Nevada
|
95-3848122
|
|
(State
or Other Jurisdiction of
Incorporation
or Organization)
|
(I.R.S.
Employer Identification No.)
|
Large
accelerated filer
|
o
|
Accelerated
Filer
|
o
|
Non-accelerated
filer
(Do
not check if a smaller reporting company)
|
o
|
Smaller
reporting company
|
ý
|
Title
Of Each Class Of Securities To Be Registered
|
Amount
To Be Registered
|
Proposed Maximum Offering Price
Per Share
|
Proposed Maximum Aggregate
Offering Price
|
Amount
Of Registration
Fee
|
|||||||||
Shares
of common stock , par value $0.001 per share, issued and
outstanding
|
4,545,455
|
(1)
|
$
|
5.25
|
(5)
|
$
|
23,863,639
|
$
|
732.61
|
||||
Shares
of common stock , par value $0.001 per share, issued and
outstanding
|
2,409,092(2)
|
(4)
|
$
|
5.25
|
(5)
|
$
|
12,647,733
|
$
|
388.29
|
||||
Shares
of common stock , par value $0.001 per share, issued and
outstanding
|
2,409,092(3)
|
(4)
|
6.00
|
14,454,552
|
443.76
|
||||||||
Total
Registration Fee
|
$
|
1,564.66
|
(5)(6)
|
(1)
|
Includes
4,545,455 shares of common stock sold to purchasers in a private placement
we completed on September 10, 2007.
|
(2)
|
Shares
underlying warrants exercisable at $5.00 per share.
|
(3)
|
Shares
underlying warrants exercisable at $6.00 per share.
|
(4)
|
Pursuant
to Rule 416 under the Securities Act of 1933, as amended, the registrant
is also registering such indeterminate number of shares of common stock as
may be issued from time to time as a result of stock splits, stock
dividends, or similar transactions pursuant to the anti-dilution
provisions in the above warrants.
|
(5)
|
Estimated
solely for the purpose of determining the amount of the registration fee,
based on the average of the high and low sale price of the common stock as
reported by the OTC Bulletin Board on October 4, 2007 in accordance
with Rule 457(c) under the Securities Act of 1933.
|
(6)
|
Previously
paid with original filing.
|
Page
|
||||
SUMMARY
|
3
|
|||
RISK
FACTORS
|
4
|
|||
SPECIAL
NOTE REGARDING FORWARD-LOOKING STATEMENTS
|
14
|
|||
SELLING
STOCKHOLDERS
|
14
|
|||
USE
OF PROCEEDS
|
16
|
|||
DETERMINATION
OF OFFERING PRICE
|
16
|
|||
PLAN
OF DISTRIBUTION
|
16
|
|||
DESCRIPTION
OF SECURITIES
|
18
|
|||
INDEMNIFICATION
|
18
|
|||
LEGAL
MATTERS
|
19
|
|||
EXPERTS
|
19
|
|||
WHERE
YOU CAN FIND MORE INFORMATION
|
19
|
Common
Stock Offered (1)
|
9,363,639
shares of our common stock, par value $0.001 per share, consisting of
4,545,455 shares purchased by the selling stockholders in our private
placement on September 10, 2007 at $3.30 per share, as well as 4,818,184
shares issuable pursuant to warrants to purchase common stock, issued to
the selling stockholders and the placement agent for the private
placement
|
|
Offering
Price
|
Market
price or privately negotiated prices.
|
|
Common
Stock Outstanding
|
28,900,970 shares as of March
31, 2008.
|
Use
of Proceeds
|
We
will not receive any proceeds from the sale of the shares offered by the
selling stockholders. If the warrants are fully exercised, we
will receive proceeds of $26,500,012, which we will use for general
working capital purposes.
|
|
American
Stock Exchange Symbol
|
NOG
|
|
Risk
Factors
|
An
investment in our common stock involves a high degree of risk. You should
carefully consider the risk factors set forth under “Risk Factors”
beginning on page 4 and the other information contained in this prospectus
before making an investment decision regarding our common
stock.
|
|
• our
ability to raise adequate working
capital;
|
|
• success
of our development and exploration;
|
|
• demand
for natural gas and oil;
|
|
• the
level of our competition;
|
|
• our
ability to attract and maintain key management and employees;
and
|
|
• our
ability to efficiently explore, develop and produce sufficient quantities
of marketable natural gas or oil in a highly competitive and speculative
environment while maintaining quality and controlling
costs.
