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Woodward, Inc. – ‘10-K’ for 9/30/13 – ‘EX-10.14’

On:  Thursday, 11/14/13, at 2:16pm ET   ·   For:  9/30/13   ·   Accession #:  108312-13-18   ·   File #:  0-08408

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  As Of               Filer                 Filing    For·On·As Docs:Size

11/14/13  Woodward, Inc.                    10-K        9/30/13  154:37M

Annual Report   —   Form 10-K   —   Sect. 13 / 15(d) – SEA’34
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 10-K        Annual Report                                       HTML   2.42M 
 2: EX-10.13    Material Contract                                   HTML     67K 
 3: EX-10.14    Material Contract                                   HTML     71K 
 4: EX-10.16    Material Contract                                   HTML     71K 
 5: EX-10.31    Material Contract                                   HTML    185K 
 6: EX-10.5     Material Contract                                   HTML     51K 
13: EX-21.1     Subsidiaries List                                   HTML     53K 
14: EX-23.1     Consent of Experts or Counsel                       HTML     43K 
15: EX-31.1     Certification -- §302 - SOA'02                      HTML     53K 
16: EX-31.2     Certification -- §302 - SOA'02                      HTML     53K 
17: EX-32.1     Certification -- §906 - SOA'02                      HTML     48K 
147: R1          Document and Entity Information                     HTML     72K  
92: R2          Consolidated Statements of Earnings                 HTML    105K 
88: R3          Consolidated Statements of Comprehensive Earnings   HTML    104K 
28: R4          Consolidated Balance Sheets                         HTML    163K 
90: R5          Consolidated Balance Sheets (Parenthetical)         HTML     67K 
66: R6          Consolidated Statements of Cash Flows               HTML    145K 
121: R7          Consolidated Statements of Stockholders' Equity     HTML    142K  
68: R8          Operations and summary of significant accounting    HTML    124K 
                policies                                                         
73: R9          New Accounting Standards                            HTML     53K 
29: R10         Earnings Per Share                                  HTML    120K 
70: R11         Business Acquisitions                               HTML    199K 
120: R12         Financial Instruments and Fair Value Measurements   HTML    176K  
109: R13         Derivative Instruments and Hedging Activities       HTML    149K  
89: R14         Supplemental Statements of Cash Flows Information   HTML    100K 
139: R15         Inventories                                         HTML     67K  
116: R16         Property, Plant, and Equipment, Net                 HTML    114K  
25: R17         Goodwill                                            HTML    104K 
36: R18         Other Intangibles, Net                              HTML    235K 
138: R19         Credit Facilities and Short-term Borrowings         HTML     84K  
144: R20         Long-term Debt                                      HTML    137K  
150: R21         Accrued Liabilities                                 HTML    127K  
142: R22         Other Liabilities                                   HTML     66K  
99: R23         Other (Income) Expense, Net                         HTML     76K 
31: R24         Income Taxes                                        HTML    245K 
65: R25         Retirement Benefits                                 HTML   1.15M 
44: R26         Stockholders' Equity                                HTML    216K 
43: R27         Commitments and Contingencies                       HTML     90K 
75: R28         Segment Information                                 HTML    276K 
98: R29         Supplemental Quarterly Financial Data (Unaudited)   HTML    257K 
113: R30         Schedule II                                         HTML     92K  
50: R31         Operations and summary of significant accounting    HTML    197K 
                policies (Policy)                                                
76: R32         Operatons and summary of significant accounting     HTML     84K 
                policies (Table)                                                 
129: R33         Earnings Per Share (Tables)                         HTML    122K  
47: R34         Business Acquisitions (Tables)                      HTML    197K 
107: R35         Financial Instruments and Fair Value Measurements   HTML    167K  
                (Tables)                                                         
108: R36         Derivative Instruments and Hedging Activities       HTML    128K  
                (Tables)                                                         
80: R37         Supplemental Statements of Cash Flows Information   HTML     97K 
                (Tables)                                                         
42: R38         Inventories (Tables)                                HTML     64K 
106: R39         Property, Plant, and Equipment, Net (Tables)        HTML    111K  
48: R40         Goodwill (Tables)                                   HTML     96K 
74: R41         Other Intangibles, Net (Tables)                     HTML    239K 
