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Proc-Type: 2001,MIC-CLEAR
Originator-Name: webmaster@www.sec.gov
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<SEC-DOCUMENT>0000355948-05-000007.txt : 20050215
<SEC-HEADER>0000355948-05-000007.hdr.sgml : 20050215
<ACCEPTANCE-DATETIME>20050215172228
ACCESSION NUMBER:		0000355948-05-000007
CONFORMED SUBMISSION TYPE:	8-K
PUBLIC DOCUMENT COUNT:		11
CONFORMED PERIOD OF REPORT:	20050215
ITEM INFORMATION:		Entry into a Material Definitive Agreement
ITEM INFORMATION:		Termination of a Material Definitive Agreement
ITEM INFORMATION:		Creation of a Direct Financial Obligation or an Obligation under an Off-Balance Sheet Arrangement of a Registrant
ITEM INFORMATION:		Unregistered Sales of Equity Securities
ITEM INFORMATION:		Other Events
ITEM INFORMATION:		Financial Statements and Exhibits
FILED AS OF DATE:		20050215
DATE AS OF CHANGE:		20050215

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			RICHARDSON ELECTRONICS LTD/DE
		CENTRAL INDEX KEY:			0000355948
		STANDARD INDUSTRIAL CLASSIFICATION:	WHOLESALE-ELECTRONIC PARTS & EQUIPMENT, NEC [5065]
		IRS NUMBER:				362096643
		STATE OF INCORPORATION:			DE
		FISCAL YEAR END:			0531

	FILING VALUES:
		FORM TYPE:		8-K
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	000-12906
		FILM NUMBER:		05618287

	BUSINESS ADDRESS:	
		STREET 1:		40W267 KESLINGER RD
		CITY:			LAFOX
		STATE:			IL
		ZIP:			60147
		BUSINESS PHONE:		7082082200

	MAIL ADDRESS:	
		STREET 1:		40W267 KESLINGER ROAD
		CITY:			LAFOX
		STATE:			IL
		ZIP:			60147
</SEC-HEADER>
<DOCUMENT>
<TYPE>8-K
<SEQUENCE>1
<FILENAME>form8k20050215.htm
<DESCRIPTION>FORM 8-K
<TEXT>
<!DOCTYPE html PUBLIC "-//W3C//DTD HTML 4.01 Transitional//EN"
created by Ritchie>
<html>
<head>
<title></title>
</head>
<body link="blue" vlink="purple">
<table align="center" width="90%">
<tr>
<td align="left"><small><i>FORM 8K</i></small></td>
<td align="right"><small><i>File:20050215-FY05Q3</i></small></td>
</tr>
</table>

<hr size="4" width="100%" noshade color="blue" align="center">
<hr size="1" width="100%" noshade color="blue" align="center">
<table align="center" border="0" cellspacing="0" cellpadding="0"
width="80%">
<tr>
<td nowrap valign="top">
<div align="center"><font size="4"><b>UNITED
STATES</b></font></div>
</td>
</tr>

<tr>
<td nowrap valign="top">
<div align="center"><b><font size="4">SECURITIES AND EXCHANGE
COMMISSION</font></b></div>
</td>
</tr>

<tr>
<td nowrap valign="top">
<div align="center"><b><font size="3">Washington, D.C.
20549</font></b></div>
</td>
</tr>
</table>

<table align="center" border="0" cellspacing="0" cellpadding="0"
width="80%">
<tr>
<td nowrap colspan="5" valign="top">
<h1 align="center"><b>FORM 8-K</b></h1>
</td>
</tr>
</table>

<div>&nbsp;</div>

<table align="center" border="0" cellspacing="0" cellpadding="0"
width="80%">
<tr>
<td nowrap valign="top">
<div align="center"><font size="4"><b>CURRENT
REPORT</b></font></div>
</td>
</tr>

<tr>
<td nowrap valign="top">
<div align="center"><b><font size="4">Pursuant to Section 13 OR
15(d) of</font></b></div>
</td>
</tr>

<tr>
<td nowrap valign="top">
<div align="center"><b><font size="4">The Securities Exchange Act
of 1934</font></b></div>
</td>
</tr>
</table>

<table align="center" border="0" cellspacing="0" cellpadding="30"
width="80%">
<tr>
<td nowrap valign="top">
<div align="center"><font face="arial">Date of Report (Date of
earliest event reported)&nbsp;<b>:</b>
<b><u><i>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; February 15, 2005
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</i></u></b></font></div>
</td>
</tr>
</table>

<table align="center" border="0" cellspacing="0" cellpadding="1"
width="600">
<tr>
<td nowrap colspan="1" valign="top">
<p align="center">&nbsp;<img width="242" height="88" id=
"_x0000_i1032" src="logo.gif" border="0"></p>
</td>
</tr>

<tr>
<td align="center" colspan="1" valign="top">
<p align="center"><font face="arial"><font size="4"><b>RICHARDSON ELECTRONICS, LTD.</b></font></font></p>
</td>
</tr>

<tr height="1">
<td height="1" bgcolor="black"></td>
</tr>

<tr>
<td nowrap colspan="1" valign="top">
<p align="center"><font size="2">(Exact name of registrant as
specified in its charter)</font></p>
</td>
</tr>
</table>

&nbsp;

<table align="center" border="0" cellspacing="0" cellpadding="1"
width="600">
<tr>
<td nowrap colspan="1" valign="top">
<p align="left">
<b><i><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
Delaware
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</u></i></b></p>
</td>
<td nowrap colspan="1" valign="top">&nbsp;</td>
<td nowrap colspan="1" valign="top">
<p align="left">
<b><i><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
0-12906
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</u></i></b></p>
</td>
<td nowrap colspan="1" valign="top">&nbsp;</td>
<td nowrap colspan="1" valign="top">
<p align="left">
<b><i><u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
36-2096643
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</u></i></b></p>
</td>
</tr>

<tr>
<td nowrap colspan="1" valign="top">
<p align="center"><font size="2">(State or other
jurisdiction</font></p>
</td>
<td nowrap colspan="1" valign="top">&nbsp;</td>
<td nowrap colspan="1" valign="top">
<p align="center"><font size="2">(Commission</font></p>
</td>
<td nowrap colspan="1" valign="top">&nbsp;</td>
<td nowrap colspan="1" valign="top">
<p align="center"><font size="2">(IRS Employer</font></p>
</td>
</tr>

<tr>
<td nowrap colspan="1" valign="top">
<p align="center"><font size="2">of incorporation)</font></p>
</td>
<td nowrap colspan="1" valign="top">&nbsp;</td>
<td nowrap colspan="1" valign="top">
<p align="center"><font size="2">File Number)</font></p>
</td>
<td nowrap colspan="1" valign="top">&nbsp;</td>
<td nowrap colspan="1" valign="top">
<p align="center"><font size="2">Identification No.)</font></p>
</td>
</tr>

<tr>
<td nowrap colspan="5" valign="top">&nbsp;</td>
</tr>

<tr>
<td wrap="" colspan="3" valign="top">
<p align="left"><b><u><i>40W267 Keslinger Road, P.O. Box 393,
LaFox, Illinois</i></u></b></p>
</td>
<td nowrap colspan="1" valign="top">&nbsp;</td>
<td nowrap colspan="1" valign="top">
<p align="left">
<b><u><i>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
60147-0393
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</i></u></b></p>
</td>
</tr>

<tr>
<td wrap="" colspan="3" valign="top">
<p align="center"><font size="2">(Address of principal executive
offices)</font></p>
</td>
<td nowrap colspan="1" valign="top">&nbsp;</td>
<td nowrap colspan="1" valign="top">
<p align="center"><font size="2">(Zip Code)</font></p>
</td>
</tr>

<tr>
<td nowrap colspan="5" valign="top">&nbsp;</td>
</tr>

<tr>
<td wrap="" colspan="3" valign="top">
<p align="left"><font face="arial">Registrant's telephone number,
including area code:</font></p>
</td>
<td nowrap colspan="1" valign="top">&nbsp;</td>
<td nowrap colspan="1" valign="top">
<p align="left">
<b><u><i>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
(630) 208-2200
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</i></u></b></p>
</td>
</tr>

<tr>
<td nowrap colspan="5" valign="top">&nbsp;</td>
</tr>

<tr>
<td nowrap colspan="5" valign="top">
<p align="left"><font face="arial"><font size=
"4"><u><b>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</b></u></font></font></p>
</td>
</tr>

<tr>
<td nowrap colspan="5" valign="top">
<p align="center"><font size="2">(Former name or former address, if
changed since last report.)</font></p>
</td>
</tr>
</table>

<div>&nbsp;</div>

<table align="center" border="0" cellspacing="0" cellpadding="1"
width="600">
<tr>
<td wrap="" colspan="2" valign="top">
<p><font face="arial"><small>Check the appropriate box below if the
Form 8-K filing is intended to simultaneously satisfy the filing
obligation of the registrant under any of the following provisions
(see General Instruction A.2. below):</small></font></p>
</td>
</tr>

<tr>
<td nowrap colspan="1" valign="top">
<p><font face="arial">[&nbsp;&nbsp;&nbsp;]</font></p>
</td>
<td wrap="" colspan="1" valign="top">
<p><font face="arial"><small>Written communications pursuant to
Rule 425 under the Securities Act (17 CFR
230.425)</small></font></p>
</td>
</tr>

<tr>
<td nowrap colspan="1" valign="top">
<p><font face="arial">[&nbsp;&nbsp;&nbsp;]</font></p>
</td>
<td wrap="" colspan="1" valign="top">
<p><font face="arial"><small>Soliciting material pursuant to Rule
14a-12 under the Exchange Act (17 CFR
240.14a-12)</small></font></p>
</td>
</tr>

<tr>
<td nowrap colspan="1" valign="top">
<p><font face="arial">[&nbsp;&nbsp;&nbsp;]</font></p>
</td>
<td wrap="" colspan="1" valign="top">
<p><font face="arial"><small>Pre-commencement communications
pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR
240.14d-2(b))</small></font></p>
</td>
</tr>

<tr>
<td nowrap colspan="1" valign="top">
<p><font face="arial">[&nbsp;&nbsp;&nbsp;]</font></p>
</td>
<td wrap="" colspan="1" valign="top">
<p><font face="arial"><small>Pre-commencement communications
pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR
240.13e-4(c))</small></font></p>
</td>
</tr>
</table>


<div>&nbsp;</div>
<div>&nbsp;</div>
<div>&nbsp;</div>
<div>&nbsp;</div>
<div>&nbsp;</div>




<p nowrap align="center"><b><a HREF="form8k20050215.pdf">FORM 8-K(PDF)</a></b></p>

<div>&nbsp;</div>
<div>&nbsp;</div>
<div>&nbsp;</div>




<hr size="1" width="90%" noshade color="blue" align="center">
<div>&nbsp;</div>


<table align="center" border="0" cellspacing="0" cellpadding="4"
width="650">
<tr>
<td nowrap colspan="2" valign="top">
<div><font face="arial"><i><small>For Details, Please
Contact:</small></i></font></div>
</td>
</tr>

<tr>
<td nowrap colspan="1" valign="top">
<div><font face="arial"><b><small>Ed
Richardson</small></b></font></div>
</td>
<td nowrap colspan="1" valign="top">
<div><font face="arial"><b><small>Dario
Sacomani</small></b></font></div>
</td>
</tr>

<tr>
<td nowrap colspan="1" valign="top">
<div><font face="arial"><small>Chairman and Chief Exective
Officer</small></font></div>

<div><font face="arial"><small>Richardson Electronics,
Ltd.</small></font></div>
</td>
<td nowrap colspan="1" valign="top">
<div><font face="arial"><small>Senior Vice President and Chief
Financial Officer</small></font></div>

<div><font face="arial"><small>Richardson Electronics,
Ltd.</small></font></div>
</td>
</tr>

<tr>
<td nowrap colspan="2" valign="top">
<div><font face="arial"><small>Phone:
(630)208-2340</small></font></div>

<div><font face="arial"><small>E-mail:
info@rell.com</small></font></div>
</td>
</tr>
</table>



<table align="center" border="0" cellspacing="0" cellpadding="1"
width="650">

<tr>
<td nowrap colspan="2" valign="top" align="left">
<hr width="100%" color="black">
</td>
</tr>

<tr>
<td wrap="" colspan="2" valign="top">
<div><font face="arial"><b>Item 1.01. Entry into a Material Definitive Agreement
</b></font></div>
</td>
</tr>

<tr>
<td colspan="2" valign="top">
<p><br />
On February 14, 2005, Richardson Electronics, Ltd., or Richardson, entered into separate exchange agreements pursuant to which a small number of holders of Richardson's existing 7<small>1/4</small>% Convertible Subordinated Debentures due December 15, 2006, or the 7<small>1/4</small>% debentures, and 8<small>1/4</small>% Convertible Senior Subordinated Debentures due June 15, 2006, or the 8<small>1/4</small>% debentures, agreed to exchange approximately $22.2 million in aggregate principal amount of 7<small>1/4</small>% debentures and approximately $22.5 million in aggregate principal amount of 8<small>1/4</small>% debentures for approximately $44.7 million in aggregate principal amount of newly-issued 7<small>3/4</small>% Convertible Senior Subordinated Notes due 2011.  Based on recent Schedule 13G filings, two of the holders, Loomis Sayles & Company and T. Rowe Price Associates, Inc., each beneficially owns more than 5% of Richardson's common stock.  Loomis exchanged approximately $14.9 million aggregate p
rincipal amount of 7<small>1/4</small>% debentures, and T. Rowe Price exchanged approximately $4.1 million aggregate principal amount of 7<small>1/4</small>% debentures.  A copy of the form of exchange agreement is filed as an exhibit to this report.  The foregoing description of the exchange agreement is only a summary and is qualified in its entirety by the full text of the form of agreement, which is incorporated by reference herein.
<br />&nbsp;
<br />
On February 15, 2005, Richardson issued the senior subordinated notes pursuant to an indenture with J.P. Morgan Trust Company dated February 14, 2005.  The senior subordinated notes bear interest at the rate of 7<small>3/4</small>% per annum.  Interest is due on June 15 and December 15 of each year.  The senior subordinated notes mature on December 15, 2011.  The senior subordinated notes are convertible at the option of the holder, at any time on or prior to maturity, into shares of Richardson's common stock at a price equal to $18.00 per share, subject to adjustment in certain circumstances.  On or after December 19, 2006, Richardson may elect to automatically convert the notes into shares of common stock if the trading price exceeds 125% of the conversion price of the notes for at least twenty trading days during any thirty trading day period.
<br />&nbsp;
<br />
The indenture provides that on or after December 19, 2006, Richardson has the option of redeeming the senior subordinated notes, in whole or in part, for cash, at a redemption price equal to 100% of the principal amount of the notes to be redeemed, plus accrued and unpaid interest, if any, to, but excluding, the redemption date. However, from December 19, 2006 until December 19, 2007, the notes will be redeemable only if the trading price of Richardson's common stock exceeds 125% of the conversion price of the notes for at least twenty trading days during any thirty trading day period.
<br />&nbsp;
<br />
Holders may require Richardson to repurchase all or a portion of their senior subordinated notes for cash upon a change-of-control event, as described in the indenture, at a repurchase price equal to 101% of the principal amount of the notes to be repurchased, plus accrued and unpaid interest, if any, to, but excluding, the repurchase date.  Richardson may, at its option, pay the change of control purchase price in cash, shares of its common stock (valued at 97.5% of the market price), or a combination thereof.
<br />&nbsp;
<br />
The senior subordinated notes are unsecured and subordinated to Richardson's existing and future senior debt and senior to Richardson's existing 7<small>1/4</small>%Convertible Subordinated Debentures due December 15, 2006 and 8<small>1/4</small>% Convertible Senior Subordinated Debentures due June 15, 2006.  A copy of the new indenture is filed as an exhibit to this report.  The foregoing description of the indenture is only a summary and is qualified in its entirety by the full text of the indenture, which is incorporated by reference herein.
<br />&nbsp;
<br />
The senior subordinated notes were issued through a private offering to qualified institutional buyers under Section 4(2) of the Securities Act of 1933 and Rule 506 promulgated thereunder.  In connection with the exchange, on February 15, 2005, Richardson also entered into a resale registration rights agreement with the existing holders who participated in the exchange offer.  Pursuant to the resale registration rights agreement, Richardson has agreed to file a registration statement for the resale of the senior subordinated notes and the shares of common stock issuable upon conversion of the notes on or before May 16, 2005 and to use its best efforts to cause such registration statement to become effective as promptly as is practicable, but in no event later than August 14, 2005.  Richardson has also agreed to keep the shelf registration statement effective until two years after the latest date on which it issues senior subordinated notes in connection with the exchange, subject to certain terms and conditi
ons.  A copy of the form of the resale registration rights agreement is filed as an exhibit to this report.  The foregoing description of the resale registration rights agreement is only a summary and is qualified in its entirety by the full text of such agreement, which is incorporated by reference herein.
<br />&nbsp;
</p>
</td>
</tr>


<tr>
<td wrap="" colspan="2" valign="top">
<div><font face="arial"><b>Item 1.02. Termination of a Material Definitive Agreement
</b></font></div>
</td>
</tr>

<tr>
<td colspan="2" valign="top">
<p><br />
See Item 1.01 above, which is incorporated by reference herein.
<br />&nbsp;
</p>
</td>
</tr>


<tr>
<td wrap="" colspan="2" valign="top">
<div><font face="arial"><b>Item 2.03. Creation of a Direct Financial Obligation or an Obligation Under an Off-Balance Sheet Arrangement of a Registrant
</b></font></div>
</td>
</tr>

<tr>
<td colspan="2" valign="top">
<p><br />
See Item 1.01 above, which is incorporated by reference herein.
<br />&nbsp;
</p>
</td>
</tr>

<tr>
<td wrap="" colspan="2" valign="top">
<div><font face="arial"><b>Item 3.02. Unregistered Sales of Equity Securities
</b></font></div>
</td>
</tr>

<tr>
<td colspan="2" valign="top">
<p><br />
See Item 1.01 above, which is incorporated by reference herein.
<br />&nbsp;
</p>
</td>
</tr>

<tr>
<td wrap="" colspan="2" valign="top">
<div><font face="arial"><b>Item 8.01.  Other Events
</b></font></div>
</td>
</tr>

<tr>
<td colspan="2" valign="top">
<p><br />
In connection with the exchange, Richardson issued a press release on February 15, 2005.  A copy of the press release is filed as an exhibit to this report and incorporated by reference herein.
<br />&nbsp;
</p>
</td>
</tr>

<tr>
<td wrap="" colspan="2" valign="top">
<div><font face="arial"><b>Item 9.01. Financial Statements and Exhibits
</b></font></div>
</td>
</tr>

<tr>
<td colspan="2" valign="top">
<p><br />
(c) &nbsp;&nbsp;&nbsp;&nbsp;<u>Exhibits</u>
</p>
</td>
</tr>

</table>



<table align="center" border="0" cellspacing="0" cellpadding="1"
width="650">

<tr>
<td colspan="1" valign="top">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
</td>
<td nowrap colspan="1" valign="top">
&nbsp;&nbsp;10.1&nbsp;&nbsp;&nbsp;&nbsp;
</td>
<td colspan="1" valign="top">
Form of Exchange Agreement, dated February 2005, between Richardson Electronics, Ltd. and certain holders of outstanding debentures
</td>
<td colspan="1" valign="top">
&nbsp;&nbsp;<a HREF="exhibit10_1.htm">HTML</a>
</td>
<td colspan="1" valign="top">
&nbsp;&nbsp;&nbsp;&nbsp;<a HREF="exhibit10_1.pdf">PDF</a>
</td>
</tr>

<tr>
<td colspan="1" valign="top">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
</td>
<td nowrap colspan="1" valign="top">
&nbsp;&nbsp;10.2&nbsp;&nbsp;&nbsp;&nbsp;
</td>
<td colspan="1" valign="top">
Indenture, dated as of February 14, 2005, between Richardson Electronics, Ltd. and J.P. Morgan Trust Company, National Association
</td>
<td colspan="1" valign="top">
&nbsp;&nbsp;<a HREF="exhibit10_2.htm">HTML</a>
</td>
<td colspan="1" valign="top">
&nbsp;&nbsp;&nbsp;&nbsp;<a HREF="exhibit10_2.pdf">PDF</a>
</td>
</tr>

<tr>
<td colspan="1" valign="top">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
</td>
<td nowrap colspan="1" valign="top">
&nbsp;&nbsp;10.3&nbsp;&nbsp;&nbsp;&nbsp;
</td>
<td colspan="1" valign="top">
Form of Resale Registration Rights Agreement, dated February 2005, between Richardson Electronics, Ltd. and the holders specified therein
</td>
<td colspan="1" valign="top">
&nbsp;&nbsp;<a HREF="exhibit10_3.htm">HTML</a>
</td>
<td colspan="1" valign="top">
&nbsp;&nbsp;&nbsp;&nbsp;<a HREF="exhibit10_3.pdf">PDF</a>
</td>
</tr>

