
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D. List
of all pending or contemplated disputes, proceedings, requests for
information or other actions or activities affecting or relating to any
Permit. |
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E. Provide
details of all pending or completed governmental audits, cases, etc. for the
last three years and identify the governing country in each such case. |
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VI. |
MATERIAL CONTRACTS |
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A. Copies
of all contracts with customers, suppliers and any other third parties
pursuant to which the Issuer would expect to receive or pay more than
$100,000 over the life of the contract. |
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B. Research
and development agreements. |
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C. Technical
cooperation agreements. |
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D. Copies
of all outstanding and unfulfilled purchase orders. |
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E. Samples
of all forms of purchase orders, invoices, etc. |
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F. Copies
of any joint venture, joint development, partnership or other type of
strategic agreement. |
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G. Copies
of all agreements with distributors, dealers and sales representatives. |
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H. Any
documents relating to current investments in other companies or entities,
acquisitions of companies, assets or disposition of assets. |
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I. Copies
of any other contracts, agreements or documents that the Issuer believes is
material to the business. |
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J. Copies
of any term sheets, letters of intent, or similar documents relating to any
pending transaction that involves an amount in excess of $10,000. |
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VII. |
HUMAN RESOURCES – BACKGROUND |
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A. Issuer
Workforce |
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1. Organizational
chart of the Issuer, including titles and locations. |
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2. Current
roster of employees providing services in connection with the conduct of the
Issuer’s business by location, including job title,
full-time/part-time/temporary status, department and start date. |
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3. List
of all independent contractors/consultants/agents providing services in
connection with the conduct of the Issuer’s business and rate of compensation
and other benefits (including option information) and location. |
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4. Listing
of employees providing services in connection with the conduct of the
Issuer’s business who require immigration sponsorship by office and
department, current type of work authorization and country of origin. |
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VIII. |
FINANCIAL STATEMENTS |
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A. All
financial statements and related reports, including balance sheets, for the
last three years and any interim period prepared for the Issuer. [Refer to
SEC/SEDAR filings.] |
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B. Description
of any known liability not revealed in the financial statements described in
XII(A) above. |
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C. List
of any off balance sheet liabilities not appearing in most recent annual
financial statement (including the notes thereto). |
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D. Accounts
receivable aging report, including customer names, as of the close of the
last calendar month. |
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E. Accounts
payable aging report, including vendor or supplier name, as of the close of
last calendar month. |
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F. Accounts
payable and accrued expenses detail by category. |
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G. Schedule
of all inventory. |
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H. Fixed
Assets ledger identifying asset, date of acquisition, purchase price,
depreciation period/useful life, and book value as of most recent balance
sheet date. |
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I. Any
applicable U.S. Sarbanes-Oxley Act testing and compliance materials and
documentation. |
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J. Summary
of all accounting policies and procedures, detailing reserve methodologies
and accounting methods. Detail should include, at a minimum, the following
policies: accounts receivable reserve policy, bonus policy, commission
policy, fixed asset capitalization policy (lives and capitalization limits),
inventory reserve policy, revenue recognition policy, sales returns policy,
vacation policy and warranty policy. |
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IX. |
TAX MATERIALS |
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A. For
prior five years, provide the following: |
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1. Listing
of all office locations |
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2. Bulk
sales returns for any major asset sale |
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B. For
most recent five years: |
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1. Federal
and state income tax returns |
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2. foreign
income tax returns |
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C. For
prior two years, provide the following: |
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1. List
of all individuals providing services to the Issuer receiving W-2s |
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2. List
of all 1099 Recipients providing services to the Issuer |
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D. Detail
of recent tax notices, including taxing authority, issues status of
resolution. |
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E.