114: R42         Credit Facilities, Short-term Borrowings (Tables)   HTML     73K  
58: R43         Long-term Debt (Tables)                             HTML    120K 
101: R44         Accrued Liabilities (Tables)                        HTML    127K  
87: R45         Other Liabilities (Tables)                          HTML     64K 
46: R46         Other (Income) Expense, Net (Tables)                HTML     75K 
125: R47         Income Taxes (Tables)                               HTML    245K  
38: R48         Retirement Benefits (Tables)                        HTML   1.14M 
49: R49         Stockholders' Equity (Tables)                       HTML    216K 
86: R50         Commitments and Contingencies (Tables)              HTML     85K 
93: R51         Segment Information (Tables)                        HTML    266K 
123: R52         Supplemental Quarterly Financial Data (Unaudited)   HTML    252K  
                (Tables)                                                         
26: R53         Schedule II (Tables)                                HTML     86K 
104: R54         Operations and summary of significant accounting    HTML     58K  
                policies (Narrative) (Details)                                   
83: R55         Operations and summary of significant accounting    HTML     51K 
                policies (Schedule of property, plant, and                       
                equipment useful lives) (Details)                                
35: R56         Operations and summary of significant accounting    HTML     47K 
                policies (Schedule of finite-lived intangible                    
                assets useful lives) (Details)                                   
41: R57         Earnings Per Share (Reconciliation of Net Earnings  HTML     70K 
                to Net Earnings Per Share Basic and Diluted)                     
                (Details)                                                        
91: R58         Earnings Per Share (Anti-dilutive Stock Options     HTML     49K 
                Excluded from Computation of Earnings Per Share)                 
                (Details)                                                        
136: R59         Earnings Per Share (Schedule of Treasury Stock      HTML     46K  
                Shares Held for Deferred Compensation Included in                
                Basic and Diluted Shares Outstanding) (Details)                  
153: R60         Business Acquisitions (Narrative) (Details)         HTML     68K  
151: R61         Business Acquisitions (Schedule of Purchase Price)  HTML     55K  
                (Details)                                                        
111: R62         Business Acquisitions (Schedule of Estimated        HTML     90K  
                Purchase Price Allocation) (Details)                             
57: R63         Business Acquisitions (Schedule of Finite-Lived     HTML     50K 
                Intangible Assets Acquired) (Details)                            
53: R64         Business Acquisitions (Schedule of Finite-Lived     HTML     63K 
                Intangible Assets Acquired, Future Amortization                  
                Expense) (Details)                                               
105: R65         Business Acquisitions (Schedule of Results of       HTML     44K  
                Operations of Acquired Entity Since Acquisition                  
                Date) (Details)                                                  
134: R66         Business Acquisitions (Schedule of Unaudited Pro    HTML     75K  
                Forma Results) (Details)                                         
34: R67         Financial Instruments and Fair Value Measurements   HTML     47K 
                (Narrative) (Details)                                            
141: R68         Financial Instruments and Fair Value Measurements   HTML     59K  
                (Financial Assets that are Measured at Fair Value                
                on a Recurring Basis) (Details)                                  
59: R69         Financial Instruments and Fair Value Measurements   HTML     65K 
                (Estimated Fair Values of Financial Instruments)                 
                (Details)                                                        
81: R70         Derivative Instruments and Hedging Activities       HTML     65K 
                (Narrative) (Details)                                            
77: R71         Derivative Instruments and Hedging Activities       HTML     55K 
                (Impact of Derivative Instruments on Earnings)                   
                (Details)                                                        
55: R72         Supplemental Statements of Cash Flows Information   HTML     72K 
                (Schedule of Cash Flow Supplemental Disclosures)                 
                (Details)                                                        
71: R73         Inventories (Schedule of Inventories) (Details)     HTML     57K 
119: R74         Property, Plant, and Equipment, Net (Narrative)     HTML     55K  
                (Details)                                                        
96: R75         Property, Plant, and Equipment, Net (Property,      HTML     77K 