<tr>
<td colspan="1" valign="top">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
</td>
<td nowrap colspan="1" valign="top">
&nbsp;&nbsp;99.1&nbsp;&nbsp;&nbsp;&nbsp;
</td>
<td colspan="1" valign="top">
Press release of Richardson Electronics, Ltd. dated February 15, 2005
</td>
<td colspan="1" valign="top">
&nbsp;&nbsp;<a HREF="exhibit99_1.htm">HTML</a>
</td>
<td colspan="1" valign="top">
&nbsp;&nbsp;&nbsp;&nbsp;<a HREF="exhibit99_1.pdf">PDF</a>
</td>
</tr>

</table>





<div>&nbsp;</div>
<div>&nbsp;</div>
<div>&nbsp;</div>
<div>&nbsp;</div>
<div>&nbsp;</div>
<div>&nbsp;</div>
<div>&nbsp;</div>
<div>&nbsp;</div>
<div>&nbsp;</div>
<div>&nbsp;</div>
<div>&nbsp;</div>
<div>&nbsp;</div>
<div>&nbsp;</div>
<div>&nbsp;</div>



<hr size="1" width="90%" noshade color="blue" align="center">
<div>&nbsp;</div>






<table align="center" border="0" cellspacing="0" cellpadding="8"
width="650">
<tr>
<td nowrap colspan="1" valign="top" align="left">
</td>
</tr>

<tr>
<td wrap="" colspan="1" valign="top" align="left">

<p><font face="arial"><b>About Richardson
Electronics</b></font></p>

<p><font face="arial">Richardson Electronics, Ltd. is a global provider of &ldquo;engineered solutions,&rdquo; serving the RF and wireless communications, industrial power conversion, security and display systems markets.  The Company delivers engineered solutions for its customers&rsquo; needs through product manufacturing, systems integration, prototype design and manufacture, testing and logistics.  Press announcements and other information about Richardson are available on the World Wide Web at http://www.rell.com/investor.asp.</font></p>
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width="650">
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<td nowrap colspan="2" valign="top" align="center">
<p><font face="arial"><b>SIGNATURES</b></font></p>
</td>
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<td wrap="" colspan="2" valign="top" align="left">
<p><font face=
"arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Pursuant to
the requirements of the Securities Exchange Act of 1934, the
registrant has duly caused this report to be signed on its behalf
by the undersigned hereunto duly authorized.</font></p>
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<td wrap="" colspan="2" valign="top" align="center">
<p><font face="arial">&nbsp;</font></p>
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<p><font face="arial">&nbsp;</font></p>
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<p><font face="arial"><b>RICHARDSON ELECTRONICS,
LTD.</b></font></p>
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<td nowrap colspan="1" valign="top" align="left">
<p><font face="arial">Date:</font> <i><b><u>&nbsp;&nbsp;February 15, 2005&nbsp;&nbsp;</u></b></i></p>
</td>
<td nowrap colspan="1" valign="top" align="leftr">
<p><font face="arial">By:</font>
<u><i><b>/s/&nbsp;&nbsp;WILLIAM G. SEILS&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</b></i></u></p>
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<p><font face="arial">&nbsp;</font></p>
</td>
<td wrap="" colspan="1" valign="top" align="left">
<div><font face="arial">Name: William G. Seils</font></div>

<div><font face="arial">Title: &nbsp;&nbsp;&nbsp;Senior Vice
President, General Counsel and</font></div>

<div><font face=
"arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Secretary</font></div>
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<DOCUMENT>
<TYPE>EX-10
<SEQUENCE>3
<FILENAME>exhibit10_1.htm
<DESCRIPTION>EX-10.1 FORM OF EXCHANGE AGREEMENT
<TEXT>
<html>
<head>
<title>EXCHANGE AGREEMENT</title>
</head>
<body>
<div>
<p align="center"><b><u><font size="3" face="Times New Roman">EXCHANGE AGREEMENT</font></u></b></p>

<p align="center"><b><font size="3" face="Times New Roman"></font></b></p>

<p><font size="3" face="Times New Roman">This Exchange Agreement (the "<u>Agreement</u>") is made and entered into this ___ day of February, 2005, by and between _______________________________, a ____________ __________ (the "<u>Holder</u>"), and Richardson
Electronics Ltd., a Delaware corporation (the "<u>Company</u>").</font></p>

<p align="center"><b><font size="3" face="Times New Roman">Recitals</font></b></p>

<p align="center"><b><font size="3" face="Times New Roman"></font></b></p>

<p>The Holder currently holds $_________ principal amount of the Company's 7&nbsp;&frac14;% Convertible Subordinated Debentures due December 15, 2006 (the "<u>7&nbsp;&frac14;% Debentures</u>") and $_________ principal amount of the Company's 8&nbsp;&frac14;%
Convertible Senior Subordinated Debentures due June&nbsp;15, 2006 (the "<u>8&nbsp;&frac14;% Debentures</u>" and, together with the 7&nbsp;&frac14;% Debentures, the "<u>Outstanding Debentures</u>").</p>

<p>The Holder desires to exchange the Outstanding Debentures for an equal principal amount of the Company's 7&nbsp;&frac34;% Convertible Senior Subordinated Notes due 2011 (the "<u>New Notes</u>") on the terms and conditions set forth in this Agreement (the
"<u>Exchange Transaction</u>").</p>

<p>The Company desires to issue the Holder $_________ principal amount of New Notes in exchange for the Outstanding Debentures on the terms and conditions set forth in this Agreement.</p>

<p align="center"><b><font size="3" face="Times New Roman">Agreement</font></b></p>

<p><font size="3" face="Times New Roman">NOW, THEREFORE, in consideration of the premises and the agreements set forth below, and for other good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, the parties agree as
follows:</font></p>

<h1>Article I<br />
Exchange</h1>

<h2>1.1 <u>The Exchange.</u></h2>

<p><font size="3" face="Times New Roman">&nbsp; Upon the terms and subject to the conditions of this Agreement, at the Closing (as defined herein), the Company shall issue and exchange $___________ principal amount of New Notes plus all accrued and unpaid interest
on the Outstanding Debentures at the day prior to Closing for an equal principal amount of Outstanding Debentures.</font></p>

<h2>1.2 <u>Closing.</u></h2>

<p><font size="3" face="Times New Roman">&nbsp; The closing is anticipated to take place on the date hereof at the offices of Richardson Electronics, Ltd., 40W267 Keslinger Road, LaFox, Illinois 60147, or on such other date and at such other place as the parties may
agree in writing (the "<u>Closing</u>").&nbsp; At the Closing, the Holder shall deliver or cause to be delivered to the Company all of such Holder's right, title and interest in and to all of the Outstanding Debentures, and all documentation related thereto, and
whatever documents of conveyance or transfer may be necessary or desirable to transfer to and confirm in the Company all right, title and interest in and to the Outstanding Debentures, and the Company shall issue to the Holder the New Notes and cash by wire transfer
of immediately available funds in an amount equal to the accrued and unpaid interest on the Outstanding Debentures at the day prior to Closing.</font></p>

<h2>1.3 <u>Conditions to Closing.</u></h2>

<p><font size="3" face="Times New Roman">&nbsp; This Agreement and the Exchange Transaction shall become effective upon the satisfaction of the following conditions:</font></p>

<p>(a) The Holder and the Company shall have executed and delivered to each other this Agreement;</p>

<p>(b) The Company shall have executed and delivered the New Notes in the number and amounts set forth in Section 1.1;</p>

<p>(c) The Holders shall have delivered, or caused to be delivered, to the Company the Outstanding Debentures being exchanged pursuant to this Agreement;</p>

<p>(d) The Company shall have delivered to the Holder a certificate, dated the Closing Date, executed by the secretary of the Company certifying in such capacity and on behalf of the Company (i) as to the incumbency and signature of the officer of the Company who
executed this Agreement and the New Notes; and (ii)&nbsp;as to the adoption of resolutions of the board of directors of the Company which are in full force and effect on the Closing Date, authorizing (x)&nbsp;the execution and delivery of this Agreement and the New
Notes; and (y) the performance of the obligations of the Company hereunder and thereunder;</p>

<h2>1.4 <u>Exchange of Additional Debentures.</u></h2>

<p>&nbsp; After the Closing, the Company may issue, subject to the terms of the indenture for the New Notes, an unlimited amount of New Notes (the "Additional New Notes"), to one or more holders of Outstanding Debentures (the
"Additional Holders").</P>

<h1>Article II<br />
Representations and Warranties of the Holder</h1>

<p><font size="3" face="Times New Roman"> The Holder hereby makes the following representations and warranties, each of which is true and correct on the date hereof and shall survive the date of the Closing and the transactions contemplated hereby to the extent set
forth herein.</font></p>

<h2>2.1 <u>Existence and Power.</u></h2>

<p>(a) The Holder is a ___________ duly organized, validly existing and in good standing under the laws of the State of __________ and has the power, authority and capacity to execute and deliver this Agreement, to perform the Holder's obligations hereunder, and to
consummate the transactions contemplated hereby.</p>

<p>(b) <a name="_Ref77996108">The execution of this Agreement and the consummation of the transactions contemplated hereby do not and will not constitute or result in a breach, violation or default under any note, bond, mortgage, deed, indenture, lien, instrument,
contract, agreement, lease or license, whether written or oral, express or implied, or any statute, law, ordinance, decree, order, injunction, rule, directive, judgment or regulation of any court, administrative or regulatory body, governmental authority, arbitrator,
mediator or similar body on the part of the Holder or on the part of any other party thereto or cause the acceleration or termination of any obligation or right of the Holder.</a></h3>

<h2>2.2 <u>Valid and Enforceable Agreement; Authorization.</u></h2>

<p><font size="3" face="Times New Roman">&nbsp; This Agreement has been duly executed and delivered by the Holder and constitutes a legal, valid and binding obligation of the Holder, enforceable against the Holder in accordance with its terms, except that such
enforcement may be subject to (a) bankruptcy, insolvency, reorganization, moratorium or other similar laws affecting or relating to enforcement of creditors' rights generally, and (b) general principles of equity.</font></p>

<h2>2.3 <u>Title to Outstanding Debentures.</u></h2>

<p><font size="3" face="Times New Roman">&nbsp; The Holder is the sole legal and beneficial owner of and has good and valid title to the Outstanding Debentures, free and clear of any mortgage, lien, pledge, charge, security interest, encumbrance, title retention
agreement, option, equity or other adverse claim thereto.&nbsp; The Holder has not, in whole or in part, (i) assigned, transferred, hypothecated, pledged or otherwise disposed of the Outstanding Debentures or the rights of the Holder in such Outstanding Debentures,
or (ii) given any person or entity any transfer order, power of attorney or other authority of any nature whatsoever with respect to such Outstanding Debentures.</font></p>

<h2>2.4 <u>Investment Decision.</u></h2>

<p><font size="3" face="Times New Roman">&nbsp; The Holder is a "qualified institutional buyer" within the meaning of Rule 144A under the Securities Act of 1933, as amended (the "<u>Securities Act</u>"), and was not organized for the purpose of acquiring the New
Notes or the common stock (the "<u>Common Stock</u>"), $.05 par value, into which they may be converted (the "<u>Underlying Common Stock</u>").&nbsp; The Holder (or its authorized representative) is familiar with the Company's objectives and business plan, has
reviewed the Company's filings with the Securities and Exchange Commission (the "<u>SEC</u>"), including, without limitation, the Company's Annual Report on Form 10&#8209;K filed on August&nbsp;11, 2004, the Company's Quarterly Reports on Form 10&#8209;Q filed on
October&nbsp;6, 2004 and January 21, 2005, the Company's Current Reports on Form 8&#8209;K filed on September&nbsp;28, 2004, September&nbsp;28, 2004, October&nbsp;12, 2004, October&nbsp;14, 2004, November&nbsp;8, 2004, November&nbsp;8, 2004, December&nbsp;8, 2004 and
December&nbsp;9, 2004, the Company's Form S&#8209;1 Registration Statement filed on July&nbsp;1, 2004, and the related final prospectus filed on July&nbsp;6, 2004, the Company's earning release for the quarter ended November&nbsp;30, 2004 and the Company's Form
12(b)-25 filed on January 10, 2005, and has had such opportunity to ask questions of and to obtain from representatives of the Company such information as is necessary to permit the Holder to evaluate the merits and risks of its investment in the Company and has
independently, without reliance upon any representatives of the Company and based on such information as the Holder deemed appropriate, made its own analysis and decision to enter into this Agreement.&nbsp; The Holder has had the opportunity to consult with its
accounting, tax, financial and legal advisors to be able to evaluate the risks involved in the exchange of the Outstanding Debentures pursuant hereto and to make an informed investment decision with respect to such exchange.&nbsp; The Holder acknowledges that the
Company is relying on the truth and accuracy of the foregoing representations and warranties in the offering of the New Notes to the Holder without having first registered the New Notes or the Underlying Common Stock under the Securities Act.</font></p>

<h2>2.5 <u>Purchase Entirely for Own Account.</u></h2>

<p>&nbsp; The Holder is acquiring the New Notes only for investment purposes for the Holder's own account.&nbsp; The Holder is not acquiring the Notes with a view to the resale or distribution of any part thereof, and the Holder has
no present intention of selling, granting any participation in, or otherwise distributing the same.&nbsp; The Holder does not presently have any contract, undertaking, agreement or arrangement with any person to sell, transfer or grant participations to such person
or to any third person, with respect to any of the New Notes.</p>

<h2>2.6 <u>Restricted Securities.</u></h2>

<p>&nbsp; The Holder understands that neither the New Notes nor the Underlying Common Stock have been, or will be, registered under the Securities Act, by reason of a specific exemption from the registration provisions of the Securities Act
which depends upon, among other things, the bona fide nature of the investment intent and the accuracy of the Holder's representations as expressed herein.&nbsp; The Holder understands that the New Notes (and the Underlying Common Stock) are "restricted securities"
under applicable U.S. federal and state securities laws and that, pursuant to these laws, the Holder must hold the New Notes (and the Underlying Common Stock) indefinitely unless they are registered with the Securities and Exchange Commission and qualified by state
authorities, or an exemption from such registration and qualification requirements is available.&nbsp; The Holder acknowledges that the Company has no obligation to register or qualify the New Notes or the Underlying Common Stock for resale except as set forth in the
Registration Rights Agreement.&nbsp; The Holder further acknowledges that if an exemption from registration or qualification is available, it may be conditioned on various requirements including, but not limited to, the time and manner of sale, the holding period for
the New Notes (and the Underlying Common Stock), and on requirements relating to the Company which are outside the Holder's control, and which the Company is under no obligation and may not be able to satisfy.&nbsp; Holder acknowledges that the Company filed a
registration statement on Form S-4 for a public exchange offer of its convertible notes, which was withdrawn effective September 28, 2004.&nbsp; Holder understands that this offering is not part of the abandoned public exchange offer, and that Holder will not be able
to rely on the protection of Section 11 of the Securities Act.</p>

<h2>2.7 <u>No Public Market.</u></h2>

<p>&nbsp; The Holder understands that no public market now exists for the New Notes, and that the Company has made no assurance that a public market will ever exist for the New Notes.</p>

<h2>2.8 <u>Legends.&nbsp; </u></h2>

<p>&nbsp; The Holder understands that the New Notes and any shares of Underlying Common Stock will bear one or all of the following legends:</p>

<p>(a) "THESE SECURITIES HAVE NOT BEEN REGISTERED UNDER THE SECURITIES ACT OF 1933, AND HAVE BEEN ACQUIRED FOR INVESTMENT PURPOSES ONLY AND NOT WITH A VIEW TO, OR IN CONNECTION WITH, THE SALE OR DISTRIBUTION THEREOF.&nbsp; NO SUCH SALE, ASSIGNMENT, PLEDGE, HYPOTHECATION
OR OTHER TRANSFER OR DISPOSITION MAY BE EFFECTED WITHOUT AN EFFECTIVE REGISTRATION STATEMENT RELATED THERETO OR AN OPINION OF COUNSEL IN FORM AND SUBSTANCE SATISFACTORY TO THE COMPANY THAT SUCH REGISTRATION IS NOT REQUIRED UNDER THE SECURITIES ACT OF 1933."</p>

<p>(b) Any legend required by the securities laws of any state to the extent such laws are applicable to the New Notes or Underlying Common Stock represented by
the certificate so legended. </p>

<h2>2.9 <u>Hart-Scott-Rodino Act. </u></h2>

<p>&nbsp; As a result of the acquisition of the New Notes by the Holder (assuming conversion into the Underlying Common Stock), no group of "entities" (as defined in Part 801.1(a)(2) of 16 C.F.R. Parts 801-803 (the "HSR Rules") controlled by a
single "ultimate parent entity" (as defined in Part 802.1(a)(3) of the HSR Rules) will "hold" (as defined in Part 801.1(c) of the HSR Rules) voting securities of the Company valued (as determined in accordance with Part 801.10(a) of the HSR Rules) in excess of
$50,000,000.</p>

<h1>Article III
<br />
Representations, Warranties and Covenants of the Company</h1>

<p><font size="3" face="Times New Roman">The Company hereby makes the following representations, warranties, and covenants each of which is true and correct on the date hereof and shall survive the date of the Closing and the transactions contemplated hereby to the
extent set forth herein.</font></p>

<h2>3.1 <u>Existence and Power.</u></h2>

<p>(a) The Company is a corporation duly organized, validly existing and in good standing under the laws of the State of Delaware and has the power, authority and capacity to execute and deliver this Agreement, to perform the Company's obligations hereunder, and to
consummate the transactions contemplated hereby.</p>

<p>(b) The execution of this Agreement and the consummation of the transactions contemplated hereby (i) does not&nbsp; require the consent, approval, authorization, order, registration or qualification of, or filing with, any governmental
authority or court, or body or arbitrator having jurisdiction over the Company other than the SEC, state securities regulators, the NASDAQ National Market, the Depository Trust Company and PORTAL; and (ii) does not and will not constitute or result in a breach,
violation or default under any note, bond, mortgage, deed, indenture, lien, instrument, contract, agreement, lease or license, whether written or oral, express or implied, or with the Company's certificate of incorporation or by-laws, or any statute, law, ordinance,
decree, order, injunction, rule, directive, judgment or regulation of any court, administrative or regulatory body, governmental authority, arbitrator, mediator or similar body on the part of the Company or on the part of any other party thereto or cause the
acceleration or termination of any obligation or right of the Company or any other party thereto.</p>

<h2>3.2 <u>Valid and Enforceable Agreement; Authorization. </u></h2>

<p><font size="3" face="Times New Roman">&nbsp; This Agreement has been duly executed and delivered by the Company and constitutes a legal, valid and binding obligation of the Company, enforceable against the Company in accordance with its terms, except that such
enforcement may be subject to (a) bankruptcy, insolvency, reorganization, moratorium or other similar laws affecting or relating to enforcement of creditors' rights generally, and (b) general principles of equity.</font></p>

<h2>3.3 <u>Capitalization </u></h2>

<p><font size="3" face="Times New Roman">.&nbsp; At the Closing, the authorized capital stock of the Company will consist of 30,000,000 shares of Common Stock, 10,000,000 shares of Class B common stock, par value $.05 per share ("<u>Class B Common Stock</u>"), and
5,000,000 shares of preferred stock, par value $1.00 per share.&nbsp; Immediately prior to the Exchange Transaction, there are 17,314,141 shares of Common Stock and 3,124,162 shares of Class B Common Stock issued and outstanding.&nbsp; Except as set forth in
<b>[Schedule 3.3]</b>, there are no commitments or other rights for the purchase or sale of, and no options, warrants or other rights to subscribe for or purchase, any securities of the Company.&nbsp; All such issued and outstanding shares have been duly authorized
and validly issued, and are fully paid and non-assessable, and were issued in compliance with all applicable state and federal laws concerning the issuance of securities and all applicable pre-emptive, participation, rights of first refusal and other similar
rights.</font></p>

<h2>3.4 <u>Valid Issuance of the New Notes. </u></h2>

<p>&nbsp; The New Notes, when issued, sold and delivered in accordance with the terms and for the consideration set forth in this Agreement, will constitute legal and binding obligations of the Company, be validly issued and free of
restrictions on transfer other than restrictions on transfer under this Agreement, applicable state and federal securities laws and liens or encumbrances created by or imposed by a Holder, and enforceable against the Company in accordance with their terms, except
that such enforcement may be limited by (a) bankruptcy, insolvency, reorganization, moratorium or other similar laws affecting or relating to enforcement of creditors' rights generally, and (b) general principles of equity.&nbsp; Assuming the accuracy of the
representations of the Holder in Section 2 of this Agreement and subject to the filings required under the federal and state securities laws, the New Notes will be issued in compliance in all material respects with all applicable federal and state securities
laws.&nbsp; The Underlying Common Stock has been duly reserved for issuance, and upon issuance in accordance with the terms of the Restated Certificate of Incorporation, will be validly issued, fully paid and nonassessable and free of restrictions on transfer other
than restrictions on transfer under applicable federal and state securities laws and liens or encumbrances created by or imposed by a Holder.&nbsp; Based in part upon the representations of the Holder in Section 2 of this Agreement, the Underlying Common Stock will
be issued in compliance in all material respects with all applicable federal and state securities laws.</p>