Description of any pending or potential issues with tax authorities
(including a list of all tax examinations currently in process). Copies of
all notices, assessments, deficiencies, or adjustments (proposed or final),
and any agents’ or examiners’ reports received by the Issuer. |
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F. Detail
of audits including taxing authority, issues raised and status. For closed
audits, a copy of closing agreement. |
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G. Any
correspondence with tax authorities regarding disputed amounts or positions
within the last 4 years. |
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H. Deficiency
assessments filed against the Issuer by federal, state or local tax
authorities and the resolution of such deficiency (if any). |
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I.
Any
agreements waiving or extending the statute of limitation for deficiency
assessments or in connection with federal, state or local tax matters. |
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J. Closing
letters and any other material IRS documents and tax assessment documents
including, for example, rulings obtained and accounting method changes
applied for. |
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K.
Schedule of taxes payable by the Issuer. |
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L. List
of jurisdictions where indirect tax returns are filed and a copy of all
returns filed for the last 12 months. |
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M. All
inter-company tax sharing or tax indemnification agreements. |
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N. Details
on any governmental, public or private entities providing incentives,
assistance or loans programs in which the Issuer has participated. |
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NOTES |
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X. |
CUSTOMER, MARKETING AND OTHER BUSINESS MATTERS |
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A. Customer
Matters: |
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1. List
of all active customers and customers for the previous two years,. |
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2. Copies
of active customer agreements and commitments. |
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3. Summary
of bad debts, accounts receivable summary detailing account balances and
reserves, accounts receivable aging. |
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B.
Marketing Arrangements: |
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1. All
agreements or arrangements related to the research, development,
manufacturing, testing, marketing, etc. of the Issuer’s products, such as
joint development agreements, partnership agreements, agency agreements,
manufacturer representation agreements technology exchange agreements,
agreements with suppliers and vendors, agreements with subcontractors and
component parts manufacturers, agreements with testing laboratories,
agreements with foundries or similar agreements. |
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2. Listing
of all co-branding, private label, alliance, joint venture, partnerships,
co-marketing, distribution, content syndication, licensing, equity or debt
relationships, or similar agreements with other companies used by the Issuer.
Copies of all joint venture, co-branding and joint marketing agreements
(including any side letters or oral agreements). |
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3. Copies
of all contracts with any municipality, state or federal government. |
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4. Copies
of all standard Issuer sales forms or literature, including price lists. |
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5. List
and general description of commission or other compensation arrangements with
sales personnel. |
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C.
Other Business Matters: |
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1. Copies
of all product warranties and listing of warranty claims, reserves and
expenses. |
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2. Any
agreement or arrangement (whether written or unwritten or intended to be
legally enforceable or not) restricting or that may restrict the business
activities or sale of any assets of the Issuer (including but not limited to
non-competition, exclusive territory, non-solicitation, non-disclosure or
other similar restrictions). |
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3. A
list of the Issuer’s major suppliers. |
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4. Standard
customer credit terms and any significant variations in practice. |
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5. License,
sublicense, royalty and franchise agreements involving the Issuer. |
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6. All
material commitments, contracts and/or agreements, or those currently under
consideration or negotiation (and the status of negotiation) relating to the
Issuer. |
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7. Hold-harmless,
indemnification or similar agreements of the Issuer (or provisions within
agreements). |
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8. Any
agreement out of the ordinary course of business to which the Issuer is a
party or by which it or its properties are bound as it relates to the conduct
of the Issuer’s business. |
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9. A
list of all agreements affected in any manner by a change in control of the
Issuer or which require consent or notice of a third party to assignment
(please provide copies of such agreements to the extent not covered by a
request above). |
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10. Summary
of pending claims for indemnification under any contract. |
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11. All
related party agreements, including all documents pertaining to any
receivables from or payables to employees or beneficial owners of more than
5% of the Issuer’s stock. |
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12. Any