                Plant, and Equipment - Net) (Details)                            
20: R76         Goodwill (Narrative) (Details)                      HTML     65K 
102: R77         Goodwill (Goodwill) (Details)                       HTML     51K  
21: R78         Other Intangibles, Net (Schedule of Finite-Lived    HTML     72K 
                Intangible Assets by Major Class) (Details)                      
94: R79         Other Intangibles, Net (Schedule of Finite-Lived    HTML     59K 
                Intangible Assets, Future Amortization Expense)                  
                (Details)                                                        
39: R80         Credit Facilities, Short-term Borrowings            HTML    123K 
                (Narrative) (Details)                                            
132: R81         Credit Facilities and Short-term Borrowings         HTML     57K  
                (Short-term Borrowings and Availability Under                    
                Various Short-term Credit Facilities) (Details)                  
127: R82         Long-term Debt (Narrative) (Details)                HTML    137K  
137: R83         Long-term Debt (Schedule of Long-term Debt)         HTML     90K  
                (Details)                                                        
148: R84         Long-term Debt (Schedule of Future Principal        HTML     59K  
                Payments of Long-term Debt) (Details)                            
154: R85         Accrued Liabilities (Accrued Liabilities)           HTML     77K  
                (Details)                                                        
19: R86         Accrued Liabilities (Warranties) (Details)          HTML     56K 
37: R87         Accrued Liabilities (Restructuring and Other        HTML     58K 
                Charges) (Details)                                               
133: R88         Other Liabilities (Details)                         HTML     56K  
112: R89         Other (Income) Expense, Net (Details)               HTML     59K  
122: R90         Income Taxes (Narrative) (Details)                  HTML     60K  
117: R91         Income Taxes (Components of Income Tax Expense      HTML     71K  
                (Benefit)) (Details)                                             
23: R92         Income Taxes (Earings Before Income Taxes by        HTML     54K 
                Geographical Area) (Details)                                     
60: R93         Income Taxes (Composition of Deferred Income        HTML     89K 
                Taxes) (Details)                                                 
61: R94         Income Taxes (Reconciliation of U.S Statutory Rate  HTML     71K 
                to Effective Tax Rate) (Details)                                 
82: R95         Income Taxes (Reconciliation of the Beginning and   HTML     53K 
                Ending Amounts of Gross Unrecognized Tax Benefits)               
                (Details)                                                        
64: R96         Retirement Benefits (Narrative) (Details)           HTML    117K 
131: R97         Retirement Benefits (Schedule of Costs of           HTML     47K  
                Retirement Plans) (Details)                                      
45: R98         Retirement Benefits (Schedule of Assumptions Used)  HTML     71K 
                (Details)                                                        
24: R99         Retirement Benefits (Schedule of Net Periodic       HTML     70K 
                Benefit Costs) (Details)                                         
130: R100        Retirement Benefits (Schedule of Changes in         HTML    126K  
                Projected Benefit Obligations, Fair Value of Plan                
                Assets, and Funded Status of Plan) (Details)                     
78: R101        Retirement Benefits (Schedule of Amounts            HTML     87K 
                Recognized in Balance Sheet and Other                            
                Comprehensive Income (Loss)) (Details)                           
115: R102        Retirement Benefits (Schedule of Changes in Plan    HTML     73K  
                Assets and Benefit Obligations Recorded in Other                 
                Comprehensive (Income) Loss) (Details)                           
100: R103        Retirement Benefits (Schedule of Amounts Expected   HTML     47K  
                to be Amortized from Accumulated Other                           
                Comprehensive Income (Loss) and Reported as a                    
                Component of Net Periodic Benefit Cost During the                
                Next Fiscal Year) (Details)                                      
126: R104        Retirement Benefits (Schedule of Expected Benefit   HTML     59K  
                Payments) (Details)                                              
146: R105        Retirement Benefits (Schedule of Allocation of      HTML     65K  
                Plan Assets, Actual and Target Allocations)                      
                (Details)                                                        
67: R106        Retirement Benefits (Schedule of Allocation of      HTML     74K 