|
·
|
meet
our capital needs;
|
·
|
expand
our systems effectively or efficiently or in a timely
manner;
|
·
|
allocate
our human resources optimally;
|
·
|
identify
and hire qualified employees or retain valued employees;
or
|
·
|
incorporate
effectively the components of any business that we may acquire in our
effort to achieve growth.
|
·
|
our
production is less than expected;
|
·
|
there
is a widening of price differentials between delivery points for our
production and the delivery point assumed in the hedge arrangement;
or
|
·
|
the
counterparties to our hedging agreements fail to perform under the
contracts.
|
·
|
domestic
and foreign demand for oil and natural gas by both refineries and end
users;
|
·
|
the
introduction of alternative forms of fuel to replace or compete with oil
and natural gas;
|
·
|
domestic
and foreign reserves and supply of oil and natural
gas;
|
·
|
competitive
measures implemented by our competitors and domestic and foreign
governmental bodies;
|
·
|
political
climates in nations that traditionally produce and export significant
quantities of oil and natural gas (including military and other conflicts
in the Middle East and surrounding geographic region) and regulations and
tariffs imposed by exporting and importing
nations;
|
·
|
weather
conditions; and
|
·
|
domestic
and foreign economic volatility and
stability.
|
·
|
dilution
caused by our issuance of additional shares of common stock and other
forms of equity securities, which we expect to make in connection with
future capital financings to fund our operations and growth, to attract
and retain valuable personnel and in connection with future strategic
partnerships with other companies;
|
·
|
announcements
of new acquisitions, reserve discoveries or other business initiatives by
our competitors;
|
·
|
our
ability to take advantage of new acquisitions, reserve discoveries or
other business initiatives;
|
·
|
fluctuations
in revenue from our oil and gas business as new reserves come to
market;
|
·
|
changes
in the market for oil and natural gas commodities and/or in the capital
markets generally;
|
·
|
changes
in the demand for oil and natural gas, including changes resulting from
the introduction or expansion of alternative
fuels;
|
·
|
quarterly
variations in our revenues and operating
expenses;
|
·
|
changes
in the valuation of similarly situated companies, both in our industry and
in other industries;
|
·
|
changes
in analysts’ estimates affecting our company, our competitors and/or our
industry;
|
·
|
changes
in the accounting methods used in or otherwise affecting our
industry;
|
·
|
additions
and departures of key personnel;
|
·
|
announcements
of technological innovations or new products available to the oil and gas
industry;
|
·
|
announcements
by relevant governments pertaining to incentives for alternative energy
development programs;
|
·
|
fluctuations
in interest rates and the availability of capital in the capital markets;
and
|
·
|
significant
sales of our common stock, including sales by the selling stockholders
following registration of the shares under this
prospectus.
|
·
|
Deliver
to the customer, and obtain a written receipt for, a disclosure
document;
|
·
|
Disclose
certain price information about the
stock;
|
·
|
Disclose
the amount of compensation received by the broker-dealer or any associated
person of the broker-dealer;
|
·
|
Send
monthly statements to customers with market and price information about
the penny stock; and
|
·
|
In
some circumstances, approve the purchaser’s account under certain
standards and deliver written statements to the customer with information
specified in the rules.
|
Beneficial
Owner
|
Shares
of Common Stock Owned Before the Offering
|
Shares
of Common Stock Being Offered(1)
|
Shares
of
Common
Stock
Owned
Upon
Completion
of
the
Offering(2)
|
Percentage
of Common Stock Outstanding Upon
Completion
of Offering
|
||||||||||||
FIG
Partners, LLC (3)(4)
|
272,728
|
272,728
|
(4)
|
0
|
*
|
|||||||||||
Millenium
Partners, LP (5)
|
1,818,182
|
1,818,182
|
0
|
*
|
||||||||||||
Robert
J. Suttman, II
|
60,600
|
60,600
|
0
|
*
|
||||||||||||
Mark
E. Brady
|
121,220
|
121,220
|
0
|
*
|
||||||||||||
R.
Eubel & M. Brady, Trustees EBS Asset Management, Inc. Profit Sharing
Plan All Cap U/A DTD January 1, 1994
|
118,780
|
118,780
|
0
|
*
|
||||||||||||
EBS
Microcap Partners, LP, A Partnership
|
203,040
|
203,040
|
0
|
*
|
||||||||||||
A.