waiver or agreement of the Issuer canceling claims or rights of substantial
value other than in the ordinary course of business, including any document
relating to material write-downs or write-offs of notes or accounts
receivable other than in the ordinary course of business. |
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XI. |
IP - IP RIGHTS, PATENTS, TRADEMARKS AND COPYRIGHTS |
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Note:
for purposes of these requests, “intellectual property” includes, without
limitation, patents, trade secrets, know-how, trademarks (including
tradenames), and copyrights that are necessary for the conduct of the
Issuer’s business. |
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A. Complete
list, description and key terms, including minimum payment obligations and
duration, of all licenses, franchises, royalty agreements, marketing
agreements, nondisclosure agreements, use or non-use agreements,
collaboration or joint development agreements, distributorships, sales,
management and other agreements, covenants not to sue, authorizations,
consents or permits relating to the Issuer’s intellectual property and/or
technology that are necessary for the conduct of the Issuer’s business,
including without limitation (i) licenses and covenants granted to third
parties by the Issuer, (ii) licenses and covenants granted by third parties
to the Issuer and (iii) technical assistance or technology transfer
agreements. Copies of all of the above agreements and (a) royalty-bearing
agreements and (b) agreements in which intellectual property and/or
technology is being licensed or assigned to or by the Issuer. |
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B. Complete
list and copies of all agreements, options or other commitments giving anyone
rights to acquire any right, title or interest in any of the Issuer’s
intellectual property or technology. |
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C. Complete
list and copies of all assignments relating to intellectual property to which
the Issuer is party, whether assignment to or from the Issuer. |
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D. Copies
of all agreements under which the Issuer acquired, divested or licensed in
any intellectual property. |
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E. Complete
list of any other material agreements or documents relating to intellectual
property rights of the Issuer. |
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F. Patents: |
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1. Complete
list and copies of all the Issuer’s issued patents and pending patent
applications which are necessary for the conduct of the Issuer’s business
(whether filed by the Issuer or obtained from a third party), prosecution
histories, and the following information for each: |
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a. patent
or application numbers by country; |
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b. status
of pending applications and provide copy of the Issuer’s file history; |
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c. name,
and employment status with the Issuer, of each inventor; |
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d. whether
the patent or patent application has been abandoned; and |
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e. whether
the Issuer has granted any license(s) to the patent or patent application
(and, if so, provide copy of each license). |
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2. Identify
all opposition, reexamination, interference, reissue, confirmation of scope,
nullity, inter parts and post grant proceedings. Provide information and
documents. |
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3. Copies
of any communications (provide details if not written), notices,
correspondence, or complaints, including without limitation filings with any
court or administrative or government agency, received by the Issuer which
assert or threaten that the Issuer infringes any third party’s patent rights. |
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G. Trademarks: |
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1.
Complete list of all of the Issuer’s trademarks, trade names and service
marks that are necessary for the conduct of the Issuer’s business which are
registered, unregistered or applied for, and the following information for
each: |
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a. registration
or application numbers by country; |
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b. class(es)
in which the mark is or will be registered and whether the trademark is on
the primary or secondary register; |
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c. status
of pending applications; |
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d.
date of
issue for any registrations; |
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e. whether
the trademark has been abandoned; and |
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f.
whether the Issuer has granted any license(s) to the trademark (and, if
so, provide copy of each license). |
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2.
Copies
of any communications (provide details if not written), notices,
correspondence, or complaints, including without limitation any filings with
any court or administrative or government agency, received by the Issuer
which assert or threaten that the Issuer infringes any third party’s
trademark rights. |
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H. Domain
Names: |
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1. List
of all domain names used by Issuer during the conduct of the Issuer’s
business, including the registration status of each, with all contact and DNS
information for each. Identify any domain names which have been reserved or
registered but are not in use. |
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2. Evidence
of ownership or license agreements for all domain names owned or used by the
Issuer in the conduct of the Issuer’s business. |
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I. Copyrights: |
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1.