                Plan Assets, Fair Value Hierarchy) (Details)                     
22: R107        Retirement Benefits (Schedule of Changes in Level   HTML     79K 
                Three Pension Plan Assets) (Details)                             
54: R108        Retirement Benefits (Schedule of Health Care Cost   HTML     49K 
                Trend Rates) (Details)                                           
152: R109        Retirement Benefits (Schedule of Health Care Costs  HTML     51K  
                Sensitivity) (Details)                                           
52: R110        Retirement Benefits (Schedule of Future             HTML     56K 
                Postretirement Company Contributions) (Details)                  
128: R111        Stockholders' Equity (Equity Narrative) (Details)   HTML     53K  
33: R112        Stockholders' Equity (Stock-Based Compensation      HTML     73K 
                Narrative) (Details)                                             
63: R113        Stockholders' Equity (Dividends Declared and Paid)  HTML     51K 
                (Details)                                                        
118: R114        Stockholders' Equity (Stock-based Compensation      HTML     46K  
                Expense Recognized) (Details)                                    
135: R115        Stockholders' Equity (Schedule of Assumptions Used  HTML     55K  
                in Estimate of Fair Value of Stock Option Awards)                
                (Details)                                                        
18: R116        Stockholders' Equity (Weighted Average Grant Date   HTML     45K 
                Fair Value of Options Granted) (Details)                         
103: R117        Stockholders' Equity (Activity for Stock Option     HTML     63K  
                Awards) (Details)                                                
69: R118        Stockholders' Equity (Changes in Nonvested Stock    HTML     61K 
                Options) (Details)                                               
30: R119        Stockholders' Equity (Stock Options Vested, Or      HTML     75K 
                Expected to Vest and Are Exercisable) (Details)                  
140: R120        Stockholders' Equity (Other Stock Option            HTML     53K  
                Information) (Details)                                           
79: R121        Commitments and Contingencies (Narrative)           HTML     43K 
                (Details)                                                        
95: R122        Commitments and Contingencies (Future Minimum       HTML     62K 
                Rental Payments) (Details)                                       
56: R123        Commitments and Contingencies (Rent Expense for     HTML     45K 
                All Operating Leases) (Details)                                  
124: R124        Commitments and Contingencies (Future Minimum       HTML     59K  
                Unconditional Purchase Obligations) (Details)                    
143: R125        Segment Information (Narrative) (Details)           HTML     47K  
51: R126        Segment Information (Consolidated Net Sales and     HTML     61K 
                Earnings by Segment) (Details)                                   
145: R127        Segment Information (Consolidated Total Assets,     HTML     61K  
                Depreciation and Amortization, and Capital                       
                Expenditures by Segment) (Details)                               
40: R128        Segment Information (U.S. Government Related Sales  HTML     71K 
                by Segment) (Details)                                            
149: R129        Segment Information (External Net Sales by          HTML     56K  
                Geographical Area) (Details)                                     
110: R130        Segment Information (Property, Plant, and           HTML     46K  
                Equipment - Net by Geographical Area) (Details)                  
32: R131        Supplemental Quarterly Financial Data (Unaudited)   HTML     74K 
                (Quarterly Financial Information) (Details)                      
72: R132        Supplemental Quarterly Financial Data (Unaudited)   HTML     58K 
                (Quarterly Financial Information - Segment                       
                Reporting) (Details)                                             
97: R133        Schedule II (Details)                               HTML     55K 
85: XML         IDEA XML File -- Filing Summary                      XML    244K 
27: EXCEL       IDEA Workbook of Financial Reports                  XLSX    411K 
84: EXCEL       IDEA Workbook of Financial Reports (.xls)            XLS   7.43M 
 9: EX-101.INS  XBRL Instance -- wwd-20130930                        XML   8.85M 
 7: EX-101.CAL  XBRL Calculations -- wwd-20130930_cal                XML    315K 
 8: EX-101.DEF  XBRL Definitions -- wwd-20130930_def                 XML   1.24M 
10: EX-101.LAB  XBRL Labels -- wwd-20130930_lab                      XML   2.06M 
11: EX-101.PRE  XBRL Presentations -- wwd-20130930_pre               XML   2.04M 
12: EX-101.SCH  XBRL Schema -- wwd-20130930                          XSD    320K 
62: ZIP         XBRL Zipped Folder -- 0000108312-13-000018-xbrl      Zip    411K 