Eubel & M. Brady, Trustees EBS Asset Management, Inc. Profit Sharing
Plan U/A DTD January 1, 1994
|
33,340
|
33,340
|
0
|
*
|
||||||||||||
EBS
Partners, LP Primary Account, A Partnership
|
721,220
|
721,220
|
0
|
*
|
||||||||||||
Calm
Waters Partnership
|
1,212,122
|
1,212,122
|
0
|
*
|
||||||||||||
Highbridge
Global Natural Resources, LP
|
363,636
|
363,636
|
0
|
*
|
||||||||||||
Highbridge
International, LLC
|
848,486
|
848,486
|
0
|
*
|
||||||||||||
Saracen
Energy, LP
|
1,450,890
|
1,450,890
|
0
|
*
|
||||||||||||
Grey
K Fund, LP
|
198,788
|
198,788
|
0
|
*
|
||||||||||||
Grey
K Offshore Leveraged Fund
|
242,424
|
242,424
|
0
|
*
|
||||||||||||
Grey
K Offshore Fund, Ltd.
|
286,060
|
286,060
|
0
|
*
|
||||||||||||
Highview
Avenue Energy Trading, Ltd.
|
606,060
|
606,060
|
0
|
*
|
||||||||||||
Elysian
Fund
|
400,000
|
400,000
|
0
|
*
|
||||||||||||
Antea
Partners
|
121,212
|
121,212
|
0
|
*
|
||||||||||||
North
Point Partners I, LLC (6)
|
90,910
|
90,910
|
0
|
*
|
||||||||||||
Jeffrey
R. Freedman
|
60,606
|
60,606
|
0
|
*
|
||||||||||||
Dax
D. Atkinson
|
12,122
|
12,122
|
0
|
*
|
||||||||||||
MLPF&S
Custodian, Dennis Smith IRA
|
121,212
|
121,212
|
0
|
*
|
Includes
shares owned directly and shares underlying
warrants. Represents the maximum number of shares that may be
sold by each selling shareholder pursuant to this prospectus; provided,
however, that pursuant to Rule 416 under the Securities Act of 1933, as
amended, the registration statement of which this prospectus is a part
shall also cover any additional shares of common stock which become
issuable in connection with the shares registered for sale hereby by
reason of any stock dividend, stock split, recapitalization or other
transaction effected pursuant to the anti-dilution provisions in the
warrants, without the receipt of consideration which results in an
increase in the number of outstanding shares of our common
stock.
|
|
(2)
|
Assumes
the sale of all shares offered hereby to unaffiliated third
parties. The selling shareholders may sell all or part of their
respective shares.
|
(3)
|
Includes
shares underlying warrants issued to FIG Partners, LLC as placement agent
for the private placement.
|
(4)
|
Affiliated
with a broker-dealer, FIG Partners, LLC. They have represented
to us that they acquired our stock in the ordinary course of business and
without any agreements, directly or indirectly, with any person to
distribute the stock.
|
(5)
|
Affiliated
with a broker-dealer, Israel A. Englander & Co., Inc. They
have represented to us that they acquired our stock in the ordinary course
of business and without any agreements, directly or indirectly, with any
person to distribute the stock.
|
(6)
|
Affiliated
with a broker-dealer, Conifer Securities. They have represented
to us that they acquired our stock in the ordinary course of business and
without any agreements, directly or indirectly, with any person to
distribute the stock.
|
·
|
ordinary
brokerage transactions and transactions in which the broker-dealer
solicits investors;
|
·
|
block
trades in which the broker-dealer will attempt to sell the shares as agent
but may position and resell a portion of the block as principal to
facilitate the transaction;
|
·
|
purchases
by a broker-dealer as principal and resale by the broker-dealer for its
account;
|
·
|
an
exchange distribution (on the American Stock Exchange or other exchange on
which our shares may be listed from time-to-time) in accordance with the
rules of the applicable exchange;
|
·
|
privately
negotiated transactions;
|
·
|
to
cover short sales made after the date that this registration statement is
declared effective by the Securities and Exchange
Commission;
|
·
|
broker-dealers
may agree with the selling stockholders to sell a specified number of such
shares at a stipulated price per
share;
|
·
|
a
combination of any such methods of sale;
and
|
·
|
any
other method permitted pursuant to applicable
law.
|
·
|
Annual
Report on Form 10-K for the fiscal year ended December 31,
2007.
|
·
|
Proxy
Statement for the 2008 Annual Meeting of
shareholders.
|
·
|
The
description of our common stock contained in our Registration Statement on
Form SB-2 (No. 333-146596), including any amendments or reports filed for
the purpose of updating such
description.
