Oracle 2014 Annual Report Download - page 150

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EXHIBIT A
ORACLE CORPORATION
STOCK OPTION EXERCISE NOTICE AND AGREEMENT
1. Exercise of Option . I, the undersigned “Optionee,” hereby elect to exercise my option to purchase shares of Common Stock
(“Shares”) of Oracle Corporation (the “Company”) under and pursuant to the Company’s Amended and Restated 1993 Directors’ Stock
Plan (the
Plan
),
and the Stock Option Grant dated
(the
Grant
).
Exercise Price per Share:
.
2. Representation of the Optionee . I acknowledge that I have received, read and understood the Plan, the Grant and the prospectus relating to
the Plan and agree to abide by and be bound by their terms and conditions.
3. Compliance with Securities Laws . I understand and acknowledge that the exercise of any rights to purchase Shares is expressly
conditioned upon compliance with the Securities Act of 1933, as amended, and all applicable state securities laws. I agree to cooperate
with the Company to ensure compliance with such laws.
4. Tax Consequences . I understand that I may suffer adverse tax consequences as a result of my purchase or disposition of the Shares. I
represent that I have consulted with any tax consultant(s) that I deem advisable in connection with the purchase or disposition of the Shares
and that I am not relying on the Company for any tax advice.
5. Delivery and Payment . I herewith deliver to the Company the aggregate purchase price of the Shares that are specified in the
accompanying Oracle Corporation Stock Option Exercise Form, and I have made provision for the payment of any federal and state
withholding taxes required to be paid or withheld by the Company.
6. Insider Trading . I acknowledge that I have received, read and understood the Company’
s policy against trading in Company stock while in
the possession of inside information (i.e., material nonpublic information). I agree to sell or otherwise dispose of the Shares strictly in
compliance with this Company policy and all related securities laws.
7.
Proceeds
. I understand that it is my responsibility to instruct the broker where/how my proceeds should be distributed.
8.
Certificates
. I understand that any certificate(s) representing shares sold must be delivered directly to the broker.