Complete list of all of the Issuer’s registered copyrights and any other
significant copyrighted works (even if not registered) that are necessary for
the conduct of the Issuer’s business including information related to any
proprietary software code developed by the Issuer and utilized in connection
with the operation of the Issuer’s business, and the following information
for each: |
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a. registration
number, if registered; |
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b. date
of issue, if registered; |
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c. author; |
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d. whether
the Issuer has granted any license(s) to the copyright (and, if so, provide
copy of each license). |
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2. Copies
of any communications (provide details if not written), notices,
correspondence, or complaints, including without limitation filings with any
court or administrative or government agency, received by the Issuer which
assert or threaten that the Issuer infringes any third party’s copyright
rights. |
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J. Trade
Secrets: |
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1.
Copies of any communications (provide details if not written), notices.
correspondence, or complaints, including without limitation any filings with
any court or administrative or government agency, received by the Issuer
which assert or threaten that the Issuer has misappropriated and/or infringes
any third party’s trade secrets. |
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K. IP
Miscellaneous: |
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1. Description
of the development of the Issuer IP including the first conception date(s) of
the idea behind the Issuer IP and the current status of the development of
the Issuer IP If Issuer has or has had multiple product lines/business units,
please answer the remaining question separately for each product
line/business unit. |
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2. Describe
the individuals and entities who contributed and contribute to the
development of the Issuer IP: (i) employees, (ii) non-employee directors,
(iii) board of advisor members, (iv) individual consultants, (v) corporate
consultants, and (vi) Joint development partners. Did all employee
contributors execute the Issuer’s standard form Invention Assignment
Agreement? Did each contributor sign an agreement assuring confidentiality
and non-disclosure of Issuer IP and assigning all of the contributor’s
intellectual property rights in the development work performed by the
contributor to Issuer? |
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3. Were
any employee contributors employed by a competitor of the Issuer prior to or
following their employment with the Issuer? |
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4. Description
of any outstanding suits or claims for infringement of any patents,
trademarks, copyrights, domain names or trade secrets owned or used by the
Issuer that are necessary for the conduct of the Issuer’s business (whether
by or against the Issuer). |
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5. Copies
of any indemnities or standard form of indemnity provided by the Issuer to
third parties regarding intellectual property rights of the Issuer. |
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6. Detail
of research and development funding by third parties or affiliates. Other
than the contributors identified above, did any other individuals or entities
(including government entities) assist Issuer in the development or the
funding of the Issuer IP? Please provide details. |
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7. Lists
of all proprietary and third-party patents, processes and other third-party
intellectual property employed in the Issuer’s products and services. |
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8. At
any time during their contribution to the development of the Issuer IP, were
any of the individual contributors students, professors or laboratory
assistants in a university, college or any other educational or research
entity? Please provide details. |
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XII. |
INSURANCE |
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A. Summary
documentation relating to all insurance arrangements (including business
interruption, earthquake, fidelity insurance, directors and officers
insurance, property damage, third party liability, environmental hazard and
key employee insurance). |
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XIII. |
ENVIRONMENTAL MATTERS |
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A. Any
information with regard to claims or violations of, or compliance with
environmental laws and regulations relating to the Issuer. |
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B. All
environmental audit or inspection reports relating to the Issuer or any of
its properties. |
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C. Identify
any history of spillage or leakage of any hazardous substance. |
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D. If
applicable, identify the location of the underground tanks and lines located
on property owned or leased, including those no longer used, and set forth
any history of spillage or leakage. |
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E. All
notices and demands by environmental authorities. |
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XIV. |
MISCELLANEOUS |
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A. Any
other documents or information which, in the judgment of officers of the
Issuer, are significant with respect to the Issuer or its financial condition
of the Issuer or which should be considered and reviewed in making disclosure
regarding the Issuer and its financial condition in connection with the
transaction/offering. |
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Alixe B. Cormick
Venture Law Corporation
618 - 688 West Hastings Street
Vancouver, B.C.
V6B 1P1
Phone: 604-659-9188
Fax: 604-659-9178
E-mail Us |
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