|
AMOUNT
|
||||
Registration
Fees
|
$
|
1,565
|
||
Printing
and Engraving Costs
|
0
|
|||
Legal
Fees
|
30,000
|
|||
Accounting
Fees
|
10,000
|
|||
Listing
Fees
|
0
|
|||
Transfer
Agent Fees
|
0
|
|||
Miscellaneous
Fees and Expenses
|
2,000
|
|||
Total
|
$
|
43,565
|
·
|
a
willful failure to deal fairly with the company or its stockholders in
connection with a matter in which the director has a material conflict of
interest;
|
·
|
a
violation of criminal law (unless the director had reasonable cause to
believe that his or her conduct was lawful or no reasonable cause to
believe that his or her conduct was
unlawful);
|
·
|
a
transaction from which the director derived an improper personal profit;
and
|
·
|
willful
misconduct.
|
Exhibit
No.
|
Description
|
Reference
|
|
2.1
|
Agreement
and Plan of Merger dated March 20, 2007, with exhibits
|
Incorporated
by reference to Exhibit 2 to the Current Report on Form 8-K12G3 filed with
the Securities and Exchange Commission on March 22, 2007 (File No.
000-30955).
|
|
2.2
|
Written
Action of the Board of Directors of Kentex Petroleum, Inc., constituting
the plan and agreement of short-form merger with Northern Oil and Gas,
Inc., dated March 20, 2007
|
Incorporated
by reference to Exhibit 2.2 to the Registration Statement on Form SB-2
filed with the Securities and Exchange Commission on June 11, 2007, as
amended, File No. 333-143648
|
|
3.1
|
Articles
of Incorporation of Northern Oil and Gas, Inc.
|
Incorporated
by reference to Exhibit 3.1 to the Registration Statement on Form 10-SB
filed with the Securities and Exchange Commission on July 6, 2000 (File
No. 000-30955).
|
|
3.2
|
Certificate
of Amendment of the Articles of Incorporation of Northern Oil and Gas,
Inc. dated March 27, 1984
|
Incorporated
by reference to Exhibit 3.3(i) to the Registration Statement on Form
10-SB filed with the Securities and Exchange Commission on July 6, 2000
(File No. 000-30955).
|
|
3.3
|
Certificate
of Amendment of the Articles of Incorporation of Northern Oil and Gas,
Inc. dated October 5, 1999
|
Incorporated
by reference to Exhibit 3.3(ii) to the Registration Statement on Form
10-SB filed with the Securities and Exchange Commission on July 6, 2000
(File No. 000-30955).
|
|
3.4
|
Written
Action of the Board of Directors of Kentex Petroleum, Inc. authorizing
name change to Northern Oil and Gas, Inc., dated March 20,
2007
|
Incorporated
by reference to Exhibit 2.2 to the Registration Statement on Form SB-2
filed with the Securities and Exchange Commission on June 11, 2007, as
amended, File No. 333-143648.
|
|
3.5
|
Amended
and Restated Bylaws of Northern Oil and Gas, Inc.
|
Incorporated
by reference to Exhibit 99.2 to the Registrant’s Current Report on Form
8-K filed with the Securities and Exchange Commission on December 6, 2007
(File No. 000-30955).
|
|
4.1
|
Specimen
Stock Certificate of Northern Oil and Gas, Inc.
|
Incorporated
by reference to Exhibit 2.2 to the Registration Statement on Form SB-2
filed with the Securities and Exchange Commission on June 11, 2007, as
amended, File No. 333-143648.
|
|
Opinion
of Best & Flanagan LLP.
|
Previously
filed.
|
||
10.1
|
Montana
Lease acquisition agreement with Montana Oil Properties dated October 5,
2007
|
Incorporated
by reference to Exhibit 10.1 to the Current Report on Form 8-K12G3 filed
with the Securities and Exchange Commission on March 22, 2007 (File No.
000-30955).
|
|
10.2
|
North
Dakota lease acquisition agreement with Southfork Exploration, LLC, dated
November 15, 2006
|
Incorporated
by reference to Exhibit 10.2 to the Current Report on Form 8-K12G3 filed
with the Securities and Exchange Commission on March 22, 2007 (File No.
000-30955).
|
|
10.3
|
Northern
Oil and Gas, Inc. Incentive Stock Option Plan adopted November 3,
2006
|
Incorporated
by reference to Exhibit 10.3 to the Current Report on Form 8-K12G3 filed
with the Securities and Exchange Commission on March 22, 2007 (File No.
000-30955).
|
|
10.4
|
Form
of Nonqualified Stock Option Agreement under the Northern Oil and Gas,
Inc.’s Incentive Stock Option Plan
|
Incorporated
by reference to Exhibit 10.4 to the Current Report on Form 8-K12G3 filed
with the Securities and Exchange Commission on March 22, 2007 (File No.