‘EX-10.14’   —   Material Contract


This Exhibit is an HTML Document rendered as filed.  [ Alternative Formats ]



 C:   C:   C: 
  Exhibit1014 Restricted Stock Agreement  

 

Restricted Stock Agreement

This Restricted Stock Agreement (the “Agreement”), entered into between (Name)    (the “Grantee”) and Woodward, Inc., a Delaware corporation (the “Company”), hereby grants an award of shares of Restricted Stock (as defined below) to Grantee as of _________ __, ____ (the “Grant Date”) with reference to the following facts:

A.Pursuant to Article 8 of the Woodward 2006 Omnibus Incentive Plan (effective January 25, 2006) (the “Plan”), the Company, by action of the Compensation Committee of its Board of Directors (the “Committee”), is authorized to grant restricted shares of the Company’s common stock (“Restricted Stock”) to key management worker members of the Company or any subsidiary or affiliate as defined in the Plan (any such subsidiary or affiliate being referred to herein as an “Affiliate”) as a reward for past performance and as an incentive to future performance.

B.The Company desires to grant shares of Restricted Stock to the Grantee. 

Now, Therefore, In Consideration of the foregoing facts, the Company hereby grants shares of Restricted Stock to the Grantee:

1.Grant of Restricted Stock.  The Company hereby grants to the Grantee _____ shares of Restricted Stock, subject to the terms and conditions set forth in this Agreement and the Plan. The number and kind of shares subject to this Restricted Stock grant are subject to adjustment as required by the Plan.

2.Vesting of Restricted StockExcept as may otherwise be provided in Sections 4 and 5, and subject to the terms of the Plan, one hundred percent (100%) of the shares of Restricted Stock granted hereunder shall vest upon a determination by the Committee, in its sole discretion, that the Company has achieved or exceeded [general description of performance metric(s)] previously set by the Committee for fiscal years ___ through ___; provided,  however, that the Grantee’s membership with the Company and its Affiliates continues from the Grant Date through the date of such determination by the Committee (such period referred to herein as the “Period of Restriction”).

3.Voting Rights and DividendsDuring the Period of Restriction, the Grantee may exercise full voting rights with respect to the shares of Restricted Stock. Cash dividends and other distributions paid on the shares of Restricted Stock covered by this Agreement shall be sequestered by the Company during the Restricted Period until such time as such shares of Restricted Stock become nonforfeitable in accordance with Sections 2, 4 or 5 hereof, whereupon such dividends shall be paid to the Grantee.  To the extent that the shares of Restricted Stock covered by this Agreement are forfeited pursuant to Section 4 hereof, all the dividends sequestered with respect to such shares of Restricted Stock shall also be forfeited.  No interest shall be payable with respect to any such dividends.

4.Termination of Employment.   If the Grantee’s membership with the Company and its Affiliates is terminated for any reason other than death or disability

 


 

 

during the Period of Restriction, all shares of Restricted Stock held by the Grantee as of the date of such termination shall be forfeited to the Company.

If the Grantee’s membership with the Company and its Affiliates terminates because of the Grantee’s death during the Period of Restriction, all restrictions shall lapse and his shares of Restricted Stock shall immediately become one hundred percent (100%) vested.

If the Grantee’s membership with the Company and its Affiliates terminates by reason of the permanent disability of the Grantee, as determined by the Committee, during the Period of Restriction, all restrictions shall lapse and his shares of Restricted Stock shall immediately become one hundred percent (100%) vested. The disability shall be determined by the Committee with the advice of a physician selected by the Company with respect to the permanent or mental physical disability of the Grantee.

5.Change in Control.  Notwithstanding anything to the contrary in this Agreement, in the event of a Change in Control” during the Period of Restriction and prior to a termination of the Grantee’s membership with the Company and its Affiliates for any reason, all restrictions shall lapse and his shares of Restricted Stock shall immediately become one hundred percent (100%) vested on the date of the Change in Control, subject to applicable federal and state securities laws.

As used herein, a “Change in Control” shall be deemed to have occurred upon:

(i)a business combination, including a merger or consolidation, of the Company and the shareholders of the Company prior to the combination do not continue to own, directly or indirectly, more than fifty-one percent (51%) of the equity of the combined entity;

(ii)a sale, transfer, or other disposition in one or more transactions (other than in transactions in the ordinary course of business or in the nature of a financing) of the assets or earnings power aggregating more than forty-five percent (45%) of the assets or operating revenues of the Company to any person or affiliated or associated group of persons (as defined by Rule 12b-2 of the Securities Exchange Act of 1934 (the “Exchange Act”));

(iii)the liquidation of the Company;

(iv)one or more transactions which result in the acquisition by any person or associated group of persons (other than the Company, any employee benefit plan whose beneficiaries are employees of the Company or any of its subsidiaries) of the beneficial ownership (as defined in Rule 13d-3 of the Exchange

 


 

 