<h2>3.5 <u>SEC Documents. </u></h2>

<p><font size="3" face="Times New Roman">&nbsp; Pursuant to the Securities Act and the Securities Exchange Act of 1934, as amended (the "<u>Exchange Act</u>"), the Company has filed with the SEC various documents listed in Section 2.4 herein ("<u>SEC
Documents</u>").&nbsp; All such SEC Documents, including exhibits thereto, complied in all material respects with the requirements of the Exchange Act and Securities Act, as applicable, and did not contain any untrue statement of a material fact or omit to state any
material fact required to be stated therein or necessary in order to make the statements therein, at the time they were filed with the SEC, in light of the circumstances under which they were made, not misleading.</font></p>

<h2>3.6 <u>Financial Statements. </u></h2>

<p><font size="3" face="Times New Roman">&nbsp; Except as qualified in the SEC Documents, the audited and unaudited financial statements and schedules included in the SEC Documents, present fairly in all material respects the consolidated financial position of the
Company and its subsidiaries as of the dates indicated and the consolidated results of operations and cash flows of the Company and its subsidiaries for the periods specified; except as qualified in the SEC Documents, such financial statements and schedules have been
prepared in conformity with generally accepted accounting principles applied on a consistent basis during the periods involved.</font></p>

<h2>3.7 <u>Legal Proceedings. </u></h2>

<p><font size="3" face="Times New Roman">&nbsp; No legal or governmental proceedings or investigations are pending or, to the knowledge of the Company, threatened to which the Company is a party or to which the property of the Company or any of its subsidiaries is
subject that are not described in the SEC Documents, except for such proceedings or investigations which would not reasonably be expected to, singly or in the aggregate, result in a Material Adverse Effect.&nbsp; As used in this Agreement, the term "<u>Material
Adverse Effect</u>" shall mean when used in respect of any matter relating to the Company a material adverse effect on the business, condition (financial or otherwise), properties or results of operations of the Company and its subsidiaries, considered as one
enterprise, or would materially adversely affect the ability of the Company to perform its obligations under the Agreement and the New Notes.</font></p>

<h2>3.8 <u>Intellectual Property. </u></h2>

<p><font size="3" face="Times New Roman">&nbsp; The Company and its subsidiaries own or possess, or can acquire on reasonable terms, adequate rights to use all material patents, trademarks, service marks, trade names and copyrights, licenses, all applications and
registrations for each of the foregoing, and all other material proprietary rights and confidential information necessary to conduct their respective businesses as currently conducted; and none of the Company and its subsidiaries has received any notice, or is
otherwise aware, of any infringement of or conflict with the rights of any third party with respect to any of the foregoing which would reasonably be expected to, singly or in the aggregate, result in a Material Adverse Effect.</font></p>

<h2>3.9 <u>Insurance. </u></h2>

<p><font size="3" face="Times New Roman">&nbsp; The Company and its subsidiaries are insured by insurers of recognized financial responsibility (including self-insurance) against such losses and risks and in such amounts and with such deductibles as are believed to
be prudent in the businesses in which they are engaged, except where the failure to have such would not reasonably be expected to have a Material Adverse Effect; and none of the Company and its subsidiaries has any reason to believe that it will not be able to renew
its existing insurance coverage as and when such coverage expires or to obtain similar coverage from similar insurers as may be necessary to continue its business at a cost that would not reasonably be expected to have a Material Adverse Effect.</font></p>

<h2>3.10 <u>Compliance with Laws; Permits. </u></h2>

<p><font size="3" face="Times New Roman">&nbsp; The Company and its subsidiaries possess all certificates, authorizations and permits issued by the appropriate federal, state or foreign regulatory authorities necessary to conduct their respective businesses, except
where the failure to have such certificates, authorizations and permits would not reasonably be expected to have a Material Adverse Effect, and none of the Company and its subsidiaries has received any notice of proceedings relating to the revocation or modification
of any such certificate, authorization or permit which would reasonably be expected to, singly or in the aggregate, result in a Material Adverse Effect.&nbsp; The Company and its subsidiaries are and have been in compliance with all applicable laws, statutes,
ordinances, rules, regulations, orders, judgments, decisions, decrees, standards, and requirements relating to their respective businesses, except where any such non-compliance would not reasonably be expected to have a Material Adverse Effect.</font></p>

<h2>3.11 <u>No Material Adverse Effect. </u></h2>

<p><font size="3" face="Times New Roman">&nbsp; Since the respective dates as of which information is given in the SEC Documents listed in Section 2.4 herein, there has not been any Material Adverse Effect affecting the Company or its subsidiaries.</font></p>

<h1>Article IV
<br />
Miscellaneous Provisions</h1>

<h2>4.1 <u>Notice.</u></h2>

<p><font size="3" face="Times New Roman">&nbsp; Any notice provided for in this Agreement shall be in writing and shall be either personally delivered, or mailed first class mail (postage prepaid) with return receipt requested or sent by reputable overnight courier
service (charges prepaid) to such address and to the attention of such person as the recipient party has specified by prior written notice to the sending party.&nbsp; Notices will be deemed to have been given hereunder when delivered personally, three business days
after deposit in the U.S. mail postage prepaid with return receipt requested and two business days after deposit postage prepaid with a reputable overnight courier service for delivery on the next business day.</font></p>

<h2>4.2 <u>Entire Agreement.</u></h2>

<p><font size="3" face="Times New Roman">&nbsp; This Agreement, the schedules hereto, and the other documents and agreements executed in connection with the Exchange Transaction embody the entire agreement and understanding of the parties hereto with respect to the
subject matter hereof and supersede all prior and contemporaneous oral or written agreements, representations, warranties, contracts, correspondence, conversations, memoranda and understandings between or among the parties or any of their agents, representatives or
affiliates relative to such subject matter, including, without limitation, any term sheets, emails or draft documents.</font></p>

<h2>4.3 <u>Assignment; Binding Agreement.</u></h2>

<p><font size="3" face="Times New Roman">&nbsp; This Agreement and the various rights and obligations arising hereunder shall inure to the benefit of and be binding upon the parties hereto and their successors and assigns.&nbsp;</font></p>

<h2>4.4 <u>Counterparts.</u></h2>

<p><font size="3" face="Times New Roman">&nbsp; This Agreement may be executed in multiple counterparts, and on separate counterparts, each of which shall be deemed an original, but all of which taken together shall constitute one and the same instrument.&nbsp; Any
counterpart or other signature hereupon delivered by facsimile shall be deemed for all purposes as constituting good and valid execution and delivery of this Agreement by such party.</font></p>

<h2>4.5 <u>Remedies Cumulative.</u></h2>

<p><font size="3" face="Times New Roman">&nbsp; Except as otherwise provided herein, all rights and remedies of the parties under this Agreement are cumulative and without prejudice to any other rights or remedies available at law.</font></p>

<h2>4.6 <u>Governing Law.</u></h2>

<p><font size="3" face="Times New Roman">&nbsp; This Agreement shall in all respects be construed in accordance with and governed by the substantive laws of the State of Illinois, without reference to its choice of law rules.</font></p>

<h2>4.7 <u>No Third Party Beneficiaries or Other Rights.</u></h2>

<p><font size="3" face="Times New Roman">&nbsp; Nothing herein shall grant to or create in any person not a party hereto, or any such person's dependents or heirs, any right to any benefits hereunder, and no such party shall be entitled to sue any party to this
Agreement with respect thereto.&nbsp;</font></p>

<h2>4.8 <u>Waiver; Consent.</u></h2>

<p><font size="3" face="Times New Roman">&nbsp; This Agreement may not be changed, amended, terminated, augmented, rescinded or discharged (other than in accordance with its terms), in whole or in part, except by a writing executed by the parties hereto.&nbsp; No
waiver of any of the provisions or conditions of this Agreement or any of the rights of a party hereto shall be effective or binding unless such waiver shall be in writing and signed by the party claimed to have given or consented thereto.&nbsp; Except to the extent
otherwise agreed in writing, no waiver of any term, condition or other provision of this Agreement, or any breach thereof shall be deemed to be a waiver of any other term, condition or provision or any breach thereof, or any subsequent breach of the same term,
condition or provision, nor shall any forbearance to seek a remedy for any noncompliance or breach be deemed to be a waiver of a party's rights and remedies with respect to such noncompliance or breach.</font></p>

<h2>4.9 <u>Word Meanings.</u></h2>

<p><font size="3" face="Times New Roman">&nbsp; The words such as "herein", "hereinafter", "hereof", and "hereunder" refer to this Agreement as a whole and not merely to a subdivision in which such words appear unless the context otherwise requires.&nbsp; The
singular shall include the plural, and vice versa, unless the context otherwise requires.&nbsp; The masculine shall include the feminine and neuter, and vice versa, unless the context otherwise requires.</font></p>

<h2>4.10 <u>No Broker.</u></h2>

<p><font size="3" face="Times New Roman">&nbsp; Neither party has engaged any third party as broker or finder or incurred or become obligated to pay any broker's commission or finder's fee in connection with the transactions contemplated by this Agreement other than
such fees and expenses for which it shall be solely responsible.</font></p>

<h2>4.11 <u> Further Assurances.</u></h2>

<p>&nbsp; The Holder and the Company each hereby agree to execute and deliver, or cause to be executed and delivered, such other documents, instruments and agreements, and take such other actions, as either party may reasonably request in
connection with the transactions contemplated by this Agreement.</p>

<h2>4.12 <u>Costs and Expenses.</u></h2>

<p>&nbsp; The Holder and the Company shall each pay their own respective costs and expenses incurred in connection with the negotiation, preparation, execution and performance of this Agreement, including, but not limited to, attorneys' fees.</p>

<h2>4.13 <u>Headings.</u></h2>

<p>&nbsp; The headings in this Agreement are for convenience of reference only and shall not limit or otherwise affect the meaning hereof.</p>

<h2>4.14 <u>Severability.</u></h2>

<p>&nbsp; If any one or more of the provisions contained herein, or the application thereof in any circumstance, is held invalid, illegal or unenforceable, the validity, legality and enforceability of any such provision in every other respect and of the
remaining provisions contained herein shall not be affected or impaired thereby.</p>

<p align="center"><font size="3" face="Times New Roman">[The remainder of this page has been left blank intentionally.]</font></p>
</div>

<font size="3" face="Times New Roman"><br clear="all" />
</font>

<div>
<p><font size="3" face="Times New Roman">IN WITNESS WHEREOF, each of the parties hereto has caused this Agreement to be executed as of the date first above written.</font></p>

<p><font size="3" face="Times New (W1)">The holder:</font></p>

<p><font size="3" face="Times New (W1)"></font></p>

<p><font size="3" face="Times New (W1)"></font></p>

<p><font size="3" face="Times New Roman">__________________________________________</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">By:&nbsp; <u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</u><br />
 Name:&nbsp; <u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</u><br />
 Title: <u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</u></font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">THE COMPANY:</font></p>

<p><font size="3" face="Times New Roman">Richardson Electronics Ltd.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">By:&nbsp; <u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</u><br />
 Name: <u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</u><br />
 Title: <u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</u></font></p>
</div>
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<DOCUMENT>
<TYPE>EX-10
<SEQUENCE>4
<FILENAME>exhibit10_1.pdf
<DESCRIPTION>EX-10.1 FORM OF EXCHANGE AGREEMENT
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<DOCUMENT>
<TYPE>EX-10
<SEQUENCE>5
<FILENAME>exhibit10_2.htm
<DESCRIPTION>EX-10.2 INDENTURE
<TEXT>
<html>
<head>
<title></title>
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<body link="blue" vlink="#606420">
<div>

<table align="center">
<tr>
<td align="center">

<p align="left"><b><u><font size="3" face="Times New
Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></u></b></p>

<p align="left"><b><font size="3" face="Times New Roman"></font></b></p>

<p><b><font size="3" face="Times New Roman">RICHARDSON ELECTRONICS, LTD.</font></b></p>

<p><b><font size="3" face="Times New Roman"></font></b></p>

<p><b><u><font size="3" face="Times New Roman"></font></u></b></p>

<p><b><font size="3" face="Times New Roman">7 3/4% Convertible Senior Subordinated Notes due 2011</font></b></p>

<p><b><font size="3" face="Times New Roman"></font></b></p>

<p><b><u><font size="3" face="Times New
Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></u></b></p>

<p><b><u><font size="3" face="Times New Roman"></font></u></b></p>

<p><b><font size="3" face="Times New Roman">INDENTURE</font></b></p>

<p><b><font size="3" face="Times New Roman"></font></b></p>

<p><b><font size="3" face="Times New Roman">Dated as of February 14, 2005</font></b></p>

<p><b><font size="3" face="Times New Roman"></font></b></p>

<p><b><u><font size="3" face="Times New
Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></u></b></p>

<p><b><u><font size="3" face="Times New Roman"></font></u></b></p>

<p><b><u><font size="3" face="Times New Roman"></font></u></b></p>

<p><b><u><font size="3" face="Times New Roman"></font></u></b></p>

<p align="right"><b><font size="3" face="Times New Roman">J.P. Morgan Trust Company,<br />
National Association</font></b></p>

<p><b><font size="3" face="Times New Roman"></font></b></p>

<p align="right"><b><font size="3" face="Times New Roman">Trustee</font></b></p>

<p align="left"><b><u><font size="3" face="Times New
Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></u></b></p>


</td>
</tr>
</table>
</div>

<br />


<p>&nbsp;</p>
<p>&nbsp;</p>
<p>&nbsp;</p>





<div>
<p><b><u><font size="3" face="Times New Roman">TABLE OF CONTENTS</font></u></b></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><a name="TOCPage">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<b><u><font size="3" face="Times New Roman">Page</font></u></b></a></p>

<p>Article One DEFINITIONS AND INCORPORATION BY REFERENCE.............................. 1</p>

<p><font size="3" face="Times New Roman">SECTION 1.01.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Definitions.................................................................................................. 1</font></p>

<p><font size="3" face="Times New Roman">SECTION 1.02.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Other Definitions........................................................................................ 5</font></p>

<p><font size="3" face="Times New Roman">SECTION 1.03.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Incorporation by Reference of Trust Indenture Act...................................... 6</font></p>

<p><font size="3" face="Times New Roman">SECTION 1.04.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Rules of Construction................................................................................. 6</font></p>

<p><font size="3" face="Times New Roman">Article Two THE SECURITIES................................................................................................ 7</font></p>

<p><font size="3" face="Times New Roman">SECTION 2.01.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Form and Dating........................................................................................ 7</font></p>

<p><font size="3" face="Times New Roman">SECTION 2.02.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Date and Denomination of Securities; Payments of Interest.......................... 7</font></p>

<p><font size="3" face="Times New Roman">SECTION 2.03.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Legends..................................................................................................... 9</font></p>

<p><font size="3" face="Times New Roman">SECTION 2.04.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Execution and Authentication.................................................................... 12</font></p>

<p><font size="3" face="Times New Roman">SECTION 2.05.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Registrar, Paying Agent and Conversion Agent.......................................... 13</font></p>

<p><font size="3" face="Times New Roman">SECTION 2.06.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Paying Agent to Hold Money in Trust....................................................... 14</font></p>

<p><font size="3" face="Times New Roman">SECTION 2.07.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Securityholder Lists.................................................................................. 14</font></p>

<p><font size="3" face="Times New Roman">SECTION 2.08.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Transfer and Exchange............................................................................. 14</font></p>

<p><font size="3" face="Times New Roman">SECTION 2.09.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Special Transfer Provisions....................................................................... 16</font></p>

<p><font size="3" face="Times New Roman">SECTION 2.10.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Replacement Securities............................................................................. 17</font></p>

<p><font size="3" face="Times New Roman">SECTION 2.11.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Outstanding Securities.............................................................................. 18</font></p>

<p><font size="3" face="Times New Roman">SECTION 2.12.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Temporary Securities................................................................................ 18</font></p>

<p><font size="3" face="Times New Roman">SECTION 2.13.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Cancellation............................................................................................. 18</font></p>

<p><font size="3" face="Times New Roman">SECTION 2.14.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; CUSIP Numbers...................................................................................... 18</font></p>

<p><font size="3" face="Times New Roman">Article Three REDEMPTION................................................................................................ 19</font></p>

<p><font size="3" face="Times New Roman">SECTION 3.01.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Company&rsquo;s Right to Redeem.................................................................... 19</font></p>

<p><font size="3" face="Times New Roman">SECTION 3.02.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Selection of Securities to be Redeemed..................................................... 19</font></p>

<p><font size="3" face="Times New Roman">SECTION 3.03.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Notice of Redemption.............................................................................. 19</font></p>

<p><font size="3" face="Times New Roman">SECTION 3.04.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Effect of Notice of Redemption................................................................. 20</font></p>

<p><font size="3" face="Times New Roman">SECTION 3.05.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Deposit of Redemption Price.................................................................... 20</font></p>

<p><font size="3" face="Times New Roman">SECTION 3.06.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Securities Redeemed in Part..................................................................... 21</font></p>

<p><font size="3" face="Times New Roman">SECTION 3.07.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Repurchase of Securities by the Company at Option of Holders upon a Change of Control&nbsp;&nbsp;&nbsp;&nbsp; 21</font></p>

<p><font size="3" face="Times New Roman">SECTION 3.08.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Company&rsquo;s Right to Elect Manner of Payment of Repurchase Price........... 25</font></p>

<p><font size="3" face="Times New Roman">SECTION 3.09.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Conditions and Procedures for Repurchase at Option of Holders............... 27</font></p>

<p><font size="3" face="Times New Roman">Article Four COVENANTS.................................................................................................. 29</font></p>

<p><font size="3" face="Times New Roman">SECTION 4.01.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Payment of Securities............................................................................... 29</font></p>

<p><font size="3" face="Times New Roman">SECTION 4.02.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Issuance of Senior Debt............................................................................ 29</font></p>

<p><font size="3" face="Times New Roman">SECTION 4.03.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; SEC Reports............................................................................................ 29</font></p>

<p><font size="3" face="Times New Roman">SECTION 4.04.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Compliance Certificate............................................................................. 29</font></p>

<p><font size="3" face="Times New Roman">Article Five INTENTIONALLY LEFT BLANK..................................................................... 30</font></p>

<p><font size="3" face="Times New Roman">Article Six DEFAULTS AND REMEDIES.............................................................................. 30</font></p>

<p><font size="3" face="Times New Roman">SECTION 6.01.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Events of Default...................................................................................... 30</font></p>

<p><font size="3" face="Times New Roman">SECTION 6.02.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Acceleration............................................................................................. 31</font></p>

<p><font size="3" face="Times New Roman">SECTION 6.03.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Other Remedies....................................................................................... 32</font></p>

<p><font size="3" face="Times New Roman">SECTION 6.04.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Waiver of Past Defaults............................................................................ 32</font></p>

<p><font size="3" face="Times New Roman">SECTION 6.05.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Control by Majority.................................................................................. 32</font></p>

<p><font size="3" face="Times New Roman">SECTION 6.06.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Limitation on Suits.................................................................................... 33</font></p>

<p><font size="3" face="Times New Roman">SECTION 6.07.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Rights of Holders to Receive Payment....................................................... 33</font></p>

<p><font size="3" face="Times New Roman">SECTION 6.08.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Collection Suit by Trustee......................................................................... 33</font></p>

<p><font size="3" face="Times New Roman">SECTION 6.09.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Trustee May File Proofs of Claim............................................................. 33</font></p>

<p><font size="3" face="Times New Roman">SECTION 6.10.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Priorities................................................................................................... 34</font></p>

<p><font size="3" face="Times New Roman">SECTION 6.11.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Undertaking for Costs.............................................................................. 34</font></p>

<p><font size="3" face="Times New Roman">SECTION 6.12.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Actions of a Holder.................................................................................. 34</font></p>

<p><font size="3" face="Times New Roman">Article Seven TRUSTEE........................................................................................................ 34</font></p>

<p><font size="3" face="Times New Roman">SECTION 7.01.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Duties of Trustee...................................................................................... 34</font></p>

<p><font size="3" face="Times New Roman">SECTION 7.02.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Rights of Trustee...................................................................................... 35</font></p>

<p><font size="3" face="Times New Roman">SECTION 7.03.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Individual Rights of Trustee....................................................................... 36</font></p>

<p><font size="3" face="Times New Roman">SECTION 7.04.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Trustee&rsquo;s Disclaimer................................................................................. 36</font></p>