000-30955).
|
|
10.5
|
Form
of Convertible Promissory Note between the Company and Messrs. Reger,
Gilbertson and Polinsky
|
Incorporated
by reference to Exhibit 10.5 to the Current Report on Form 8-K12G3 filed
with the Securities and Exchange Commission on March 22, 2007 (File No.
000-30955).
|
|
10.6
|
Form
of Principal Shareholders Agreement, including exhibits
|
Incorporated
by reference to Exhibit 10.6 to the Current Report on Form 8-K12G3 filed
with the Securities and Exchange Commission on March 22, 2007 (File No.
000-30955).
|
Exhibit No. | Description | Reference | |
10.7
|
Letter
Agreement between the Company and Gallatin Resources, LLC dated June 25,
2007.
|
Previously
filed.
|
|
10.8
|
Letter
Agreement between the Company and Montana Oil & Gas Properties, LLC
dated August 13, 2007.
|
Previously
filed.
|
|
10.9
|
Form
of Subscription Agreement
|
Incorporated
by reference to Exhibit 10.1 to the current report on Form 8-K12G3 filed
with the Securities and Exchange Commission on September 14, 2007 (File
No. 000-30955).
|
|
10.10
|
Form
of Warrant
|
Incorporated
by reference to Exhibit 10.2 to the current report on Form 8-K12G3 filed
with the Securities and Exchange Commission on September 14, 2007 (File
No. 000-30955).
|
|
10.11
|
Form
of Registration Rights Agreement
|
Incorporated
by reference to Exhibit 10.3 to the current report on Form 8-K12G3 filed
with the Securities and Exchange Commission on September 14, 2007 (File
No. 000-30955).
|
|
10.12
|
Placement
Agency Agreement
|
Incorporated
by reference to Exhibit 10.4 to the current report on Form 8-K12G3 filed
with the Securities and Exchange Commission on September 14, 2007 (File
No. 000-30955).
|
|
10.13
|
Form
of Lock-Up/Leak-Out Agreement
|
Incorporated
by reference to Exhibit 10.5 to the current report on Form 8-K12G3 filed
with the Securities and Exchange Commission on September 14, 2007 (File
No. 000-30955).
|
|
10.14
|
Employment
Agreement by and between Northern Oil and Gas, Inc. and Michael L. Reger,
dated January 16, 2008
|
Incorporated
by reference to Exhibit 10.1 to the Registrant’s Current Report on Form
8-K filed with the Securities Exchange Commission on January 22, 2008
(File No. 000-30955).
|
|
10.15
|
Employment
Agreement by and between Northern Oil and Gas, Inc. and Ryan R.
Gilbertson, dated January 16, 2008
|
Incorporated
by reference to Exhibit 10.2 to the Registrant’s Current Report on Form
8-K filed with the Securities Exchange Commission on January 22, 2008
(File No. 000-30955).
|
|
10.16
|
Irrevocable
Proxy Provided by Joseph A. Geraci II, Kimerlie Geraci, Lantern Advisers,
LLC, Isles Capital, LLC and Mill City Ventures, LP, dated February 21,
2008
|
Incorporate
by reference to Exhibit 10.1 to the Registrant’s Current Report on Form
8-K filed with the Securities Exchange Commission on March 19, 2008 (File
No. 000-30955).
|
|
14.1
|
Code
of Business Conduct and Ethics, effective as of November 30,
2007
|
Incorporated
by reference to Exhibit 99.3 to the Registrant’s Current Report on Form
8-K filed with the Securities Exchange Commission on December 6, 2007
(File No. 000-30955).
|
|
23.1
|
Consent
of Best & Flanagan LLP (included in Exhibit 5.1)
|
Previously
filed.
|
|
23.2
|
Consent
of Mantyla McReynolds LLC. *
|
||
24.1
|
Powers
of Attorney
|
Included
on the signature page hereto.
|
|
*
|
Filed
herewith
|
(a)
|
(1)
|
To
file, during any period in which offers or sales are being made, a
post-effective amendment to this registration statement
to:
|
||
(i)
|
Include
any prospectus required by Section 10(a)(3) of the Securities
Act;
|
(ii)
|
Reflect
in the prospectus any facts or events which, individually or together,
represent a fundamental change in the information in the registration
statement. Notwithstanding the foregoing, any increase or decrease in
volume of securities offered (if the total dollar value of securities
offered would not exceed that which was registered) and any deviation from
the low or high end of the estimated maximum offering range may be
reflected in the form of prospectus filed with the Commission pursuant to
Rule 424(b) if, in the aggregate, the changes in volume and price
represent no more than a 20 percent change in the maximum aggregate
offering price set forth in the “Calculation of Registration Fee” table in
the effective registration statement; and
|
|||
(iii)
|
Include
any material information with respect to the plan of distribution not
previously disclosed in the registration statement or any material change
to such information in the registration statement.