Act) of fifteen percent (15%) or more of the combined voting power of the voting securities of the Company which affiliated persons owned less than fifteen percent (15%) prior to such transaction or transactions; or

(v)the election or appointment, within a twelve (12) month period, of any person or affiliated or associated group, or its or their nominees, to the Board of Directors of the Company, such that such persons or nominees, when elected or appointed, constitute a majority of the Board of Directors of the Company and whose appointment or election was not approved by a majority of those persons who were directors at the beginning of such period or whose election or appointment was made at the request of an Acquiring Person.  As used herein, the term “Acquiring Person” shall mean any person who, or which, together with all affiliates or associates of such person, is the beneficial owner of fifteen percent (15%) or more of the Common Stock then outstanding, except that an Acquiring Person does not include the Company or any employee benefit plan of the Company or any of its subsidiaries or any person holding Common Stock for or pursuant to such plan.  For the purpose of determining who is an Acquiring Person, the percentage of the outstanding shares of the Common Stock of which a person is a beneficial owner shall be calculated in accordance with Rule 13d-e of the Exchange Act.

6.Removal of Restrictions.  The shares of Restricted Stock awarded pursuant to this Agreement shall become freely transferable upon the vesting of such shares in accordance with Sections 2, 4 or 5 above.

7.Assignment or Transfer.  Until such time as the restrictions are removed in accordance with Section 6 above, the shares of Restricted Stock awarded pursuant to this Agreement are not transferable except by will or by the laws of descent and distribution, unless otherwise authorized by the Committee Chairman. If any transfer, whether voluntary or involuntary, of Restricted Stock is made, or if any attachment, execution, garnishment, or lien shall be issued against or placed upon the Restricted Stock, the Grantee’s right to such Restricted Stock shall be immediately forfeited to the Company, and this Agreement shall lapse.

8.Plan and Committee.  The construction of the terms of this Agreement shall be controlled by the Plan, a summary of which accompanies this Agreement and is hereby made a part hereof as though set forth herein verbatim, and the rights of the Grantee are subject to modification and termination in certain events as provided in the Plan.  All words and phrases not otherwise defined herein shall have the meanings provided in the Plan.  The Committee’s interpretations of and determinations under any of the provisions of the Plan or this Agreement shall be conclusive and binding upon the Grantee.

 


 

 

9.Compliance with Securities Laws.  No shares of Restricted Stock shall be issued in respect hereof, unless in compliance with applicable federal and state tax and securities laws.  If an exemption from registration is not available under applicable federal and state securities laws, the Company shall have no obligation to file a registration statement.

9.1.Certificate Legends.  The certificates representing the shares of Restricted Stock granted pursuant to this Agreement shall bear any legends deemed necessary by the Committee including, without limitation, legends with respect to federal and state securities laws.

9.2.Representations of the Grantee.  As a condition to exercising the Grantee’s rights under this Agreement, the Grantee will deliver to the Company such signed representations as may be necessary, in the opinion of counsel satisfactory to the Company, for compliance with applicable federal and state securities laws.

9.3.Resale.  The Grantee’s ability to transfer shares received pursuant to this grant of Restricted Stock or securities acquired in lieu thereof or in exchange therefore may be restricted under applicable federal or state securities laws.  The Grantee shall not resell or offer for resale such shares or securities unless they have been registered or qualified for resale under all applicable federal and state securities laws or an exemption from such registration or qualification is available in the opinion of counsel satisfactory to the Company.

10.Notice.  Every notice or other communication relating to this Agreement shall be in writing and shall be mailed or delivered to the party for whom it is intended at such address as may from time to time be designated by such party in a notice mailed or delivered to the other party as herein provided; provided, however, that unless and until some other address be so designated, all notices or communications by the Grantee to the Company shall be mailed or delivered to the Company to the attention of its Secretary at 1000 East Drake Road, Fort Collins, CO 80525, and all notices or communications by the Company to the Grantee may be given to the Grantee personally or may be mailed to the Grantee at the most recent address which the Grantee has provided in writing to the Company.

11.Tax Treatments.  The Grantee acknowledges that the tax treatment of the shares subject to this Restricted Stock award or any events or transactions with respect thereto may be dependent upon various factors or events which are not determined by the Plan or this Agreement.  The Company makes no representations with respect to and hereby disclaims all responsibility as to such tax treatment.