<p><font size="3" face="Times New Roman">SECTION 7.05.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Notice of Defaults.................................................................................... 36</font></p>

<p><font size="3" face="Times New Roman">SECTION 7.06.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Reports by Trustee to Holders.................................................................. 36</font></p>

<p><font size="3" face="Times New Roman">SECTION 7.07.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Compensation and Indemnity.................................................................... 36</font></p>

<p><font size="3" face="Times New Roman">SECTION 7.08.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Replacement of Trustee............................................................................ 37</font></p>

<p><font size="3" face="Times New Roman">SECTION 7.09.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Successor Trustee by Merger, etc............................................................. 37</font></p>

<p><font size="3" face="Times New Roman">SECTION 7.10.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Eligibility; Disqualification.......................................................................... 38</font></p>

<p><font size="3" face="Times New Roman">SECTION 7.11.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Preferential Collection of Claims Against Company................................... 38</font></p>

<p><font size="3" face="Times New Roman">Article Eight DISCHARGE OF INDENTURE...................................................................... 38</font></p>

<p><font size="3" face="Times New Roman">SECTION 8.01.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Termination of Company&rsquo;s Obligations...................................................... 38</font></p>

<p><font size="3" face="Times New Roman">SECTION 8.02.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Application of Trust Money...................................................................... 38</font></p>

<p><font size="3" face="Times New Roman">SECTION 8.03.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Repayment to Company........................................................................... 38</font></p>

<p><font size="3" face="Times New Roman">Article Nine AMENDMENTS, SUPPLEMENTS AND WAIVERS....................................... 39</font></p>

<p><font size="3" face="Times New Roman">SECTION 9.01.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Without Consent of Holders..................................................................... 39</font></p>

<p><font size="3" face="Times New Roman">SECTION 9.02.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; With Consent of Holders.......................................................................... 40</font></p>

<p><font size="3" face="Times New Roman">SECTION 9.03.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Compliance with Trust Indenture Act........................................................ 40</font></p>

<p><font size="3" face="Times New Roman">SECTION 9.04.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Revocation and Effect of Consents............................................................ 40</font></p>

<p><font size="3" face="Times New Roman">SECTION 9.05.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Notation on or Exchange of Securities....................................................... 41</font></p>

<p><font size="3" face="Times New Roman">SECTION 9.06.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Trustee to Sign Amendments, etc.............................................................. 41</font></p>

<p><font size="3" face="Times New Roman">Article Ten CONVERSION.................................................................................................... 41</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.01.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Conversion Privilege................................................................................. 41</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.02.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Automatic Conversion.............................................................................. 41</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.03.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Conversion Procedure.............................................................................. 42</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.04.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Fractional Shares...................................................................................... 43</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.05.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Taxes on Conversion................................................................................ 43</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.06.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Company to Provide Stock...................................................................... 43</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.07.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Adjustment for Change of Capital Stock................................................... 43</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.08.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Adjustment for Rights Issue...................................................................... 44</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.09.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Adjustment for Other Distributions............................................................ 45</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.10.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Voluntary Adjustment............................................................................... 45</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.11.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Current Market Price............................................................................... 45</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.12.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; When Adjustment May Be Deferred......................................................... 46</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.13.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; When Adjustment Is Not Required........................................................... 46</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.14.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Notice of Adjustment............................................................................... 46</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.15.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Notice of Certain Transactions.................................................................. 46</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.16.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Consolidation, Merger or Sale of the Company......................................... 47</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.17.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Company Determination Final................................................................... 47</font></p>

<p><font size="3" face="Times New Roman">SECTION 10.18.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Trustee&rsquo;s Disclaimer................................................................................. 47</font></p>

<p><font size="3" face="Times New Roman">Article Eleven SUBORDINATION...................................................................................... 47</font></p>

<p><font size="3" face="Times New Roman">SECTION 11.01.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Securities Subordinated to Senior Indebtedness........................................ 47</font></p>

<p><font size="3" face="Times New Roman">SECTION 11.02.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Company Not to Make Payments with Respect to Securities in Certain Circumstances&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 48</font></p>

<p><font size="3" face="Times New Roman">SECTION 11.03.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Securities Subordinated to Prior Payment of All Senior Indebtedness on Dissolution, Liquidation or Reorganization of the Company&nbsp;&nbsp;&nbsp; 49</font></p>

<p><font size="3" face="Times New Roman">SECTION 11.04.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Securityholders to be Subrogated to Rights of Holders of Senior Indebtedness&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 50</font></p>

<p><font size="3" face="Times New Roman">SECTION 11.05.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Obligation of the Company Unconditional................................................. 50</font></p>

<p><font size="3" face="Times New Roman">SECTION 11.06.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Knowledge of Trustee.............................................................................. 51</font></p>

<p><font size="3" face="Times New Roman">SECTION 11.07.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Application by Trustee of Monies Deposited With It................................. 51</font></p>

<p><font size="3" face="Times New Roman">SECTION 11.08.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Subordination Rights Not Impaired by Acts or Omissions of Company or Holders of Senior Indebtedness&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 51</font></p>

<p><font size="3" face="Times New Roman">SECTION 11.09.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Securityholders Authorize Trustee to Effectuate Subordination of Securities 51</font></p>

<p><font size="3" face="Times New Roman">SECTION 11.10.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Right of Trustee to Hold Senior Indebtedness............................................ 52</font></p>

<p><font size="3" face="Times New Roman">SECTION 11.11.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Article Eleven Not to Prevent Events of Default......................................... 52</font></p>

<p><font size="3" face="Times New Roman">Article Twelve MISCELLANEOUS..................................................................................... 52</font></p>

<p><font size="3" face="Times New Roman">SECTION 12.01.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Trust Indenture Act Controls.................................................................... 52</font></p>

<p><font size="3" face="Times New Roman">SECTION 12.02.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Notices.................................................................................................... 52</font></p>

<p><font size="3" face="Times New Roman">SECTION 12.03.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Communication by Holders with Other Holders......................................... 53</font></p>

<p><font size="3" face="Times New Roman">SECTION 12.04.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Certificate and Opinion as to Conditions Precedent................................... 53</font></p>

<p><font size="3" face="Times New Roman">SECTION 12.05.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Statements Required in Certificate or Opinion........................................... 53</font></p>

<p><font size="3" face="Times New Roman">SECTION 12.06.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; When Treasury Securities Disregarded...................................................... 54</font></p>

<p><font size="3" face="Times New Roman">SECTION 12.07.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Rules by Trustee and Agents..................................................................... 54</font></p>

<p><font size="3" face="Times New Roman">SECTION 12.08.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Legal Holidays......................................................................................... 54</font></p>

<p><font size="3" face="Times New Roman">SECTION 12.09.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Governing Law......................................................................................... 54</font></p>

<p><font size="3" face="Times New Roman">SECTION 12.10.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; No Adverse Interpretation of Other Agreements....................................... 54</font></p>

<p><font size="3" face="Times New Roman">SECTION 12.11.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; No Recourse Against Others.................................................................... 54</font></p>

<p><font size="3" face="Times New Roman">SECTION 12.12.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Successors............................................................................................... 54</font></p>

<p><font size="3" face="Times New Roman">SECTION 12.13.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Duplicate Originals................................................................................... 54</font></p>

<p align="left"></p>

<p><font size="3" face="Times New Roman">Exhibit A - Form of Securities</font></p>

<p><font size="3" face="Times New Roman"></font></p>
</div>

<font size="3" face="Times New Roman"><br clear="all" />
</font>

<div>
<p><font size="3" face="Times New Roman">INDENTURE, dated as of February 14, 2005 between RICHARDSON ELECTRONICS, LTD., a Delaware corporation (the "Company"), and J.P. Morgan Trust Company, National Association, a national banking association (the
"Trustee").</font></p>

<p><font size="3" face="Times New Roman">Intending to be legally bound hereby, each party agrees as follows for the benefit of the other party and for the equal and ratable benefit of the Holders of the Company&rsquo;s 7 3/4% Convertible Senior Subordinated Notes due
2011 (the "Securities");</font></p>

<h1><a name="_Toc70489271"></a><a name="_Toc67480404"></a><a name="_Toc67480155"></a><a name="_Toc67452799"><br />
<br />ARTICLE ONE</h1>
<br />
</a><a name="_Toc90448331"><h2>DEFINITIONS AND INCORPORATION BY REFERENCE</a></h2>

<h2><a name="_Toc90448332">SECTION 1.01. <U>Definitions</U></a></h2>

<p><font size="3" face="Times New Roman">.</font></p>

<p><font size="3" face="Times New Roman">"Agent" means any Registrar, Paying Agent, co-Registrar or Conversion Agent.&nbsp; See Section 2.05.</font></p>

<p><font size="3" face="Times New Roman">"Agent Members" has the meaning specified in Section 2.08(b)(v).</font></p>

<p><font size="3" face="Times New Roman">"Automatic Conversion" has the meaning specified in Section 10.02(a).</font></p>

<p><font size="3" face="Times New Roman">"Automatic Conversion Date" has the meaning specified in Section 10.02(a).</font></p>

<p><font size="3" face="Times New Roman">"Automatic Conversion Notice" has the meaning specified in Section 10.02(b).</font></p>

<p><font size="3" face="Times New Roman">"Board of Directors" means the Board of Directors of the Company or any duly authorized committee of that Board.</font></p>

<p><font size="3" face="Times New Roman">"Business Day" means any day other than a Saturday or Sunday, that is not a day on which banking institutions in Chicago, Illinois and New York, New York are authorized or obligated by law or executive order to remain closed
or on which the principal corporate trust office of the Trustee under the indenture is closed for business.</font></p>

<p><font size="3" face="Times New Roman">"Change of Control" means the occurrence of any of the following:</font></p>

<h4>&nbsp; (i) a "person" or "group", within the meaning of Section 13(d) of the Exchange Act, other than Edward J. Richardson, (A) has become the direct or indirect "beneficial owner," as defined in Rule 13d-3 under the Exchange Act, of more than 50% of the total voting
power of all shares of the Company&rsquo;s capital stock that are entitled to vote generally in the election of directors or (B) has the power, directly or indirectly, to elect a majority of the members of the Board of Directors;<a name="_DV_C443"></a></h4>



<h4><a name="_DV_C444">(ii) the Company consolidates with, or merges with or into, another Person or another Person consolidates with, or merges with or into, the Company where the Holders of the Company&rsquo;s voting capital stock immediately prior to such transaction
beneficially own, directly or indirectly, less than 50% of the total voting power of all shares of capital stock of the continuing or surviving Person that are entitled to vote generally in the election of directors immediately after such transaction;</a><a name=
"_DV_C445"></a></h4>



<h4><a name="_DV_C446">(iii) the Company sells, assigns, conveys, transfers, leases or otherwise disposes, in one transaction or a series of transactions, of all or substantially all of the consolidated assets of the Company and its Subsidiaries, taken as a whole, to any
Person and the Holders of the Company&rsquo;s voting capital stock immediately prior to such transaction beneficially own, directly or indirectly, less than 50% of the total voting power of all shares of capital stock of the transferee that are entitled to vote
generally in the election of directors immediately after such transaction; or</a><a name="_DV_C447"></a></h4>



<h4><a name="_DV_C448">(iv) the Company dissolves or liquidates.</a></h4>

<p><a name="_DV_C449"><font size="3" face="Times New Roman">A Change of Control will not be deemed to have occurred in respect of any of the foregoing, however, if either:</font></a></p>

<h4><a name="_DV_C450">(v) the Last Reported Sale Price of the Common Stock for any five (5) trading days within the ten (10) consecutive trading days ending immediately before the Change of Control equals or exceeds 105% of the conversion price of the Securities
immediately before the Change of Control, or</a></h4>

<h4><a name="_DV_C451">(vi) in the case of a merger or consolidation, at least 90% of the consideration, excluding cash payments for fractional shares, in the transaction or transactions constituting the Change of Control consists of shares of capital stock traded on a
national securities exchange or quoted on the Nasdaq National Market (or which will be so traded or quoted when issued or exchanged in connection with the Change of Control) (these securities being referred to as "publicly traded securities") and as a result of this
transaction or transactions the Securities become convertible solely into such publicly traded securities, excluding cash payments for fractional shares.</a></h4>

<p><font size="3" face="Times New Roman">"Change of Control Repurchase Date" shall have the meaning specified in Section 3.07(a).</font></p>

<p><font size="3" face="Times New Roman">"Change of Control Repurchase Election" shall have the meaning specified in Section 3.07(c)(i).</font></p>

<p><font size="3" face="Times New Roman">"Change of Control Repurchase Notice" shall have the meaning specified in Section 3.07(b).</font></p>

<p><font size="3" face="Times New Roman">"Change of Control Repurchase Price" shall have the meaning specified in Section 3.07(a).</font></p>

<p><font size="3" face="Times New Roman">"Common Shares" means shares of the Common Stock as it exists on the date of this Indenture or as it may be constituted from time to time.</font></p>

<p><font size="3" face="Times New Roman">"Common Stock" means the common stock, par value of $.05 per share, of the Company.</font></p>

<p><font size="3" face="Times New Roman">"Company" means the party named as such in this Indenture until a successor replaces it and thereafter means the successor.</font></p>

<p><font size="3" face="Times New Roman">"Consolidated Net Income," for any period, means the aggregate of the Net Income of the Company and its Subsidiaries for such period, on a consolidated basis, determined in accordance with generally accepted accounting
principles, provided that (i) the Net Income of any person in which the Company or any Subsidiary has a joint interest with a third party shall be included only to the extent of the amount of dividends or distributions paid to the Company or a Subsidiary, and (ii)
the Net Income or any person acquired in a pooling of interests transaction for any period prior to the date of such acquisition shall be excluded.</font></p>

<p><font size="3" face="Times New Roman">"Custodian" means Cede &amp; Co., as custodian with respect to the Securities in global form, or any successor entity thereto.</font></p>

<p><font size="3" face="Times New Roman">"Default" means any event which is, or after notice or passage of time or both would be, an Event of Default.</font></p>

<p><font size="3" face="Times New Roman">"Depositary" means, the clearing agency registered under the Exchange Act that is designated to act as the Depositary for the Global Securities.&nbsp; The Depository Trust Company shall be the initial Depositary, until a
successor shall have been appointed and become such pursuant to the applicable provisions of this Indenture, and thereafter, "Depositary" shall mean or include such successor.</font></p>

<p><font size="3" face="Times New Roman">"Exchange Act" means the Securities Exchange Act of 1934, as amended, and the rules and regulations promulgated thereunder, as in effect from time to time.</font></p>

<p><font size="3" face="Times New Roman">"Global Security" has the meaning specified in Section 2.01.</font></p>

<p><font size="3" face="Times New Roman">"Holder" or "Securityholder" as applied to any Security, or other similar terms (but excluding the term "Beneficial Holder") means the Person in whose name a Security is registered on the Registrar&rsquo;s books.</font></p>

<p><font size="3" face="Times New Roman">"Indebtedness" has the meaning specified in Section 11.01</font></p>

<p><font size="3" face="Times New Roman">"Indenture" means this Indenture as amended or supplemented from time to time.</font></p>

<p><font size="3" face="Times New Roman">"Interest" means, when used with reference to the Securities, any interest payable under the terms of the Securities.</font></p>

<p><font size="3" face="Times New Roman">"Interest Payment Date" means June 15 or December 15.</font></p>

<p><a name="_DV_C464"><font size="3" face="Times New Roman">"Last Reported Sale Price" of the Common Stock on any date means the closing sale price per share (or if no closing sale price is reported, the average of the bid and asked prices or, if more than one in
either case, the average of the average bid and the average asked prices) on that date as reported by the Nasdaq National Market or, if the Common Stock is not reported by the Nasdaq National Market, as reported in composite transactions for the principal United
States securities exchange on which the Common Stock is traded.&nbsp; If the Common Stock is not reported by the Nasdaq National Market and not listed for trading on a U.S. national or regional securities exchange on the relevant date, the Last Reported Sale Price
will be the last quoted bid price for the Common Stock in the over-the-counter market on the relevant date as reported by the National Quotation Bureau Incorporated or similar organization.&nbsp; If the Common Stock is not so quoted, the Last Reported Sale Price will
be the average of the mid-point of the last bid and asked prices for the Common Stock on the relevant date quoted by each of at least three independent nationally recognized investment banking firms selected by the Company for this purpose.</font></a></p>

<p><a name="_DV_C465"><font size="3" face="Times New Roman">"Market Price" means, with respect to any Change of Control Repurchase Date or other date of determination, the average of the Last Reported Sale Price of the Common Stock for the twenty (20) consecutive
trading days ending on the third Business Day prior to the applicable Change of Control Repurchase Date or date of determination, as the case may be (or, if such third Business Day prior to the applicable Change of Control Repurchase Date or date of determination, as
the case may be, is not a trading day, then ending on the last trading day prior to such third Business Day), appropriately adjusted to take into account the occurrence, during the period commencing on the first trading day during the period of twenty (20)
consecutive trading days and ending on the applicable Change of Control Repurchase Date or date of determination, as the case may be, of any event described in Section 10.07, Section 10.08 or Section 10.09.</font></a></p>

<p><a name="_DV_C466"><font size="3" face="Times New Roman">"Maturity Date" means, as to any Security, December 15, 2011, unless such Security is earlier converted, redeemed or repurchased.</font></a></p>

<p><font size="3" face="Times New Roman">&nbsp; "Net Income" of any Person means the net income (loss) of such Person, determined in accordance with generally accepted accounting principles; excluding, however, from the determination of Net Income any gain (but not
loss) realized upon the sale or other disposition (including, without limitation, dispositions pursuant to leaseback transactions) of any real property or equipment of such Person, which is not sold or otherwise disposed of in the ordinary course of business, or of
any capital stock of the Company or a Subsidiary owned by such Person.</font></p>

<p><font size="3" face="Times New Roman">"Officer" means the Chairman of the Board, the President, any Vice President, the Treasurer or the Secretary of the Company.</font></p>

<p><font size="3" face="Times New Roman">"Officers&rsquo; Certificate" means a certificate signed by two Officers or by an Officer and an Assistant Treasurer or an Assistant Secretary of the Company.</font></p>

<p><font size="3" face="Times New Roman">"Opinion of Counsel" means a written opinion from legal counsel who is acceptable to the Trustee.&nbsp; The counsel may be an employee of or counsel to the Company or the Trustee.</font></p>

<p><font size="3" face="Times New Roman">"Person" means a corporation, an association, a partnership, a limited liability company, an individual, a joint venture, a joint stock company, a trust, an unincorporated organization or a government or an agency or a
political subdivision thereof.</font></p>

<p><font size="3" face="Times New Roman">"QIB" means a qualified institutional buyer as such term is defined under Rule 144A promulgated under the Securities Act of 1933, as amended.</font></p>

<p><font size="3" face="Times New Roman">"Record Date" has the meaning specified in Section 2.02.</font></p>

<p><font size="3" face="Times New Roman">"Redemption Date" has the meaning specified in Section 3.03.</font></p>

<p><a name="_DV_C475"><font size="3" face="Times New Roman">"Redemption Notice" has the meaning specified in Section 3.03.</font></a></p>

<p><font size="3" face="Times New Roman">"Redemption Price" has the meaning specified in Section 3.01.</font></p>

<p><font size="3" face="Times New Roman">"Resale Registration Rights Agreement" means the Resale Registration Rights Agreement by and between the Company and the Holders of Restricted Securities.</font></p>

<p><font size="3" face="Times New Roman">"Responsible Officer" when used with respect to the Trustee means the Chairman or Vice Chairman of its board of directors, the President, the Secretary, any Assistant Secretary, or the Treasurer, or any Vice President, Trust
Officer, or any other officer of the Trustee customarily performing functions similar to those performed by any of the above-designated officers and also means, with respect to a particular corporate trust matter, any other officer to whom such matter is referred
because of his knowledge of and familiarity with the particular subject.</font></p>

<p><font size="3" face="Times New Roman">"Restricted Securities" shall have the meaning specified in Section 2.03.</font></p>

<p><font size="3" face="Times New Roman">"Restricted Securities Legend" shall have the meaning specified in Section 2.03.</font></p>

<p><font size="3" face="Times New Roman">"SEC" means the Securities and Exchange Commission.</font></p>

<p><font size="3" face="Times New Roman">"Security Register" shall have the meaning specified in Section 2.05.</font></p>

<p><font size="3" face="Times New Roman">"Securities" means the Securities described above and issued under the Indenture.</font></p>

<p><font size="3" face="Times New Roman">"Senior Indebtedness" shall have the meaning specified in Section 11.01.</font></p>

<p><font size="3" face="Times New Roman">"Subsidiary" means a corporation, a majority of whose voting stock is owned by the Company or a Subsidiary.&nbsp; Voting stock is capital stock having voting power under ordinary circumstances to elect directors.</font></p>