|
|||
(2)
|
That,
for the purpose of determining any liability under the Securities Act of
1933, each such post-effective amendment shall be deemed to be a new
registration statement relating to the securities offered therein, and the
offering of such securities at that time shall be deemed to be the initial
bona fide
offering thereof.
|
|||
(3)
|
To
remove from registration by means of a post-effective amendment any of the
securities being registered which remain unsold at the termination of the
offering.
|
|||
(4)
|
For
the purpose of determining liability under the Securities Act to any
purchaser, each prospectus filed pursuant to Rule 424(b) (§ 230.424(b) of
this chapter) as part of a registration statement relating to an offering,
other than registration statements relying on Rule 430B or other than
prospectuses filed in reliance on Rule 430A (§ 230.430A of this chapter),
shall be deemed to be part of and included in the registration statement
as of the date it is first used after effectiveness. Provided, however,
that no statement made in a registration statement or prospectus that is
part of the registration statement or made in a document incorporated or
deemed incorporated by reference into the registration statement or
prospectus that is part of the registration statement will, as to a
purchaser with a time of contract of sale prior to such first use,
supersede or modify any statement that was made in the registration
statement or prospectus that was part of the registration statement or
made in any such document immediately prior to such date of first
use.
|
|||
(5)
|
For
determining liability of the undersigned registrant under the Securities
Act to any purchaser in the initial distribution of the securities, the
undersigned registrant undertakes that in a primary offering of securities
of the undersigned registrant pursuant to this registration statement,
regardless of the underwriting method used to sell the securities to the
purchaser, if the securities are offered or sold to such purchaser by
means of any of the following communications, the undersigned registrant
will be a seller to the purchaser and will be considered to offer or sell
such securities to such purchaser:
|
|||
(i)
|
Any
preliminary prospectus or prospectus of the undersigned registrant
relating to the offering required to be filed pursuant to Rule 424 (§
230.424 of this chapter);
|
|||
(ii)
|
Any
free writing prospectus relating to the offering prepared by or on behalf
of the undersigned registrant or used or referred to by the undersigned
registrant;
|
|||
(iii)
|
The
portion of any other free writing prospectus relating to the offering
containing material information about the undersigned registrant or its
securities provided by or on behalf of the undersigned registrant;
and
|
|||
(iv)
|
Any
other communication that is an offer in the offering made by the
undersigned registrant to the purchaser.
|
(b)
|
The
undersigned registrant hereby undertakes that, for purposes of determining
any liability under the Securities Act of 1933, each filing of the
registrant’s annual report pursuant to Section 13(a) or 15(d) of the
Securities Exchange Act of 1934 (and, where applicable, each filing of an
employee benefit plan’s annual report pursuant to Section 15(d) of the
Securities Exchange Act of 1934) that is incorporated by reference in the
registration statement shall be deemed to be a new registration statement
relating to the securities offered therein, and the offering of such
securities at that time shall be deemed to be the initial bona fide offering
thereof.
|
(e)
|
The
undersigned registrant hereby undertakes to deliver or cause to be
delivered with the prospectus, to each person to whom the prospectus is
sent or given, the latest annual report, to security holders that is
incorporated by reference in the prospectus and furnished pursuant to and
meeting the requirements of Rule 14a-3 or Rule 14c-3 under the Securities
Exchange Act of 1934; and where interim financial information required to
be presented by Article 3 of Regulation S-X is not set forth in the
prospectus, to deliver, or cause to be delivered to each person to whom
the prospectus is sent or given, the latest quarterly report that is
specifically incorporated by reference in the prospectus to provide such
interim financial information.
|
(h)
|
Insofar
as indemnification for liabilities arising under the Securities Act of
1933 (the “Act”) may be permitted to directors, officers and controlling
persons of the small business issuer pursuant to the foregoing provisions,
or otherwise, the small business issuer has been advised that in the
opinion of the Securities and Exchange Commission such indemnification is
against public policy as expressed in the Act and is, therefore,
unenforceable. In the event that a claim for indemnification
against such liabilities (other than the payment by the small business
issuer of expenses incurred or paid by a director, officer or controlling
person of the small business issuer in the successful defense of any
action, suit or proceeding) is asserted by such director, officer or
controlling person in connection with the securities being registered, the
small business issuer will, unless in the opinion of our counsel the
matter has been settled by controlling precedent, submit to a court of
appropriate jurisdiction the question whether such indemnification by it
is against public policy as expressed in the Securities Act and will be
governed by the final adjudication of such
issue.