12.Withholding Taxes.  The Company shall have the right to require the Grantee to remit to the Company an amount sufficient to satisfy any federal, state or

 


 

 

local withholding tax requirement arising as a result of the Restricted Stock granted hereunder. In the event of the vesting of any shares of Restricted Stock granted pursuant to this Agreement, the Company will notify the Grantee of the amount of the withholding tax which must be paid under federal and, where applicable, state and local law.  Upon receipt of such notice, the Grantee shall promptly remit to the Company the amount specified in such notice.

13.Recapitalization; Change of Law.    In the event of any change in the capitalization of the Company such as a merger, consolidation, reorganization, recapitalization, separation, partial or complete liquidation, stock dividend, stock split, reverse stock split, split up, spin-off, or other distribution of stock or property of the Company, combination of shares, exchange of shares, dividend in-kind, or other like change in capital structure, number of outstanding shares or distribution to shareholders of the Company, or any similar corporate event or transaction, the number and class of shares subject to this Agreement shall be equitably adjusted by the Committee in accordance with the Plan to prevent dilution or enlargement of rights.  Similarly, in the event of any change in law or regulation, including but not limited to tax regulations or accounting standards, during the Period of Restriction that directly negatively impacts the criteria described in Article 2, the Committee will calculate the performance criteria without regard to such change(s) in order to maintain the purpose and intent of the original criteria; and provided, further, that in such instance the Committee may use negative discretion to adjust the calculation of the performance criteria.

14.Beneficiary Designation.  The Grantee may, from time to time, name any beneficiary or beneficiaries (who may be named contingently or successively) to whom any benefit under this Agreement is to be paid in case of Grantee’s death before Grantee receives any or all of such benefit. Each such designation shall revoke all prior designations by the Grantee, shall be in a form prescribed by the Company, and will be effective only when filed by the Grantee in writing with the Company during the Grantee’s lifetime. In the absence of any such designation, benefits remaining unpaid at the Grantee’s death shall be paid to the Grantee’s estate.

15.Severability.  In the event any provision of this Agreement is held illegal or invalid for any reason, such illegality or invalidity shall not affect the remaining provisions of this Agreement, which shall nonetheless remain in full force and effect.  Upon any determination that any provision is invalid, illegal or incapable of being enforced, such provision shall be modified to the extent necessary to render it valid, legal and enforceable while preserving its intent, or if such modification is not possible, by substituting therefor another provision that is legal and enforceable and that achieves the same objective.

16.Governing Law.  This Agreement shall be governed by the laws of the State of Delaware, excluding any conflicts or choice of law rule or principle that might otherwise refer construction or interpretation of this Agreement to the substantive law of another jurisdiction. 

 


 

 

 

By accepting this Agreement, you agree to all of the terms and conditions described above and in the Woodward 2006 Omnibus Incentive Plan.

 


 

 

 

 

In Witness Whereof, the Company and the Grantee have executed this Restricted Stock Agreement effective as of the date first set forth above.

 

Woodward, Inc.Grantee:

By_____________________________________________________________

   (Name, Title)  (Name)

   

 

 


 

 

 

 

 



Dates Referenced Herein   and   Documents Incorporated by Reference

This ‘10-K’ Filing    Date    Other Filings
Filed on:11/14/13
For Period end:9/30/1310-K/A,  8-K
1/25/068-K,  DEF 14A,  PRE 14A
 List all Filings 


8 Subsequent Filings that Reference this Filing

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

11/17/23  Woodward, Inc.                    10-K        9/30/23  171:36M                                    Donnelley … Solutions/FA
11/18/22  Woodward, Inc.                    10-K        9/30/22  171:45M                                    ActiveDisclosure/FA
11/19/21  Woodward, Inc.                    10-K        9/30/21  166:36M                                    ActiveDisclosure/FA
11/20/20  Woodward, Inc.                    10-K        9/30/20  180:42M                                    ActiveDisclosure/FA
 6/20/14  SEC                               UPLOAD9/19/17    1:39K  Woodward, Inc.
 5/30/14  SEC                               UPLOAD9/19/17    1:155K Woodward, Inc.
 4/03/14  SEC                               UPLOAD9/19/17    1:141K Woodward, Inc.
 2/28/14  SEC                               UPLOAD9/19/17    1:161K Woodward, Inc.
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