<p><font size="3" face="Times New Roman">"TIA" means the Trust Indenture Act of 1939, as amended, as in effect on the date of this Indenture.</font></p>

<p><font size="3" face="Times New Roman">"Trustee" means the party named as such in this Indenture until a successor replaces it and thereafter means the successor.</font></p>

<p><font size="3" face="Times New Roman">"United States" means the United States of America.</font></p>

<h2><a name="_Toc90448333">SECTION 1.02. <U>Other Definitions.</U></a></h2>

<table border="0" cellspacing="0" cellpadding="0" width="408">
<tr>
<td valign="top">
<p><font size="3" face="Times New Roman">Term</font></p>
</td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">Defined in Section</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td valign="top"></td>
</tr>

<tr>
<td valign="top">
<p><font size="3" face="Times New Roman">"Automatic Conversion Notice"</font></p>
</td>
<td valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">10.01</font></p>
</td>
</tr>

<tr>
<td valign="top">
<p><font size="3" face="Times New Roman">"Bankruptcy Law"</font></p>
</td>
<td valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">6.01</font></p>
</td>
</tr>

<tr>
<td valign="top">
<p><font size="3" face="Times New Roman">"Cash"</font></p>
</td>
<td valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">3.08</font></p>
</td>
</tr>

<tr>
<td valign="top">
<p><font size="3" face="Times New Roman">"Conversion Agent"</font></p>
</td>
<td valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">2.05</font></p>
</td>
</tr>

<tr>
<td valign="top">
<p><font size="3" face="Times New Roman">"Current market value"</font></p>
</td>
<td valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">10.04</font></p>
</td>
</tr>

<tr>
<td valign="top">
<p><font size="3" face="Times New Roman">"Event of Default"</font></p>
</td>
<td valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">6.01</font></p>
</td>
</tr>

<tr>
<td valign="top">
<p><font size="3" face="Times New Roman">"Legal Holiday"</font></p>
</td>
<td valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">12.08</font></p>
</td>
</tr>

<tr>
<td valign="top">
<p><font size="3" face="Times New Roman">"Paying Agent"</font></p>
</td>
<td valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">2.05</font></p>
</td>
</tr>

<tr>
<td valign="top">
<p><font size="3" face="Times New Roman">"Receiver"</font></p>
</td>
<td valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">6.01</font></p>
</td>
</tr>

<tr>
<td valign="top">
<p><font size="3" face="Times New Roman">"Registrar"</font></p>
</td>
<td valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">2.05</font></p>
</td>
</tr>

<tr>
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</tr>
</table>

<h2><a name="_Toc90448334">SECTION 1.03. <U>Incorporation by Reference of Trust Indenture Act</U></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Whenever this Indenture refers to a provision of the TIA, the provision is incorporated by reference in and made a part of this Indenture.&nbsp; The following TIA terms used in this Indenture have the following
meanings:</font></p>

<p><font size="3" face="Times New Roman">"Commission" means the SEC.</font></p>

<p><font size="3" face="Times New Roman">"indenture securities" means the Securities.</font></p>

<p><font size="3" face="Times New Roman">"indenture security holder" means a Securityholder.</font></p>

<p><font size="3" face="Times New Roman">"indenture to be qualified" means this Indenture.</font></p>

<p><font size="3" face="Times New Roman">"indenture trustee" or "institutional trustee" means the Trustee.</font></p>

<p><font size="3" face="Times New Roman">"obligor" on the indenture securities means the Company.</font></p>

<p><font size="3" face="Times New Roman">All other TIA terms used in this Indenture that are defined by the TIA, defined by TIA reference to another statute or defined by SEC rule have the meanings assigned to them.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<h2><a name="_Toc90448335">SECTION 1.04. <U>Rules of Construction</U></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Unless the context otherwise requires:</font></p>

<p>a term has the meaning assigned to it;</p>

<p>an accounting term not otherwise defined has the meaning assigned to it in accordance with generally accepted accounting principles:</p>

<p>"or" is not exclusive; and</p>

<p>words in the singular include the plural, and in the plural include the singular.</p>

<h1><a name="_Toc70489276"></a><a name="_Toc67480409"></a><a name="_Toc67480160"></a><a name="_Toc67452804"><br />
<br />ARTICLE TWO
<br />
</a><a name="_Toc90448336"><h2>THE SECURITIES</a></h2>

<h2><a name="_Toc90448337">SECTION 2.01. <U>Form and Dating</U></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Securities and the Trustee&rsquo;s certificate of authentication shall be substantially in the form set forth in Exhibit A.&nbsp; The terms and provisions contained in the form of Security attached as Exhibit A
hereto shall constitute, and are hereby expressly made, a part of this Indenture and, to the extent applicable, the Company and the Trustee, by their execution and delivery of this Indenture, expressly agree to such terms and provisions and to be bound thereby.&nbsp;
The Securities may have notations, legends or endorsements required by law, the Depositary, stock exchange rule or usage.&nbsp; The Company shall approve the form of the Securities and any notation, legend or endorsement on them.&nbsp; Each Security shall be dated
the date of its authentication.</font></p>

<p><font size="3" face="Times New Roman">So long as the Securities are eligible for book-entry settlement with the Depositary, or unless otherwise required by law, or otherwise contemplated by Section 2.08(a), all of the Securities will be represented by one or more
Securities in global form registered in the name of the Depositary or the nominee of the Depositary (a "Global Security").&nbsp; The transfer and exchange of beneficial interests in any such Global Security shall be effected through the Depositary in accordance with
this Indenture and the applicable procedures of the Depositary.&nbsp; Except as provided in Section 2.08(a), beneficial owners of a Global Security shall not be entitled to have certificates registered in their names, will not receive or be entitled to receive
physical delivery of certificates in definitive form and will not be considered Holders of such Global Security.</font></p>

<p><font size="3" face="Times New Roman">Any Global Security shall represent such of the outstanding Securities as shall be specified therein and shall provide that it shall represent the aggregate amount of outstanding Securities from time to time endorsed thereon
and that the aggregate amount of outstanding Securities represented thereby may from time to time be increased to reflect any additional Securities created and issued or reduced to reflect redemptions, repurchases, conversions, transfers or exchanges permitted
hereby.&nbsp; Any endorsement of a Global Security to reflect the amount of any increase or decrease in the amount of outstanding Securities represented thereby shall be made by the Trustee or the Custodian, at the direction of the Trustee, in such manner and upon
instructions given by the holder of such Securities in accordance with this Indenture.&nbsp; Payment of principal of and Interest and premium, if any, on any Global Security shall be made to the holder of such Security.</font></p>

<h2><a name="_Toc90448338">SECTION 2.02. <U>Date and Denomination of Securities; Payments of Interest</U></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Securities shall be issuable in registered form without coupons in denominations of $1,000 principal amount and integral multiples thereof.&nbsp; Each Security shall be dated the date of its authentication and
shall bear interest from the date specified on the face of the form of Security attached as Exhibit A hereto.&nbsp; Interest on the Securities shall be computed on the basis of a 360-day year comprised of twelve 30-day months.</font></p>

<p><font size="3" face="Times New Roman">The Person in whose name any Security is registered on the Security Register at the close of business on any Record Date with respect to any Interest Payment Date shall be entitled to receive the Interest payable on such
Interest Payment Date, except that the Interest payable upon redemption or repurchase will be payable to the Person to whom principal is payable pursuant to such redemption or repurchase.&nbsp; Notwithstanding the foregoing, if any Security (or portion thereof) is
converted into Common Stock during the period after a Record Date for the payment of Interest to, but excluding, the next succeeding Interest Payment Date, the Company shall not be required to pay Interest on such Interest Payment Date in respect of any such Security
(or portion thereof).&nbsp; Interest shall be payable at the office of the Company maintained by the Company for such purposes in the Borough of Manhattan, City of New York, which shall initially be an office or agency of the Trustee.&nbsp; The Company shall pay
Interest (i) on any Security in certificated form by check mailed to the address of the Person entitled thereto as it appears in the Security Register or (ii) on any Global Security by wire transfer of immediately available funds to the account of the Depositary or
its nominee.&nbsp; The term "Record Date" with respect to any Interest Payment Date shall mean the June 1 and December 1 next preceding the applicable June 15 and December 15 Interest Payment Date, respectively.</font></p>

<p><font size="3" face="Times New Roman">Any Interest on any Security which is payable, but is not punctually paid or duly provided for, on any June 15 or December 15 (herein called "Defaulted Interest") shall forthwith cease to be payable to the Securityholder on
the relevant Record Date by virtue such Person having been such Securityholder, and such Defaulted Interest shall be paid by the Company, at its election in each case, as provided in clause (1) or (2) below:</font></p>

<p><font size="3" face="Times New Roman">(1)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The Company may elect to make payment of any Defaulted Interest to the Persons in whose names the Securities are registered at the close of business on a special Record Date for
the payment of such Defaulted Interest, which shall be fixed in the following manner.&nbsp; The Company shall notify the Trustee in writing of the amount of Defaulted Interest proposed to be paid on each Security and the date of the proposed payment (which shall be
not less than twenty-five (25) days after the receipt by the Trustee of such notice, unless the Trustee shall consent to an earlier date), and at the same time the Company shall deposit with the Trustee an amount of money equal to the aggregate amount to be paid in
respect of such Defaulted Interest or shall make arrangements satisfactory to the Trustee for such deposit on or prior to the date of the proposed payment, such money when deposited to be held in trust for the benefit of the Persons entitled to such Defaulted
Interest as in this clause provided.&nbsp; Thereupon the Trustee shall fix a special record date (each a "Special Record Date") for the payment of such Defaulted Interest which shall be not more than fifteen (15) days and not less than ten (10) days prior to the date
of the proposed payment, and not less than ten (10) days after the receipt by the Trustee of the notice of the proposed payment.&nbsp; The Trustee shall promptly notify the Company of such Special Record Date and, in the name and at the expense of the Company, shall
cause notice of the proposed payment of such Defaulted Interest and the Special Record Date therefor to be mailed, first-class postage prepaid, to each Holder at his address as it appears in the Registrar, not less than ten (10) days prior to such Special Record
Date.&nbsp; Notice of the proposed payment of such Defaulted Interest and the Special Record Date therefor having been so mailed, such Defaulted Interest shall be paid to the Persons in whose names the Securities are registered at the close of business on such
Special Record Date and shall no longer be payable pursuant to the following clause (2) of this Section 2.02.</font></p>

<p><font size="3" face="Times New Roman">(2)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The Company may make payment of any Defaulted Interest in any other lawful manner not inconsistent with the requirements of any securities exchange or automated quotation system on
which the Securities may be listed or designated for issuance, and upon such notice as may be required by such exchange or automated quotation system, if, after notice given by the Company to the Trustee of the proposed payment pursuant to this clause, such manner of
payment shall be deemed practicable by the Trustee.</font></p>

<h2><a name="_Toc90448339">SECTION 2.03. <U>Legends.</u></a></h2>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (a)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Restricted Securities Legends.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Each Security issued hereunder shall, upon issuance, bear the legend set forth in Section&nbsp;2.03(a)(i) or Section&nbsp;2.03(a)(ii) (each, a "Restricted Securities Legend"),
as the case may be, and such legend shall not be omitted or removed except as provided in Section&nbsp;2.03(a)(iii).&nbsp; Each Security that bears or is required to bear the Restricted Securities Legend set forth in Section&nbsp;2.03(a)(i) (together with any Common
Stock issued upon conversion of the Securities and required to bear the Restricted Securities Legend set forth in Section&nbsp;2.03(a)(ii), collectively, the "Restricted Securities") shall be subject to the restrictions on transfer set forth in this
Section&nbsp;2.03(a) (including the Restricted Securities Legend set forth below), and the Holder of each such Restricted Security, by such Holder&rsquo;s acceptance thereof, shall be deemed to have agreed to be bound by all such restrictions on transfer.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; As used in Section&nbsp;2.03(a), the term "transfer" encompasses any sale, pledge, transfer or other disposition whatsoever of any Restricted Security.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (i)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Restricted Securities Legend for Securities.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Except as provided in Section&nbsp;2.03(a)(iii), until two years after the original issuance date of any Security, any certificate evidencing such Security (and all securities
issued in exchange therefor or substitution thereof, other than Common Stock, if any, issued upon conversion thereof which shall bear the legend set forth in Section&nbsp;2.03(a)(ii), if applicable) shall bear a Restricted Securities Legend in substantially the
following form:</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">THE SECURITIES EVIDENCED HEREBY HAVE NOT BEEN REGISTERED UNDER THE U.S. SECURITIES ACT OF 1933, AS AMENDED (THE "SECURITIES ACT"), OR ANY STATE SECURITIES LAWS, AND MAY NOT BE OFFERED OR SOLD EXCEPT AS SET FORTH IN THE
FOLLOWING SENTENCE.&nbsp; BY ITS ACQUISITION HEREOF, THE HOLDER (1) REPRESENTS THAT IT IS AN "QUALIFIED INSTITUTIONAL BUYER" (AS DEFINED IN RULE 144A UNDER THE SECURITIES ACT); (2) AGREES THAT IT WILL NOT WITHIN TWO YEARS AFTER THE ORIGINAL ISSUANCE OF THE SECURITY
EVIDENCED HEREBY RESELL OR OTHERWISE TRANSFER THE SECURITY EVIDENCED HEREBY OR THE COMMON STOCK ISSUABLE UPON CONVERSION OF SUCH SECURITY EXCEPT (A) TO THE COMPANY OR ANY SUBSIDIARY THEREOF, (B) TO A QUALIFIED INSTITUTIONAL BUYER IN COMPLIANCE WITH RULE 144A UNDER
THE SECURITIES ACT, (C) PURSUANT TO THE EXEMPTION FROM REGISTRATION PROVIDED BY RULE 144 UNDER THE SECURITIES ACT (IF AVAILABLE) OR (D) PURSUANT TO A REGISTRATION STATEMENT WHICH HAS BEEN DECLARED EFFECTIVE UNDER THE SECURITIES ACT (AND WHICH CONTINUES TO BE
EFFECTIVE AT THE TIME OF SUCH TRANSFER); AND (3) AGREES THAT IT WILL DELIVER TO EACH PERSON TO WHOM THE SECURITY EVIDENCED HEREBY IS TRANSFERRED (OTHER THAN A TRANSFER PURSUANT TO CLAUSE 2(D) ABOVE) A NOTICE SUBSTANTIALLY TO THE EFFECT OF THIS LEGEND.&nbsp; IN
CONNECTION WITH ANY TRANSFER OF THE SECURITY EVIDENCED HEREBY WITHIN TWO YEARS AFTER THE ORIGINAL ISSUANCE OF SUCH SECURITY (OTHER THAN A TRANSFER PURSUANT TO CLAUSE 2(D) ABOVE), THE HOLDER MUST CHECK THE APPROPRIATE BOX SET FORTH ON THE REVERSE HEREOF RELATING TO
THE MANNER OF SUCH TRANSFER AND SUBMIT THIS CERTIFICATE TO J. P. MORGAN TRUST COMPANY, NATIONAL ASSOCIATION, AS TRUSTEE (OR ANY SUCCESSOR TRUSTEE, AS APPLICABLE).&nbsp; IF THE PROPOSED TRANSFER IS PURSUANT TO CLAUSE 2(C) ABOVE, THE HOLDER MUST, PRIOR TO SUCH
TRANSFER, FURNISH TO J. P. MORGAN TRUST COMPANY, NATIONAL ASSOCIATION, AS TRUSTEE (OR ANY SUCCESSOR TRUSTEE, AS APPLICABLE), SUCH CERTIFICATIONS, LEGAL OPINIONS AND OTHER INFORMATION AS THE COMPANY MAY REASONABLY REQUIRE TO CONFIRM THAT SUCH TRANSFER IS BEING MADE
PURSUANT TO AN EXEMPTION FROM, OR IN A TRANSACTION NOT SUBJECT TO, THE REGISTRATION REQUIREMENTS OF THE SECURITIES ACT, THIS LEGEND WILL BE REMOVED UPON THE EARLIER OF THE TRANSFER OF THIS SECURITY EVIDENCED HEREBY PURSUANT TO CLAUSE 2(C) OR 2(D) ABOVE OR THE
EXPIRATION OF TWO YEARS FROM THE ORIGINAL ISSUANCE OF THE SECURITY EVIDENCED HEREBY.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (ii)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Restricted Securities Legend for Common Stock Issued Upon Conversion of the Securities.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Until two years after the original issuance date of any Security, any stock certificate representing Common Stock issued upon conversion of such Security shall bear a Restricted
Securities Legend in substantially the following form:</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">THE COMMON STOCK EVIDENCED HEREBY HAS NOT BEEN REGISTERED UNDER THE U.S. SECURITIES ACT OF 1933, AS AMENDED (THE "SECURITIES ACT"), OR ANY STATE SECURITIES LAWS, AND MAY NOT BE OFFERED OR SOLD EXCEPT AS SET FORTH IN THE
FOLLOWING SENTENCE.&nbsp; THE HOLDER HEREOF AGREES THAT UNTIL THE EXPIRATION OF TWO YEARS AFTER THE ORIGINAL ISSUANCE OF THE SECURITY UPON THE CONVERSION OF WHICH THE COMMON STOCK EVIDENCED HEREBY WAS ISSUED, (1) IT WILL NOT RESELL OR OTHERWISE TRANSFER THE COMMON
STOCK EVIDENCED HEREBY EXCEPT (A) TO THE COMPANY OR ANY SUBSIDIARY THEREOF, (B) TO A "QUALIFIED INSTITUTIONAL BUYER" (AS DEFINED IN RULE 144A UNDER THE SECURITIES ACT) IN COMPLIANCE WITH RULE 144A, (C) IN ACCORDANCE WITH THE EXEMPTION FROM REGISTRATION PROVIDED BY
RULE 144 UNDER THE SECURITIES ACT OR (D) IN ACCORDANCE WITH A REGISTRATION STATEMENT THAT HAS BEEN DECLARED EFFECTIVE UNDER THE SECURITIES ACT AND THAT CONTINUES TO BE EFFECTIVE AT THE TIME OF SUCH TRANSFER; (2) PRIOR TO ANY SUCH TRANSFER (OTHER THAN A TRANSFER
PURSUANT TO CLAUSE 1(D) ABOVE), IT WILL FURNISH TO LASALLE BANK NATIONAL ASSOCIATION, AS TRANSFER AGENT (OR ANY SUCCESSOR, AS APPLICABLE), SUCH CERTIFICATIONS, LEGAL OPINIONS AND OTHER INFORMATION AS THE COMPANY MAY REASONABLY REQUIRE TO CONFIRM THAT SUCH TRANSFER IS
BEING MADE PURSUANT TO AN EXEMPTION FROM, OR IN A TRANSACTION NOT SUBJECT TO, THE REGISTRATION REQUIREMENTS OF THE SECURITIES ACT; AND (3) IT WILL DELIVER TO EACH PERSON TO WHOM THE COMMON STOCK EVIDENCED HEREBY IS TRANSFERRED (OTHER THAN A TRANSFER PURSUANT TO
CLAUSE l(D) ABOVE) A NOTICE SUBSTANTIALLY TO THE EFFECT OF THIS LEGEND.&nbsp; THIS LEGEND WILL BE REMOVED UPON THE EARLIER OF THE TRANSFER OF THE COMMON STOCK EVIDENCED HEREBY PURSUANT TO CLAUSE l(C) OR l(D) ABOVE OR THE EXPIRATION OF TWO YEARS FROM THE ORIGINAL
ISSUANCE OF THE SECURITY UPON THE CONVERSION OF WHICH THE COMMON STOCK EVIDENCED HEREBY WAS ISSUED.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (iii)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Omission or Removal of the Restricted Securities Legends.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Unless issued pursuant to a registration statement declared effective under the Securities Act, each Security or share of Common Stock issued upon conversion of such Security
shall bear the Restricted Securities Legend set forth in Section&nbsp;2.3(a)(i) or 2.3(a)(ii), as the case may be, until the earlier of:</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (A)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; two years after the original issuance date of such Security;</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (B)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; such Security or Common Stock has been sold (x) pursuant to a registration statement that has been declared effective
under the Securities Act (and which continues to be effective at the time of such sale) or (y) pursuant to the exemption from registration provided by Rule 144 under the Securities Act (subject to the satisfaction of any requirement to furnish any certification,
legal opinion or other information in accordance with the Restricted Securities Legend and this Indenture); or</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (C)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; such Common Stock has been issued upon conversion of Securities that have been sold (x) pursuant to a registration
statement that has been declared effective under the Securities Act (and which continues to be effective at the time of such sale) or (y) pursuant to the exemption from registration provided by Rule 144 under the Securities Act (subject to the satisfaction of any
requirement to furnish any certification, legal opinion or other information in accordance with the Restricted Securities Legend and this Indenture).</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The Holder must give notice thereof to the Trustee and any transfer agent for the Common Stock, as applicable.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Notwithstanding the foregoing, the Restricted Securities Legend may be removed if there is delivered to the Company such satisfactory evidence, which may include an opinion of
independent counsel, as may be reasonably required by the Company that neither such legend nor the restrictions on transfer set forth therein are required to ensure that transfers of such Security will not violate the registration requirements of the Securities
Act.&nbsp; Upon provision of such satisfactory evidence, the Trustee, at the written direction of the Company, shall authenticate and deliver in exchange for such Securities another Security or Securities having an equal aggregate principal amount that does not bear
such legend.&nbsp; If the Restricted Securities Legend has been removed from a Security as provided above, no other Security issued in exchange for all or any part of such Security shall bear such legend, unless the Company has reasonable cause to believe that such
other Security is a "restricted security" within the meaning of Rule 144 and instructs the Trustee in writing to cause a Restricted Securities Legend to appear thereon.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Any Security (or security issued in exchange or substitution thereof) as to which such restrictions on transfer shall have expired in accordance with their terms or as to which
the conditions for removal of the Restricted Securities Legend set forth in Section&nbsp;2.03(a)(i) have been satisfied may, upon surrender of such Security for exchange to the Registrar in accordance with the provisions of Section&nbsp;2.08 hereof, be exchanged for
a new Security or Securities, of like tenor and aggregate principal amount, which shall not bear the Restricted Securities Legend required by Section&nbsp;2.03(a)(i).</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Any such Common Stock as to which such restrictions on transfer shall have expired in accordance with their terms or as to which the conditions for removal of the Restricted
Securities Legend set forth in Section&nbsp;2.3(a)(ii) have been satisfied may, upon surrender of the certificates representing such shares of Common Stock for exchange in accordance with the procedures of the transfer agent for the Common Stock, be exchanged for a
new certificate or certificates for a like aggregate number of shares of Common Stock, which shall not bear the Restricted Securities Legend required by Section&nbsp;2.03(a)(ii).</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (b)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Global Security Legend.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Each Global Security shall also bear the following legend on the face thereof:</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY ("DTC") TO RICHARDSON ELECTRONICS, LTD. (OR ITS SUCCESSOR) OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, CONVERSION OR
PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE &amp; CO. OR IN SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT HEREON IS MADE TO CEDE &amp; CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED
REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE OR OTHER USE HEREOF FOR VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL SINCE THE REGISTERED OWNER HEREOF, CEDE &amp; CO., HAS AN INTEREST HEREIN.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<h2><a name="_Toc90448340">SECTION 2.04. <U>Execution and Authentication</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Two Officers shall execute the Securities for the Company by manual or facsimile signature.</font></p>