|
Signature
|
Title
|
Date
|
||
/s/
Michael L. Reger
|
Chief
Executive Officer, Director and Secretary
|
April
15, 2008
|
||
Michael
L. Reger
|
||||
/
s/ Ryan R. Gilbertson
|
Chief
Financial Officer, Principal Financial Officer, Principal Accounting
Officer, Director
|
April
15, 2008
|
||
Ryan
R. Gilbertson
|
||||
/
s/ Loren J. O’Toole
|
Director
|
April
15, 2008
|
||
Loren
J. O’Toole
|
||||
/
s/ Carter Stewart
|
Director
|
April
15, 2008
|
||
Carter
Stewart
|
||||
/
s/ Jack King
|
Director
|
April
15, 2008
|
||
Jack
King
|
||||
/
s/ Robert Grabb
|
Director
|
April
15, 2008
|
||
Robert
Grabb
|
||||
/
s/ Lisa Bromiley Meier
|
Director
|
April
15, 2008
|
||
Lisa
Bromiley Meier
|
Exhibit
No.
|
Description
|
Reference
|
|
2.1
|
Agreement
and Plan of Merger dated March 20, 2007, with exhibits
|
Incorporated
by reference to Exhibit 2 to the Current Report on Form 8-K12G3 filed with
the Securities and Exchange Commission on March 22, 2007 (File No.
000-30955).
|
|
2.2
|
Written
Action of the Board of Directors of Kentex Petroleum, Inc., constituting
the plan and agreement of short-form merger with Northern Oil and Gas,
Inc., dated March 20, 2007
|
Incorporated
by reference to Exhibit 2.2 to the Registration Statement on Form SB-2
filed with the Securities and Exchange Commission on June 11, 2007, as
amended, File No. 333-143648
|
|
3.1
|
Articles
of Incorporation of Northern Oil and Gas, Inc.
|
Incorporated
by reference to Exhibit 3.1 to the Registration Statement on Form 10-SB
filed with the Securities and Exchange Commission on July 6, 2000 (File
No. 000-30955).
|
|
3.2
|
Certificate
of Amendment of the Articles of Incorporation of Northern Oil and Gas,
Inc. dated March 27, 1984
|
Incorporated
by reference to Exhibit 3.3(i) to the Registration Statement on Form
10-SB filed with the Securities and Exchange Commission on July 6, 2000
(File No. 000-30955).
|
|
3.3
|
Certificate
of Amendment of the Articles of Incorporation of Northern Oil and Gas,
Inc. dated October 5, 1999
|
Incorporated
by reference to Exhibit 3.3(ii) to the Registration Statement on Form
10-SB filed with the Securities and Exchange Commission on July 6, 2000
(File No. 000-30955).
|
|
3.4
|
Written
Action of the Board of Directors of Kentex Petroleum, Inc. authorizing
name change to Northern Oil and Gas, Inc., dated March 20,
2007
|
Incorporated
by reference to Exhibit 2.2 to the Registration Statement on Form SB-2
filed with the Securities and Exchange Commission on June 11, 2007, as
amended, File No. 333-143648.
|
|
3.5
|
Amended
and Restated Bylaws of Northern Oil and Gas, Inc.
|
Incorporated
by reference to Exhibit 99.2 to the Registrant’s Current Report on Form
8-K filed with the Securities and Exchange Commission on December 6, 2007
(File No. 000-30955).
|
|
4.1
|
Specimen
Stock Certificate of Northern Oil and Gas, Inc.
|
Incorporated
by reference to Exhibit 2.2 to the Registration Statement on Form SB-2
filed with the Securities and Exchange Commission on June 11, 2007, as
amended, File No. 333-143648.
|
|
5.1
|
Opinion
of Best & Flanagan LLP.
|
Previously
filed.
|
|
10.1
|
Montana
Lease acquisition agreement with Montana Oil Properties dated October 5,
2007
|
Incorporated
by reference to Exhibit 10.1 to the Current Report on Form 8-K12G3 filed
with the Securities and Exchange Commission on March 22, 2007 (File No.
000-30955).
|
|
10.2
|
North
Dakota lease acquisition agreement with Southfork Exploration, LLC, dated
November 15, 2006
|
Incorporated
by reference to Exhibit 10.2 to the Current Report on Form 8-K12G3 filed
with the Securities and Exchange Commission on March 22, 2007 (File No.