<p><font size="3" face="Times New Roman">If an Officer whose signature is on a Security no longer holds that office at the time the Trustee authenticates the Security, the Security shall be valid nevertheless.</font></p>

<p><font size="3" face="Times New Roman">A Security shall not be valid until the Trustee manually signs the certificate of authentication on the Security.&nbsp; The signature shall be conclusive evidence that the Security has been authenticated under this Indenture
and that the Holder is entitled to the benefits of this Indenture.</font></p>

<p><font size="3" face="Times New Roman">The Trustee shall initially authenticate Securities for original issue in the aggregate principal amount of up to $70,757,000 upon a written order of the Company signed by two Officers or by an Officer and an Assistant
Treasurer of the Company.&nbsp; The aggregate principal amount of the Securities outstanding at any time may not exceed that amount, subject to Sections&nbsp;2.10 and 2.11 and provided that the Company may, from time to time, subject to compliance with any other
applicable provisions of this Indenture, without the consent of the Holders, create and issue pursuant to this Indenture an unlimited principal amount of additional Securities (in excess of any amounts issued pursuant to the first sentence of this paragraph) having
terms and conditions set forth in Exhibit A identical to those of the other outstanding Securities, except that any such additional Securities:</font></p>

<p><font size="3" face="Times New Roman">(i)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; may have a different issue date from other outstanding Securities;</font></p>

<p><font size="3" face="Times New Roman">(ii)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; may have a different amount of interest payable on the first Interest Payment Date after issuance than is payable on other outstanding Securities; and</font></p>

<p><font size="3" face="Times New Roman">(iii)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; may have terms specified in such additional Securities making appropriate adjustments to this <u>Article II</u> and <u>Exhibit A</u> (and related definitions), or other provisions of
this Indenture, applicable to such additional Securities in order to conform to and ensure compliance with the Securities Act (or other applicable securities laws) and any registration rights or similar agreement applicable to such additional Securities (or to
reflect the absence of restrictions on transfer if such Securities have been registered under the Securities Act) or to reflect other appropriate terms and conditions, which are not adverse in any material respect to the Holder of any outstanding Securities (other
than such additional Securities);</font></p>

<p><i><font size="3" face="Times New Roman">provided</font></i>, that no adjustment pursuant to this Section 2.04 shall cause such additional Securities to constitute, as determined pursuant to an Opinion of Counsel, a different class of securities than the original
Securities for U.S. federal income tax purposes.&nbsp;</p>

<h2><a name="_Toc90448341">SECTION 2.05. <U>Registrar, Paying Agent and Conversion Agent</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Company shall maintain an office or agency where Securities may be presented for registration of transfer or for exchange ("Registrar"), an office or agency where Securities may be presented for payment ("Paying
Agent") and an office or agency where Securities may be presented for conversion ("Conversion Agent").&nbsp; The Registrar shall keep a register of the Securities and of their transfer and exchange (the "Security Register").&nbsp; The Company may have one or more
co-Registrars, one or more additional paying agents and one or more additional conversion agents.&nbsp; The term "Paying Agent" includes any additional paying agent and the term "Conversion Agent" includes any additional conversion agent.</font></p>

<p><font size="3" face="Times New Roman">The Company shall enter into an appropriate agency agreement with any Agent not a party to this Indenture.&nbsp; The agreement shall implement the provisions of this Indenture that relate to such Agent.&nbsp; The Company shall
notify the Trustee of the name and address of any such Agent.&nbsp; If the Company fails to maintain a Registrar, Paying Agent or Conversion Agent, the Trustee shall act as such.</font></p>

<p><font size="3" face="Times New Roman">The Company initially appoints the Trustee as Registrar, Paying Agent and Conversion Agent.</font></p>

<h2><a name="_Toc90448342">SECTION 2.06. <U>Paying Agent to Hold Money in Trust</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Each Paying Agent shall hold in trust for the benefit of the Securityholders or the Trustee all moneys held by the Paying Agent for the payment of principal of or interest on the Securities, and shall notify the
Trustee of any default by the Company in making any such payment.&nbsp; If the Company or a Subsidiary acts as Paying Agent, it shall segregate the money and hold it as a separate trust fund.&nbsp; The Company at any time may require a Paying Agent to pay all money
held by it to the Trustee.&nbsp; Upon doing so the Paying Agent shall have no further liability for the money.</font></p>

<h2><a name="_Toc90448343">SECTION 2.07. <U>Securityholder Lists</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Trustee shall preserve in as current a form as is reasonably practicable the most recent list available to it of the names and addresses of Securityholders.&nbsp; If the Trustee is not the Registrar, the Company
shall furnish to the Trustee on or before each semiannual Interest Payment Date and at such other times as the Trustee may request in writing a list in such form and as of such date as the Trustee may reasonably require, of the names and addresses of
Securityholders.</font></p>

<h2><a name="_Toc90448344">SECTION 2.08. <U>Transfer and Exchange</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; (a) Where a Security is presented to the Registrar or a co-Registrar with a request to register a transfer, the Registrar shall register the transfer as requested if its requirements for such transactions are met.&nbsp; Upon surrender for registration of
transfer of any Security to the Registrar or any co-Registrar, and satisfaction of the requirements for such transaction are met, the Company shall execute, and the Trustee shall authenticate and deliver, in the name of the designated transferee or transferees, one
or more new Securities of any authorized denominations and of a like aggregate principal amount and bearing such restrictive legends as may be required by this Indenture.</p>

<p><font size="3" face="Times New Roman">Securities may be exchanged for other Securities of any authorized denominations and of a like aggregate principal amount, upon surrender of the Securities to be exchanged at any such office or agency maintained by the Company
pursuant to Section 2.05.&nbsp; Whenever any Securities are so surrendered for exchange, the Company shall execute, and the Trustee shall authenticate and deliver, the Securities which the Securityholder making the exchange is entitled to receive bearing registration
numbers not contemporaneously outstanding.</font></p>

<p><font size="3" face="Times New Roman">All Securities issued upon any registration of transfer or exchange of Securities shall be the valid obligations of the Company, evidencing the same debt, and entitled to the same benefits under this Indenture, as the
Securities surrendered upon such registration of transfer or exchange.</font></p>

<p><font size="3" face="Times New Roman">All Securities presented or surrendered for registration of transfer or for exchange, redemption, repurchase or conversion shall (if so required by the Company or the Registrar) be duly endorsed, or be accompanied by a written
instrument or instruments of transfer in form satisfactory to the Company, and the Securities shall be duly executed by the Securityholder thereof or his attorney duly authorized in writing.</font></p>

<p><font size="3" face="Times New Roman">No service charge shall be made to any Holder for any registration of, transfer or exchange of Securities, but the Company may require payment by the Holder of a sum sufficient to cover any tax, assessment or other
governmental charge that may be imposed in connection with any registration of transfer or exchange of Securities.</font></p>

<p><font size="3" face="Times New Roman">Neither the Company nor the Trustee nor any Registrar shall be required to exchange or register a transfer of&nbsp; (a) any Securities for a period of fifteen (15) days next preceding any selection of Securities to be
redeemed, (b) any Securities or portions thereof called for redemption pursuant to Section 3.02, or (c) any Securities or portions thereof surrendered for conversion pursuant to Article 10.</font></p>

<p><font size="3" face="Times New Roman">.&nbsp; (b) The following provisions shall apply only to Global Securities:</p>

<p><font size="3" face="Times New Roman"> (i)Each Global Security authenticated under this Indenture shall be registered in the name of the Depositary or a nominee thereof and delivered to such Depositary or a nominee thereof or Custodian therefor, and each such Global Security shall constitute a single
Security for all purposes of this Indenture.</p>

<p><font size="3" face="Times New Roman"> (ii)Notwithstanding any other provision in this Indenture, no Global Security may be exchanged in whole or in part for Securities registered, and no transfer of a Global Security in whole or in part may be registered, in the name of any Person other than the
Depositary or a nominee thereof unless (A) the Depositary (i) has notified the Company that it is unwilling or unable to continue as Depositary for such Global Security and a successor depositary has not been appointed by the Company within ninety (90) days or (ii)
has ceased to be a clearing agency registered under the Exchange Act, (B) an Event of Default has occurred and is continuing or (C) the Company, in its sole discretion, notifies the Trustee in writing that it no longer wishes to have all the Securities represented by
Global Securities.&nbsp; Any Global Security exchanged pursuant to clause (A) or (B) above shall be so exchanged in whole and not in part and any Global Security exchanged pursuant to clause (C) above may be exchanged in whole or from time to time in part as directed
by the Company.&nbsp; Any Security issued in exchange for a Global Security or any portion thereof shall be a Global Security; provided that any such Security so issued that is registered in the name of a Person other than the Depositary or a nominee thereof shall
not be a Global Security.</p>

<p><font size="3" face="Times New Roman"> (iii)Securities issued in exchange for a Global Security or any portion thereof pursuant to clause (ii) above shall be issued in definitive, fully registered form, without interest coupons, shall have an aggregate principal amount equal to that of such Global Security
or portion thereof to be so exchanged, shall be registered in such names and be in such authorized denominations as the Depositary shall designate and shall bear any legends required hereunder.&nbsp; Any Global Security to be exchanged in whole shall be surrendered
by the Depositary to the Trustee, as Security Registrar.&nbsp; With regard to any Global Security to be exchanged in part, either such Global Security shall be so surrendered for exchange or, if the Trustee is acting as Custodian for the Depositary or its nominee
with respect to such Global Security, the principal amount thereof shall be reduced, by an amount equal to the portion thereof to be so exchanged, by means of an appropriate adjustment made on the records of the Trustee.&nbsp; Upon any such surrender or adjustment,
the Trustee shall authenticate and make available for delivery the Security issuable on such exchange to or upon the written order of the Depositary or an authorized representative thereof.</p>

<p><font size="3" face="Times New Roman"> (iv)In the event of the occurrence of any of the events specified in clause (ii) above, the Company will promptly make available to the Trustee a reasonable supply of certificated Securities in definitive, fully registered form, without interest coupons.</p>

<p><font size="3" face="Times New Roman"> (v)Neither any members of, or participants in, the Depositary ("Agent Members") nor any other Persons on whose behalf Agent Members may act shall have any rights under this Indenture with respect to any Global Security registered in the name of the Depositary or any
nominee thereof, and the Depositary or such nominee, as the case may be, may be treated by the Company, the Trustee and any agent of the Company or the Trustee as the absolute owner and holder of such Global Security for all purposes whatsoever.&nbsp; Notwithstanding
the foregoing, nothing herein shall prevent the Company, the Trustee or any agent of the Company or the Trustee from giving effect to any written certification, proxy or other authorization furnished by the Depositary or such nominee, as the case may be, or impair,
as between the Depositary, its Agent Members and any other Person on whose behalf an Agent Member may act, the operation of customary practices of such Persons governing the exercise of the rights of a Holder of any Security.</p>

<p><font size="3" face="Times New Roman"> (vi)At such time as all interests in a Global Security have been redeemed, repurchased, converted, canceled or exchanged for Securities in certificated form, such Global Security shall, upon receipt thereof, be canceled by the Trustee in accordance with standing
procedures and instructions existing between the Depositary and the Custodian.&nbsp; At any time prior to such cancellation, if any interest in a Global Security is redeemed, repurchased, converted, canceled or exchanged for Securities in certificated form, the
principal amount of such Global Security shall, in accordance with the standing procedures and instructions existing between the Depositary and the Custodian, be appropriately reduced, and an endorsement shall be made on such Global Security, by the Trustee or the
Custodian, at the direction of the Trustee, to reflect such reduction.</p>

<h2><a name="_Toc90448345">SECTION 2.09. <U>Special Transfer Provisions.</U></a></h2>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Unless a Security is transferred pursuant to in Rule 144(k) under the Securities Act, has been originally issued pursuant to a registration statement that has been declared
effective under the Securities Act or otherwise sold pursuant to a registration statement that has been declared effective under the Securities Act (and which continues to be effective at the time of such sale), the following provisions shall apply.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; With respect to the registration of any proposed transfer of Securities to a QIB:</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">(i)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; If the Securities to be transferred consist of an interest in the Global Securities, the transfer of such
interest may be effected only through the book-entry system maintained by the Depositary.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">(ii)&nbsp;&nbsp;&nbsp;&nbsp; If the Securities to be transferred consist of certificated Securities, the Registrar shall register the transfer if such transfer is being made by a proposed transferor who has checked the box
provided for on the form of Security stating, or has otherwise advised the Company and the Registrar in writing, that the sale has been made in compliance with the provisions of Rule 144A to a transferee who has signed the certification provided for on the form of
Security stating or has otherwise advised the Company and the Registrar in writing that:</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">(A)&nbsp;&nbsp;&nbsp; it is purchasing the Securities for its own account or an account with respect to which it exercises sole investment discretion, in each case for investment and not with a view to distribution;</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">(B)&nbsp;&nbsp;&nbsp; it and any such account is a QIB within the meaning of Rule 144A; and</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">(C)&nbsp;&nbsp;&nbsp; it is aware that the sale to it is being made in reliance on Rule 144A.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; In addition, the Registrar shall reflect on its books and records the date and an increase in the principal amount of the Global Securities in an amount equal to the principal
amount of the certificated Securities to be transferred, and the Trustee shall cancel the certificated Securities so transferred.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; By its acceptance of any Security bearing the Restricted Securities Legend, each Holder of such a Security acknowledges the restrictions on transfer of such Security set forth
in this Indenture and agrees that it will transfer such Security only as provided in this Indenture.&nbsp; The Registrar shall not register a transfer of any Security unless such transfer complies with the restrictions on transfer of such Security set forth in this
Indenture.&nbsp; The Registrar shall be entitled to receive and rely on written instructions from the Company verifying that such transfer complies with such restrictions on transfer.&nbsp; In connection with any transfer of Securities, each Holder agrees by its
acceptance of the Securities to furnish the Registrar or the Company such certifications, legal opinions or other information as either of them may reasonably require to confirm that such transfer is being made pursuant to an exemption from, or a transaction not
subject to, the registration requirements of the Securities Act; provided that the Registrar shall not be required to determine (but may rely on a determination made by the Company with respect to) the sufficiency of any such certifications, legal opinions or other
information.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; The Registrar shall retain copies of all letters, notices and other written communications received pursuant to Section&nbsp;2.08 hereof or this Section&nbsp;2.09.&nbsp; The
Company shall have the right to inspect and make copies of all such letters, notices or other written communications at any reasonable time upon the giving of reasonable written notice to the Registrar.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<h2><a name="_Toc90448346"><h2><a name="_Toc90448344">SECTION 2.10. <U>Replacement Securities</U></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; If the Holder of a Security claims that the Security has been lost, destroyed or wrongfully taken, then, in the absence of notice to the Company that the Security has been acquired by a protected purchaser, the Company
shall issue and the Trustee shall authenticate a replacement.&nbsp; If required by the Trustee or the Company, the Holder must commit to an indemnification obligation which is sufficient in the judgment of both the Trustee and the Company to protect the Company, the
Trustee or any Agent from any loss which any of them may suffer if a Security is replaced.&nbsp; The Company or the Trustee may charge the Holder for its expenses in replacing a Security.&nbsp; Every replacement Security is an additional obligation of the
Company.</font></p>

<h2><a name="_Toc90448347">SECTION 2.11. <U>Outstanding Securities</U></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Securities outstanding at any time are all Securities authenticated by the Trustee except for those cancelled by it, those delivered to it for cancellation, and those described in this Section.&nbsp; A Security does
not cease to be outstanding because the Company or one of its Subsidiaries holds the Security.</font></p>

<p><font size="3" face="Times New Roman">If a Security is replaced pursuant to Section 2.10, it ceases to be outstanding unless the Trustee receives proof satisfactory to it that the replaced Security is held by a bona fide purchaser.</font></p>

<p><font size="3" face="Times New Roman">If the Paying Agent holds on a Redemption Date or Maturity Date money sufficient to pay Securities payable on that date, then on and after that date such Securities shall be deemed to be no longer outstanding and interest on
them shall cease to accrue.</font></p>

<h2><a name="_Toc90448348">SECTION 2.12. <U>Temporary Securities</U></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Until definitive Securities are ready for delivery, the Company may prepare and the Trustee shall authenticate temporary Securities.&nbsp; Temporary Securities shall be substantially in the form of definitive
Securities but may have variations that the Company considers appropriate for temporary Securities.&nbsp; Without unreasonable delay, the Company shall prepare and the Trustee shall authenticate definitive Securities in exchange for temporary Securities.</font></p>

<h2><a name="_Toc90448349">SECTION 2.13. <U>Cancellation</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Company at any time may deliver Securities to the Trustee for cancellation.&nbsp; The Registrar, Paying Agent and Conversion Agent shall forward to the Trustee any Securities surrendered to them for transfer,
exchange, payment or conversion.&nbsp; The Trustee and no one else shall cancel and destroy all Securities surrendered for transfer, exchange, payment, conversion or cancellation and deliver a certificate of such destruction to the Company unless the Company
instructs the Trustee in writing to deliver the Securities to the Company.&nbsp; The Company may not issue new Securities to replace Securities that it has paid or delivered to the Trustee for cancellation or which have been converted.&nbsp; If the Company shall
acquire any of the Securities, such acquisition shall not operate as a redemption, repurchase or satisfaction of the indebtedness represented by such Securities unless and until the same are delivered to the Trustee for cancellation.</font></p>

<h2><a name="_Toc90448350">SECTION 2.10. <U>CUSIP Numbers</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Company in issuing the Securities may use "CUSIP" numbers (if then generally in use), and, if so, the Trustee shall use "CUSIP" numbers in notices of redemption as a convenience to Securityholders; provided that
any such notice may state that no representation is made as to the correctness of such numbers either as printed on the Securities or as contained in any notice of a redemption and that reliance may be placed only on the other identification numbers printed on the
Securities, and any such redemption shall not be affected by any defect in or omission of such numbers.&nbsp; The Company will promptly notify the Trustee of any change in the "CUSIP" numbers.</font></p>

<a name="_Toc70489289"></a><a name="_Toc67480422"></a><a name="_Toc67480173"></a><a name="_Toc67452817"><br />
<br /><h1>ARTICLE THREE</H1>
<br />
</a><a name="_Toc90448351"><H2>REDEMPTION</a></h2>

<h2><a name="_Toc90448352">SECTION 3.01. <U>Company&rsquo;s Right to Redeem</U></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Securities will not be redeemable at the Company&rsquo;s option prior to December 19, 2006.&nbsp; At any time on or after December 19, 2006 and prior to December 19, 2007, the Company, at its option, may redeem the
Securities, in whole or in part, in accordance with the provisions of Sections 3.02, 3.03 and 3.04 on the Redemption Date for a redemption price (the "Redemption Price") in cash equal to 100% of the principal amount of the Securities to be redeemed together in each
case with accrued and unpaid Interest on the Securities redeemed to but excluding the Redemption Date, provided that at any time prior to the date of mailing the redemption notice the Last Reported Sale Price of the Common Stock has been at least 125% of the
conversion price for at least twenty (20) trading days during any thirty (30) trading day period.&nbsp; At any time on or after December 19, 2007, and prior to the Maturity Date, the Company, at its option, may redeem the Securities, in whole or in part, in
accordance with the provisions of Sections 3.02, 3.03 and 3.04 on the Redemption Date for a Redemption Price in cash equal to 100% of the principal amount of the Securities to be redeemed together in each case with accrued and unpaid Interest on the Securities to be
redeemed to, but excluding, the Redemption Date.&nbsp; <a name="_DV_C528">Notwithstanding the foregoing, the Securities will not be redeemable at the Company&rsquo;s option during the continuance of a Default in payment of Interest on the Securities.</a></font></p>

<h2><a name="_Toc90448353">SECTION 3.02. <U>Selection of Securities to be Redeemed</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; If less than all the Securities are to be redeemed, the Trustee shall select the Securities to be redeemed, if the Securities are listed on a national securities exchange, in accordance with rules of such exchange or
if the Securities are not so listed on either a pro rata basis, by lot or in accordance with any other method the Trustee considers fair and appropriate.&nbsp; The Trustee shall make the selection from Securities outstanding and not previously called for
redemption.&nbsp; The Trustee may select for redemption portions of the principal of Securities that have denominations larger than $1,000.&nbsp; Securities and portions of them it selects shall be in amounts of $1,000 or integral multiples of $1,000.&nbsp;
Provisions of this Indenture that apply to Securities called for redemption also apply to portions of Securities called for redemption.</font></p>

<h2><a name="_Toc90448354">SECTION 3.03. <U>Notice of Redemption</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; In case the Company shall desire to exercise the right to redeem all or, as the case may be, any part of the Securities pursuant to Section 3.01, it shall fix a date for redemption (the "Redemption Date") and it or, at
its written request received by the Trustee not fewer than ten (10) days prior (or such shorter period of time as may be acceptable to the Trustee) to the Redemption Date, the Trustee in the name of and at the expense of the Company, shall mail or cause to be mailed
a notice of such redemption (a "Redemption Notice") not fewer than ten (10) nor more than sixty (60) days prior to the Redemption Date to each Holder of Securities so to be redeemed as a whole or in part at its last address as the same appears on the Security
Register; provided that if the Company shall give such notice, it shall also give written notice of the Redemption Date to the Trustee.&nbsp; The notice, if mailed in the manner herein provided, shall be conclusively presumed to have been duly given, whether or not
the Holder receives such notice. &nbsp; Failure to give such notice by mail or any defect in the notice to the Holder of any Security designated for redemption in whole or part shall not affect the validity of the proceedings for the redemption of any other
Security.&nbsp; Concurrently with the mailing of any such Redemption Notice, the Company or, at its written request, the Trustee in the name of and at the expense of the Company, shall mail or cause to be mailed to all Holders of the Securities a written notice, in
form and content determined by the Company in its sole discretion, of such redemption<a name="_DV_M369"></a>.</font></p>

<p><font size="3" face="Times New Roman">Each such notice of redemption shall identify the Securities to be redeemed and shall state:</font></p>

<p>(1) the aggregate principal amount of Securities to be redeemed;</p>

<p>(2) the CUSIP number or numbers;</p>

<p>(3) the Redemption Date;</p>

<p>(4) the Redemption Price;</p>

<p>(5) the then current conversion price;</p>

<p>(6) the name and address of the Paying Agent and the Conversion Agent;</p>

<p>(7) that the right to convert Securities called for redemption shall terminate at the close of business on the Redemption Date;</p>

<p>(8) that Holders who want to convert Securities must satisfy the requirements of paragraph 8 of the Securities;</p>

<p>(9) that Securities called for redemption must be surrendered to the Paying Agent to collect the Redemption Price;</p>

<p>(10) that interest on Securities called for redemption ceases to accrue on and after the Redemption Date; and</p>

<p>(11) the paragraph of the Securities pursuant to which the Securities are to be redeemed.</p>

<h2><a name="_Toc90448355">SECTION 3.04. <U>Effect of Notice of Redemption</U></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Once notice of redemption is mailed, Securities called for redemption become due and payable on the Redemption Date at the applicable Redemption Price together with accrued and unpaid Interest thereon to but excluding
the Redemption Date.&nbsp; Upon surrender to the Paying Agent, such Securities shall be paid at the applicable Redemption Price, plus accrued interest to the Redemption Date.</font></p>

<h2><a name="_Toc90448356">SECTION 3.05. <U>Deposit of Redemption Price</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Before the Redemption Date, the Company shall deposit with the Paying Agent money sufficient to pay the Redemption Price of, and accrued interest on, all Securities to be redeemed on that date.&nbsp; The Paying Agent
shall return to the Company any money not required for that purpose because of conversion of Securities.&nbsp; If notice of redemption has been given as provided in Section 3.03, the Securities or portion of Securities with respect to which such notice has been given
shall, unless converted into Common Stock pursuant to the terms hereof, become due and payable on the date fixed for redemption and at the place or places stated in such notice at the applicable Redemption Price, and on and after said date (unless the Company shall
default in the payment of such Securities at the Redemption Price) Interest on the Securities or portion of Securities so called for redemption shall cease to accrue and, after the close of business on the Redemption Date (unless the Company shall default in the
payment of such Securities at the Redemption Price) such Securities shall cease to be convertible into Common Stock and to be entitled to any benefit or security under this Indenture, and the Holders thereof shall have no right in respect of such Securities except
the right to receive the Redemption Price thereof.&nbsp; On presentation and surrender of such Securities at a place of payment in said notice specified, the said Securities or the specified portions thereof shall be paid and redeemed by the Company at the applicable
Redemption Price; provided that if the applicable Redemption Dates fall on an Interest Payment Date, the Interest payable on such Interest Payment Date shall be payable to the Holders of record of such Securities on the applicable Record Date instead of the Holders
surrendering such Securities for redemption on such date.</font></p>

<p><font size="3" face="Times New Roman">Upon presentation of any Securities redeemed in part only, the Company shall execute and the Trustee shall authenticate and make available for delivery to the Holder thereof, at the expense of the Company, a new Security or
Securities, of authorized denominations, in principal amount equal to the unredeemed portion of the Securities so presented.</font></p>

<h2><a name="_Toc90448357">SECTION 3.06. <U>Securities Redeemed in Part</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; In case any Security is to be redeemed in part only, the notice of redemption shall state the portion of the principal amount thereof to be redeemed and shall state that, on and after the Redemption Date, upon
surrender of such Security, a new Security or Securities in principal amount equal to the unredeemed portion thereof will be issued.&nbsp; If any Security selected for partial redemption is submitted for conversion in part after such selection, the portion of such
Security submitted for conversion shall be deemed (so far as may be possible) to be the portion to be selected for redemption.&nbsp; The Securities (or portions thereof) so selected shall be deemed duly selected for redemption for all purposes hereof, notwithstanding
that any such Security is submitted for conversion in part before the mailing of the notice of redemption.</font></p>

<p><font size="3" face="Times New Roman">Upon any redemption of less than all of the outstanding Securities, the Company and the Trustee may (but need not), solely for purposes of determining the pro rata allocation among such Securities as are unconverted and
outstanding at the time of redemption, treat as outstanding any Securities surrendered for conversion during the period of fifteen (15) days next preceding the mailing of a notice of redemption and may (but need not) treat as outstanding any Security authenticated
and delivered during such period in exchange for the unconverted portion of any Security converted in part during such period.</font></p>

<h2><a name="_Toc90448358">SECTION 3.07. <U>Repurchase of Securities by the Company at Option of Holders upon a Change of Control</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp;(a) If a Change of Control shall occur at any time prior to the Maturity Date, each Holder shall have the right, at such Holder&rsquo;s option, to require the Company to repurchase for cash, in shares of Common Stock or a combination thereof (as selected by the
Company pursuant to Section 3.08) any or all of such Holder&rsquo;s Securities, or any portion of the principal amount thereof that is equal to $1,000 or an integral multiple of $1,000, on the date specified in the Change of Control Repurchase Notice, which date
shall be no more than forty five (45) days after the date of such Change of Control Repurchase Notice (subject to extension to comply with applicable law) (the "Change of Control Repurchase Date").&nbsp; The Company shall repurchase such Securities at a price (the
"Change of Control Repurchase Price") equal to 101% of the principal amount thereof plus any accrued and unpaid Interest to but excluding the Change of Control Repurchase Date.</font></p>

<p><a name="_DV_C571"><font size="3" face="Times New Roman">The Company&rsquo;s obligation to repurchase all or a portion of a Holder&rsquo;s Securities under this Section 3.07 shall be satisfied if a third party makes the offer to repurchase the Securities at the
Change of Control Repurchase Price in the manner and at the times and otherwise in compliance in all material respects with the requirements set out in this Section 3.07 and such third party complies with the obligations of the Company in connection
herewith.</font></a></p>

<p><font size="3" face="Times New Roman">.&nbsp;(b) On or before the thirtieth (30th) day after the occurrence of a Change of Control, the Company, or at its written request the Trustee in the name of and at the expense of the Company (which request must be received by the Trustee at least five (5) Business Days
prior to the date the Trustee is requested to give notice as described below, unless the Trustee shall agree to a shorter period), shall mail or cause to be mailed, by first class mail, to all Holders of record on such date a notice (the "Change of Control Repurchase
Notice") of the occurrence of such Change of Control and of the repurchase right at the option of the Holders arising as a result thereof to each Holder of Securities at its last address as the same appears on the Security Register; provided that if the Company shall
give such notice, it shall also give written notice of the Change of Control to the Trustee and Paying Agent, if other than the Trustee, at such time as it is mailed to Securityholders.&nbsp; Such notice, if mailed in the manner herein provided, shall be conclusively
presumed to have been duly given, whether or not the Holder receives such notice.&nbsp; Each Change of Control Repurchase Notice shall state, among other things:</font></p>

<p><font size="3" face="Times New Roman">(i) the events causing the Change of Control;</font></p>

<p><font size="3" face="Times New Roman">(ii) the date of the Change of Control;</font></p>

<p><font size="3" face="Times New Roman">(iii) the last date on which a Holder may exercise the repurchase right;</font></p>

<p><font size="3" face="Times New Roman">(iv) the Change of Control Repurchase Price, excluding accrued and unpaid Interest, the applicable conversion price at the time of such notice (and any applicable adjustments to the conversion price) and, to the extent known at the time of such notice, the amount of
Interest that will be payable with respect to the Securities on the Change of Control Repurchase Date;</font></p>

<p><font size="3" face="Times New Roman">(v) whether the Company elects to pay the Change of Control Repurchase Price in cash, in shares of Common Stock or a combination thereof, specifying the percentage or amount of each;</font></p>



<p><font size="3" face="Times New Roman">(vi) if the Company elects to pay any portion of the Change of Control Repurchase Price in shares of Common Stock, the calculation of the Market Price of the Common Stock;</font></p>

<p><font size="3" face="Times New Roman">(vii) the Change of Control Repurchase Date;</font></p>

<p><font size="3" face="Times New Roman">(viii) the name and address of the Paying Agent and the Conversion Agent;</font></p>

<p><font size="3" face="Times New Roman">(ix) that Securities as to which a Change of Control Repurchase Election has been given by the Holder may be converted only if the election has been withdrawn by the Holder in accordance with the terms of this Indenture; provided that the Securities are otherwise
convertible in accordance with Section 10.01;</font></p>

<p><font size="3" face="Times New Roman">(x) that the Holder shall have the right to withdraw any Securities surrendered prior to the close of business on the Business Day immediately preceding the Change of Control Repurchase Date (or any such later time as may be required by applicable law);</font></p>

<p><font size="3" face="Times New Roman">(xi) a description of the procedures which a Securityholder must follow to exercise such repurchase right or to withdraw any surrendered Securities;</font></p>

<p><font size="3" face="Times New Roman">(vii) the CUSIP or similar number or numbers of the Securities (if then generally in use); and</font></p>

<p><font size="3" face="Times New Roman">(viii) briefly, the conversion rights of the Securities and whether, at the time of such notice, the Securities are eligible for conversion.</font></p>

<p><font size="3" face="Times New Roman">No failure of the Company to give the foregoing notices and no defect therein shall limit the Securityholders&rsquo; repurchase rights or affect the validity of the proceedings for the repurchase of the Securities pursuant to
this Section 3.07.</font></p>

<p><font size="3" face="Times New Roman">(c) Securities shall be repurchased pursuant to this Section 3.07 at the option of the Holder upon:</font></p>

<p><font size="3" face="Times New Roman">(i) delivery to the Trustee (or other Paying Agent appointed by the Company) by a Holder of a duly completed notice (a "Change of Control Repurchase Election") in the form set forth on the reverse of the Securities at any time prior to the close of business on the
Business Day immediately preceding the Change of Control Repurchase Date (subject to extension to comply with applicable law) stating:</font></p>

<p><font size="3" face="Times New Roman">(A) if certificated, the certificate numbers of the Securities which the Holder shall deliver to be repurchased;</font></p>

<p><font size="3" face="Times New Roman">(B) the portion of the principal amount of the Securities that the Holder shall deliver to be repurchased, which portion must be $1,000 or an integral multiple thereof; and</font></p>

<p><font size="3" face="Times New Roman">(C) that such Securities shall be repurchased as of the Change of Control Repurchase Date pursuant to the terms and conditions specified in the Securities and in the Indenture; and</font></p>

<p><font size="3" face="Times New Roman">(D) in the event the Company elects to pay the Change of Control Repurchase Price, in whole or in part, in shares of Common Stock but such portion of the Change of Control Repurchase Price shall ultimately be paid to such Holder entirely in cash
because any of the conditions to payment of the Change of Control Repurchase Price in shares of Common Stock is not satisfied prior to the close of business on the Business Day prior to the relevant Change of Control Repurchase Date, whether such Holder elects (i) to
withdraw the Change of Control Repurchase Election as to some or all of the Securities to which such election relates (stating the principal amount and certificate numbers, if any, of the Securities as to which such withdrawal shall relate), or (ii) to receive cash
in respect of the entire Repurchase Price for all Securities (or portions thereof) to which such election relates; and</font></p>

<p><font size="3" face="Times New Roman">(ii) delivery or book-entry transfer of the Securities to the Trustee (or other Paying Agent appointed by the Company) simultaneously with or at any time after delivery of the Change of Control Repurchase Election (together with all necessary endorsements) at the
corporate trust office of the Trustee (or other Paying Agent appointed by the Company) located in Chicago, Illinois, such delivery or all necessary endorsements) at the corporate trust office of the Trustee (or other Paying Agent appointed by the Company) located in
the Chicago, Illinois, such delivery or transfer being a condition to receipt by the Holder of the Change of Control Repurchase Price therefor; provided that such Change of Control Repurchase Price shall be so paid pursuant to this Section 3.07 only if the Securities
so delivered or transferred to the Trustee (or other Paying Agent appointed by the Company) shall conform in all respects to the description thereof in the related Change of Control Repurchase Election.&nbsp; All questions as to the validity, eligibility (including
time of receipt) and acceptance of any Security for repurchase shall be determined by the Company, whose determination shall be final and binding absent manifest error.</font></p>

<p><font size="3" face="Times New Roman">If the Securities are not in certificated form, Holders must provide notice of their election in accordance with the appropriate procedures of the Depositary.</font></p>

<p><font size="3" face="Times New Roman">If a Holder fails to indicate such Holder&rsquo;s choice with respect to the election set forth in Section 3.07(c)(i)(D), such Holder shall be deemed to have elected to receive cash in respect of the entire Change of Control
Repurchase Price for all Securities subject to such Change of Control Redemption Election in the circumstances set forth in Section 3.07(c)(i)(D).</font></p>

<h2><a name="_Toc90448359">SECTION 3.08. <U>Company&rsquo;s Right to Elect Manner of Payment of Repurchase Price.</u></a></h2>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;</font></p>

<p><font size="3" face="Times New Roman">(a) The Securities to be repurchased by the Company on any Change of Control Repurchase Date pursuant to Section&nbsp;3.07 may be paid for, in whole or in part, at the election of the Company, in U.S. legal tender ("cash") or shares of Common Stock, or in any
combination of cash and shares of Common Stock, subject to the conditions set forth in Section 3.08(e).&nbsp; The Company shall designate in its Change of Control Repurchase Notice whether the Company will purchase the Securities for cash or shares of Common Stock,
or, if a combination thereof, the percentage of the Change of Control Repurchase Price that it will pay in cash and the percentage that it will pay in shares of Common Stock; provided that the Company will pay cash for accrued and unpaid interest and for fractional
interests in shares of Common Stock in an amount based upon the Market Price of such fractional shares.&nbsp; For purposes of determining the amount of any fractional interests, all Securities subject to repurchase held by a Holder shall be considered together (no
matter how many separate certificates are to be presented, if the Securities are certificated).</font></p>


<p><font size="3" face="Times New Roman">(b)Each Holder whose Securities are repurchased pursuant to Section 3.07 shall receive the same percentage of cash or shares of Common Stock in payment of the Change of Control Repurchase Price for such Securities as any other Holder whose Securities are
repurchased, except (i) as provided in Section 3.08(a) with regard to the payment of cash in lieu of fractional shares of Common Stock and (ii) in the event that the Company is unable to purchase the Securities of a Holder or Holders for shares of Common Stock
because any necessary qualifications or registrations of the shares of Common Stock under applicable state securities laws cannot be obtained, or because the conditions to purchasing the Securities for shares of Common Stock set forth in Section 3.08(e) have not been
satisfied, the Company may purchase the Securities of such Holder or Holders for cash.&nbsp; The Company may not change its election with respect to the consideration (or components or percentages of components thereof) to be paid once the Company has given its
Change of Control Repurchase Notice to Holders except pursuant to Section 3.08(e) in the event of a failure to satisfy, prior to the close of business on the Business Day immediately preceding the Change of Control Repurchase Date, any condition to the payment of the
Change of Control Repurchase Price in whole or in part in shares of Common Stock.</font></p>


<p><font size="3" face="Times New Roman">(c)At least three (3) Business Days before the date of any Change of Control Repurchase Notice, the Company shall deliver an Officers&rsquo; Certificate to the Trustee specifying:</font></p>

<p><font size="3" face="Times New Roman">(i) the manner of payment selected by the Company;</font></p>

<p><font size="3" face="Times New Roman">(ii) the information required to be included in the Change of Control Repurchase Notice;</font></p>

<p><font size="3" face="Times New Roman">(iii) if the Company elects to pay the Change of Control Repurchase Price, or a specified percentage thereof, in shares of Common Stock, that the conditions to such manner of payment set forth in Section 3.08(e) have been or will be complied with; and</font></p>

<p><font size="3" face="Times New Roman">(iv) whether the Company desires the Trustee to give the Change of Control Repurchase Notice required.</font></p>

<p><font size="3" face="Times New Roman">(d) If the Company elects to pay the Change of Control Repurchase Price, or any percentage thereof, with respect to a Change of Control Repurchase Date in shares of Common Stock, the number of shares of Common Stock to be delivered with respect to each $1,000
principal amount of Securities shall be equal to the quotient obtained by dividing (i) the dollar amount of the Change of Control Repurchase Price (not including any accrued and unpaid interest) to be paid in shares of Common Stock by (ii) 97.5% of the Market Price
with respect to such Change of Control Repurchase Date; provided that no fractional shares will be delivered.&nbsp; Instead the Company will deliver a check for the current market value of the fractional share in accordance with Section 10.03.</font></p>

<p><font size="3" face="Times New Roman">(e) The Company&rsquo;s right to elect to pay some or all of the Change of Control Repurchase Price with respect to a Change of Control Repurchase Date by delivering shares of Common Stock shall be conditioned upon:</font></p>

<p><font size="3" face="Times New Roman">(i) the Company giving timely notice of its election and not having previously given notice of an election to pay the Change of Control Repurchase Price with respect to such Repurchase Date entirely in cash;</font></p>

<p><font size="3" face="Times New Roman">(ii) the approval for listing of such shares of Common Stock on a national securities exchange or the approval for quotation of such shares of Common Stock on the Nasdaq Automated Quotation System;</font></p>