000-30955).
|
|
10.3
|
Northern
Oil and Gas, Inc. Incentive Stock Option Plan adopted November 3,
2006
|
Incorporated
by reference to Exhibit 10.3 to the Current Report on Form 8-K12G3 filed
with the Securities and Exchange Commission on March 22, 2007 (File No.
000-30955).
|
10.4
|
Form
of Nonqualified Stock Option Agreement under the Northern Oil and Gas,
Inc.’s Incentive Stock Option Plan
|
Incorporated
by reference to Exhibit 10.4 to the Current Report on Form 8-K12G3 filed
with the Securities and Exchange Commission on March 22, 2007 (File No.
000-30955).
|
|
10.5
|
Form
of Convertible Promissory Note between the Company and Messrs. Reger,
Gilbertson and Polinsky
|
Incorporated
by reference to Exhibit 10.5 to the Current Report on Form 8-K12G3 filed
with the Securities and Exchange Commission on March 22, 2007 (File No.
000-30955).
|
10.6
|
Form
of Principal Shareholders Agreement, including exhibits
|
Incorporated
by reference to Exhibit 10.6 to the Current Report on Form 8-K12G3 filed
with the Securities and Exchange Commission on March 22, 2007 (File No.
000-30955).
|
|
10.7
|
Letter
Agreement between the Company and Gallatin Resources, LLC dated June 25,
2007.
|
Previously
filed.
|
|
10.8
|
Letter
Agreement between the Company and Montana Oil & Gas Properties, LLC
dated August 13, 2007.
|
Previously
filed.
|
|
10.9
|
Form
of Subscription Agreement
|
Incorporated
by reference to Exhibit 10.1 to the current report on Form 8-K12G3 filed
with the Securities and Exchange Commission on September 14, 2007 (File
No. 000-30955).
|
|
10.10
|
Form
of Warrant
|
Incorporated
by reference to Exhibit 10.2 to the current report on Form 8-K12G3 filed
with the Securities and Exchange Commission on September 14, 2007 (File
No. 000-30955).
|
|
10.11
|
Form
of Registration Rights Agreement
|
Incorporated
by reference to Exhibit 10.3 to the current report on Form 8-K12G3 filed
with the Securities and Exchange Commission on September 14, 2007 (File
No. 000-30955).
|
|
10.12
|
Placement
Agency Agreement
|
Incorporated
by reference to Exhibit 10.4 to the current report on Form 8-K12G3 filed
with the Securities and Exchange Commission on September 14, 2007 (File
No. 000-30955).
|
|
10.13
|
Form
of Lock-Up/Leak-Out Agreement
|
Incorporated
by reference to Exhibit 10.5 to the current report on Form 8-K12G3 filed
with the Securities and Exchange Commission on September 14, 2007 (File
No. 000-30955).
|
|
10.14
|
Employment
Agreement by and between Northern Oil and Gas, Inc. and Michael L. Reger,
dated January 16, 2008
|
Incorporated
by reference to Exhibit 10.1 to the Registrant’s Current Report on Form
8-K filed with the Securities Exchange Commission on January 22, 2008
(File No. 000-30955).
|
|
10.15
|
Employment
Agreement by and between Northern Oil and Gas, Inc. and Ryan R.
Gilbertson, dated January 16, 2008
|
Incorporated
by reference to Exhibit 10.2 to the Registrant’s Current Report on Form
8-K filed with the Securities Exchange Commission on January 22, 2008
(File No. 000-30955).
|
|
10.16
|
Irrevocable
Proxy Provided by Joseph A. Geraci II, Kimerlie Geraci, Lantern Advisers,
LLC, Isles Capital, LLC and Mill City Ventures, LP, dated February 21,
2008
|
Incorporate
by reference to Exhibit 10.1 to the Registrant’s Current Report on Form
8-K filed with the Securities Exchange Commission on March 19, 2008 (File
No. 000-30955).
|
14.1
|
Code
of Business Conduct and Ethics, effective as of November 30,
2007
|
Incorporated
by reference to Exhibit 99.3 to the Registrant’s Current Report on Form
8-K filed with the Securities Exchange Commission on December 6, 2007
(File No. 000-30955).
|
|
23.1
|
Consent
of Best & Flanagan LLP (included in Exhibit 5.1)
|
Previously
filed.
|
|
23.2
|
Consent
of Mantyla McReynolds LLC. *
|
||
24.1
|
Powers
of Attorney
|
Included
on the signature page hereto.
|
|
*
|
Filed
herewith
|