<p><font size="3" face="Times New Roman">(iii) information necessary to calculate the Market Price being published in a daily newspaper of national circulation or being otherwise readily publicly available;</font></p>

<p><font size="3" face="Times New Roman">(iv) the registration of such shares of Common Stock under the Securities Act and the Exchange Act, in each case if required;</font></p>

<p><font size="3" face="Times New Roman">(v) any necessary qualification or registration under applicable state securities laws or the availability of an exemption from such qualification and registration; and</font></p>

<p><font size="3" face="Times New Roman">(vi) the receipt by the Trustee of an Officers&rsquo; Certificate and an Opinion of Counsel each stating that (A) the terms of the issuance of the shares of Common Stock are in conformity with this Indenture and (B) the shares of Common Stock to be issued by the
Company in payment of the Change of Control Repurchase Price in respect of Securities have been duly authorized and, when issued and delivered pursuant to the terms of this Indenture in payment of the Change of Control Repurchase Price, will be validly issued, fully
paid and nonassessable and free from preemptive or other similar rights under the Company&rsquo;s Certificate of Incorporation and By-laws and the Delaware General Corporation Law or otherwise, and, in the case of such Officers&rsquo; Certificate, stating that each
of the conditions in clauses (i) through (v) above and the conditions set forth in the second succeeding sentence have been satisfied.&nbsp; Such Officers&rsquo; Certificate shall also set forth the number of shares of Common Stock to be issued for each $1,000
principal amount of Securities and the Last Reported Sale Price of the Common Stock on each trading day during the period during which the Market Price with respect to such Change of Control Repurchase Date is to be calculated.</font></p>

<p><font size="3" face="Times New Roman">If the foregoing conditions are not satisfied with respect to a Holder or Holders prior to the close of business on the Business Day immediately preceding the Change of Control Repurchase Date, the Company shall pay the entire
Change of Control Repurchase Price of the Securities of such Holder or Holders in cash.</font></p>

<p><font size="3" face="Times New Roman">Upon determination of the actual number of shares of Common Stock to be issued upon repurchase of Securities, the Company shall be required to disseminate a press release through Dow Jones &amp; Company, Inc. or Bloomberg
Business News containing this information or publish the information on the Company&rsquo;s web site or through such other public medium as the Company may use at that time.</font></p>

<p><font size="3" face="Times New Roman">(F) All shares of Common Stock delivered upon purchase of the Securities shall be newly issued shares or treasury shares, shall be duly authorized, validly issued, fully paid and nonassessable, and shall be free from preemptive rights and free of any lien or adverse
claim.</font></p>

<p><font size="3" face="Times New Roman">(G) If a Holder is paid some or all of the Change of Control Repurchase Price with respect to such Holder&rsquo;s Securities in shares of Common Stock, the Company shall pay any documentary, stamp or similar issue or transfer tax due on such issue of Common Stock;
provided that the Holder shall pay any such tax which is due because the Holder requests the Common Stock to be issued in a name other than that of the Holder.&nbsp; The Paying Agent may refuse to deliver the certificates representing the shares of Common Stock being
issued in a name other than the Holder&rsquo;s name until the Paying Agent receives a sum sufficient to pay any tax which will be due because the shares of Common Stock are to be issued in a name other than the Holder&rsquo;s name.&nbsp; Nothing herein shall preclude
any income tax withholding required by law or regulations.</font></p>

<h2><a name="_Toc90448360">SECTION 3.09. <U>Conditions and Procedures for Repurchase at Option of Holders</U></a></h2>


<p><font size="3" face="Times New Roman">(b) The Company shall repurchase from the Holder thereof, pursuant to Section 3.07, a portion of a Security, if the principal amount of such portion is $1,000 or a whole multiple of $1,000.&nbsp; Provisions of this Indenture that apply to the repurchase of all of a
Security also apply to the repurchase of such portion of such Security.&nbsp; Upon presentation of any Security repurchased in part only, the Company shall execute and the Trustee shall authenticate and make available for delivery to the Holder thereof, at the
expense of the Company, a new Security or Securities, of any authorized denomination, in aggregate principal amount equal to the portion of the Securities presented that is not repurchased.</font></p>

<p><font size="3" face="Times New Roman">(c) On or prior to a Change of Control Repurchase Date, the Company will deposit with the Trustee or with one or more Paying Agents (or, if the Company is acting as its own Paying Agent, set aside, segregate or hold in trust as provided in Section 2.05) an amount of
cash and/or shares of Common Stock, as applicable, sufficient to repurchase on the Change of Control Repurchase Date all the Securities or portions thereof to be repurchased on such date at the Change of Control Repurchase Price; provided that if such deposit is made
on the Change of Control Repurchase Date, it must be received by the Trustee or Paying Agent, as the case may be, by 10:00 a.m., Chicago time, on such date.</font></p>

<p><font size="3" face="Times New Roman">If the Trustee or other Paying Agent appointed by the Company, or the Company or an Affiliate of the Company, if it or such Affiliate is acting as the Paying Agent, holds cash or shares of Common Stock sufficient to pay the
aggregate Change of Control Repurchase Price of all the Securities or portions thereof that are to be repurchased as of the Change of Control Repurchase Date, on or after the Change of Control Repurchase Date, (i) such Securities will cease to be outstanding, (ii)
interest on such Securities will cease to accrue and (iii) all other rights of the holders of such Securities will terminate, whether or not book-entry transfer of the Securities has been made or the Securities have been delivered to the Trustee or Paying Agent,
other than the right to receive the Change of Control Repurchase Price upon delivery of the Securities.</font></p>

<p><font size="3" face="Times New Roman">(d) Upon receipt by the Trustee (or other Paying Agent appointed by the Company) of a Change of Control Repurchase Election, the holder of the Securities in respect of which such Change of Control Repurchase Election was given shall (unless such notice is validly
withdrawn) thereafter be entitled to receive solely the Change of Control Repurchase Price with respect to such Securities.&nbsp; Such Change of Control Repurchase Price shall be paid to such Holder, subject to receipt of funds and/or Securities by the Trustee (or
other Paying Agent appointed by the Company), promptly (but in no event more than five (5) Business Days) following the later of (x) the Change of Control Repurchase Date with respect to such Security (provided the Holder has satisfied the conditions in Section
3.07(c), as applicable) and (y) the time of delivery of such Security to the Trustee (or other Paying Agent appointed by the Company) by the Holder thereof in the manner required by Section 3.07(c), as applicable.&nbsp; Securities in respect of which a Change of
Control Repurchase Election has been given by the Holder thereof may not be converted pursuant to Article Ten hereof on or after the date of the delivery of such Change of Control Repurchase Election unless such notice has first been validly withdrawn.</font></p>

<p><font size="3" face="Times New Roman">(e) Notwithstanding anything herein to the contrary, any Holder delivering to the office of the Trustee (or other Paying Agent appointed by the Company) a Change of Control Repurchase Election shall have the right to withdraw such election at any time prior to the
close of business on the Business Day preceding the Change of Control Repurchase Date (or any such later time as may be required by applicable law) by delivery of a written notice of withdrawal to the Trustee (or other Paying Agent appointed by the Company)
specifying:</font></p>

<p><font size="3" face="Times New Roman">(i) the certificate number, if any, of the Securities in respect of which such notice of withdrawal is being submitted, or the appropriate Depository information if the Security in respect of which such notice of withdrawal is being submitted is represented by a
Global Security,</font></p>

<p><font size="3" face="Times New Roman">(ii) the principal amount of the Security with respect to which such notice of withdrawal is being submitted, and</font></p>

<p><font size="3" face="Times New Roman">(iii) the principal amount, if any, of such Security which remains subject to the original Change of Control Repurchase Election and which has been or will be delivered for repurchase by the Company.</font></p>

<p><font size="3" face="Times New Roman">The Trustee (or other Paying Agent appointed by the Company) shall promptly notify the Company of the receipt by it of any Change of Control Repurchase Election or written notice of withdrawal thereof.</font></p>

<p><font size="3" face="Times New Roman">(f) The Company will comply with the provisions of Rule 13e-4 and any other tender offer rules under the Exchange Act to the extent then applicable in connection with the repurchase rights of the holders of Securities in the event of a Change of Control.&nbsp; If
then required by applicable law, the Company will file a Schedule TO or any other schedule required in connection with such repurchase.</font></p>

<a name="_Toc70489300"></a><a name="_Toc67480433"></a><a name="_Toc67480184"></a><a name="_Toc67452825"></a><a name="_Toc67480183"></a><a name="_Toc67480432"></a><a name="_Toc70489299"></a><a name="_Toc70489455"></a><br />
<br /><h1>ARTICAL FOUR</h1>
<br />
<a name="_Toc90448361"><h2>COVENANTS</a></h2>

<h2><a name="_Toc90448362">SECTION 4.01. <u>Payment of Securities</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Company shall pay the principal of and interest on the Securities on the dates and in the manner provided in the Securities and this Indenture.&nbsp; Principal and interest shall be considered paid on the date due
if the Paying Agent holds in accordance with this Indenture on that date money sufficient to pay all principal and interest then due and the Paying Agent is not prohibited from paying such money to the Holders on such date pursuant to the terms of this
Indenture.</font></p>

<p><font size="3" face="Times New Roman">The Company shall pay interest on overdue principal at the rate borne by the Securities; it shall pay interest on overdue installments of interest at the same rate to the extent lawful.</font></p>

<h2><a name="_Toc90448363">SECTION 4.02. <U>Issuance of Senior Debt</a>.</u></h2>

<p><font size="3" face="Times New Roman">&nbsp; &nbsp; At any time prior to December 19, 2006, the Company shall not create, incur, issue, assume, guarantee or in any manner become directly or indirectly liable, contingently or otherwise with respect to
(collectively, to "incur"), any Senior Indebtedness other than the principal of, premium (if any), and interest or borrowings made under the Amended and Restated Revolving Credit Agreement, dated as of October 29, 2004, among the Company, Bank One, NA and certain
other parties listed therein, including any amendment, renewal, extension, expansion, increase, refunding, refinancing or replacement of such agreement, whether with the same or different lenders.</font></p>

<h2><a name="_Toc90448364">SECTION 4.03. <U>SEC Reports</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Within fifteen (15) days after the Company files with the SEC copies of its annual reports and other information, documents and reports (or copies of such portions of any of the foregoing as the SEC may by rules and
regulations prescribe) which it is required to file with the SEC pursuant to Section 13 or 15(d) of the Securities Exchange Act of 1934, the Company shall file the same with the Trustee.&nbsp; The Company also shall comply with the other provisions of TIA Sec.
314(a).</font></p>

<h2><a name="_Toc90448365">SECTION 4.04. <U>Compliance Certificate</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Company shall deliver to the Trustee within one hundred twenty (120) days after the end of each fiscal year of the Company (which on the date hereof is May 31) an Officers&rsquo; Certificate stating whether or not
the signers know of any Default by the Company in performing any of its obligations under this Indenture.&nbsp; If they do know of such a Default, the certificate shall describe the Default.</font></p>

<a name="_Toc70489304"></a><a name="_Toc67480437"></a><a name="_Toc67480188"></a><a name="_Toc67452829"><br />
<br /><h1>ARTICAL FIVE</h1>
<br />
</a><a name="_Toc90448366"><H2>INTENTIONALLY LEFT BLANK</a></h2>

<a name="_Toc70489305"></a><a name="_Toc67480438"></a><a name="_Toc67480189"></a><a name="_Toc67452830"><br />
<br /><h1>ARTICAL SIX</h1>
<br />
</a><a name="_Toc90448367"><H2>DEFAULTS AND REMEDIES</a></h2>

<h2><a name="_Toc90448368">SECTION 6.01. <U>Events of Default</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; An "Event of Default" occurs if:</font></p>

<p>(1) the Company defaults in the payment of interest on any Security when the same becomes due and payable and the default continues for a period of thirty (30) days whether or not such payment shall be prohibited by the provisions of Article Eleven;</p>

<p>(2) the Company defaults in the payment of principal of any Security when the same becomes due and payable at maturity, upon redemption or repurchase, in each case pursuant to Article Three, by an acceleration or otherwise whether or not such payment shall be
prohibited by the provisions of Article Eleven;</p>

<p>(3) the Company fails to convert the Securities into Common Stock upon the exercise of a Holder&rsquo;s rights pursuant to Article Ten, unless such failure is cured within five (5) days after written notice of default is given to the Company by the
Trustee or the Holder of such Security;</p>



<p>(4) the Company fails to repurchase the Securities at the option of a Holder upon a Change of Control pursuant to Section 3.07;</p>



<p>(5) the Company fails to provide notice of the occurrence of a Change of Control on a timely basis as required by Section 3.07;</p>



<p>(6) the Company fails to redeem the Securities after it has exercised its option to redeem;</p>

<p>(7) the Company fails to comply with any of its other agreements in the Securities or this Indenture and the default continues for the period and after the notice specified below;</p>

<p>(8) the happening of an event of default as defined in any mortgage, indenture or instrument under which there may be issued or by which there may be secured or evidenced any Indebtedness of the Company or any Subsidiary, whether such Indebtedness now exists or shall
hereafter be created, which event of default shall have caused in any one case or in the aggregate in excess of ten million dollars ($10,000,000) aggregate principal amount of such Indebtedness to become due and payable prior to the date on which it would otherwise
have become due and payable, without such acceleration being rescinded, annulled or otherwise cured within the period and after the notice specified below;</p>

<p>(9) the Company or any Subsidiary pursuant to or within the meaning of any Bankruptcy Law:</p>

<p>(A) commences a voluntary case,</p>

<p>(B) consents to the entry of an order for relief against it in an involuntary case,</p>

<p>(C) consents to the appointment of a Receiver of it or for all or substantially all of its property, or</p>

<p>(D) makes a general assignment for the benefit of its creditors; or</p>

<p>(10) a court of competent jurisdiction enters an order or decree under any Bankruptcy Law that:</p>

<p>(E) is for relief against the Company or any Subsidiary in an involuntary case,</p>

<p>(F) appoints a Receiver of the Company or any Subsidiary or for all or substantially all of its property, or</p>

<p>(G) orders the liquidation of the Company or any Subsidiary, and the order or decree remains unstayed and in effect for ninety (90) days.</p>

<p><font size="3" face="Times New Roman">The term "Bankruptcy Law" means Title 11, U.S. Code or any similar Federal or State law for the relief of debtors.&nbsp; The term "Receiver" means any receiver, Trustee, assignee, liquidator or similar official under any
Bankruptcy Law.</font></p>

<p><font size="3" face="Times New Roman">A default under clause (7) or (8) is not an Event of Default until the Trustee or the Holders of at least 25% in principal amount of the outstanding Securities notify the Company of the default and the Company does not cure
the default within thirty (30) days after receipt of the notice.&nbsp; The notice must specify the default, demand that it be remedied and state that the notice is a "Notice of Default".&nbsp; If the Holders of 25% in principal amount of the outstanding Securities
request the Trustee to give such notice on their behalf, the Trustee shall do so.</font></p>

<h2><a name="_Toc90448369">SECTION 6.02. <U>Acceleration</U> </a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; If an Event of Default (other than an Event of Default specified in Section 6.01(9) or 6.01(10)), occurs and is continuing, unless the principal of all of the Securities shall have already become due and payable, the
Trustee by notice to the Company, or the Holders of at least 25% in principal amount of the outstanding Securities by notice to the Company and the Trustee, may declare the principal of and all accrued interest on all the Securities to be due and payable
immediately.&nbsp; Upon such declaration such principal and interest shall be due and payable immediately. <a name="_DV_C699">&nbsp; If an Event of Default specified in Section 6.01(9) or 6.01(10) occurs, the principal of all the Securities and the interest accrued
thereon shall be immediately and automatically due and payable without necessity of further action.&nbsp; This&nbsp;provision, however, is subject to the conditions that if, at any time after the principal of the Securities shall have been so declared due and
payable, and before any judgment or decree for the payment of the monies due shall have been obtained or entered as hereinafter provided, the Company shall pay or shall deposit with the Trustee a sum sufficient to pay all matured installments of interest upon all
Securities and the principal of any and all Securities which shall have become due otherwise than by acceleration (with Interest on overdue installments of Interest to the extent that payment of such Interest is enforceable under applicable law and on such principal
at the rate borne by the Securities, to the date of such payment or deposit) and amounts due to the Trustee pursuant to Section 7.07, and if any and all defaults under this Indenture, other than the</a><a name="_DV_X713"></a><a name="_DV_C700">nonpayment of
principal</a> <a name="_DV_C701">of and accrued Interest on Securities which shall have become due by acceleration, shall</a><a name="_DV_X711"></a><a name="_DV_C702">have been cured or waived</a> <a name="_DV_C703">pursuant to Section 6.04, then and in every case
the</a><a name="_DV_M473"></a> Holders of a majority in <a name="_DV_C704">aggregate</a> <a name="_DV_M474"></a>principal amount of the <a name="_DV_C705">then</a> <a name="_DV_M475"></a>outstanding <a name="_DV_C706">Securities</a><a name="_DV_C707">,</a><a name=
"_DV_M476"></a> by <a name="_DV_C708">written</a><a name="_DV_M477"></a> notice to the <a name="_DV_C709">Company and to the</a> <a name="_DV_M478"></a>Trustee<a name="_DV_C710">,</a> <a name="_DV_C715">may waive all default or Events of Default and rescind and annul
such declaration and its consequences; but no such waiver or rescission and annulment shall extend to or shall affect any subsequent default or Event of Default, or shall impair any right consequent thereon.&nbsp; The Company shall notify in writing a Responsible
Officer of the Trustee, promptly upon become aware thereof, of any Event of Default.</a></font></p>

<p><a name="_DV_C716"><font size="3" face="Times New Roman">In case the Trustee shall have proceeded to enforce any right under this Indenture and such proceedings shall have been discontinued or abandoned because of such waiver or rescission and annulment or for any
other reason or shall have been determined adversely to the Trustee, then and in every such case the Company, the Holders of Securities, and the Trustee shall be restored respectively to their several positions and rights hereunder, and all rights, remedies and
powers of the Company, the Holders of Securities, and the Trustee shall continue as though no such proceeding had been taken</font></a><a name="_DV_M480"></a>.</p>

<h2><a name="_Toc90448370">SECTION 6.03. <U>Other Remedies</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; If an Event of Default occurs and is continuing, the Trustee may pursue any available remedy by proceeding at law or in equity to collect the payment of principal of or interest on the Securities or to enforce the
performance of any provision of the Securities or this Indenture.</font></p>

<p><font size="3" face="Times New Roman">The Trustee may maintain a proceeding even if it does not possess any of the Securities or does not produce any of them in the proceeding.&nbsp; A delay or omission by the Trustee or any Securityholder in exercising any right
or remedy accruing upon an Event of Default shall not impair the right or remedy or constitute a waiver of or acquiescence in the Event of Default.&nbsp; No remedy is exclusive of any other remedy.&nbsp; All available remedies are cumulative.</font></p>

<h2><a name="_Toc90448371">SECTION 6.04. <U>Waiver of Past Defaults</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Subject to Section 9.02, the Holders of a majority in principal amount of the outstanding Securities by notice to the Trustee may waive a past Default and its consequences.&nbsp; When a default is waived, it is
cured.</font></p>

<h2><a name="_Toc90448372">SECTION 6.05. <U>Control by Majority</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Holders of a majority in principal amount of outstanding Securities may direct the time, method and place of conducting any proceeding for any remedy available to the Trustee or exercising any trust or power
conferred on the Trustee; provided, however:</font></p>

<p>(1) such direction shall not be in conflict with any rule of law or with this Indenture,</p>

<p>(2) the Trustee shall not determine that the action so directed would be unjustly prejudicial to the rights of any Holder not taking part in such direction, and</p>

<p>(3) the Trustee shall have the right to decline to follow any such direction if the Trustee, being advised by counsel, determines that the action so directed may not lawfully be taken or if the Trustee in good faith shall, by a Responsible Officer, determine that the
proceedings so directed would involve it in personal liability or be unduly prejudicial to the Holders not taking part in such direction, and</p>

<p>(4) the Trustee may take any other action deemed proper by the Trustee which is not inconsistent with such direction.</p>

<h2><a name="_Toc90448373">SECTION 6.06. <U>Limitation on Suits</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; A Securityholder may not pursue any remedy with respect to this Indenture or the Securities unless:</font></p>

<p>(1) the Holder gives to the Trustee written notice of continuing Event of Default;</p>

<p>(2) the Holders of at least 25% in principal amount of the outstanding Securities make a written request to the Trustee to pursue the remedy;</p>

<p>(3) such Holder or Holders offer to the Trustee indemnity satisfactory to the Trustee against any loss, liability or expense;</p>

<p>(4) the Trustee does not comply with the request within 60 days after receipt of the request and the offer of indemnity; and</p>

<p>(5) during such sixty (60) day period the Holders of a majority in principal amount of the Securities do not give the Trustee a direction inconsistent with such request.</p>

<p><font size="3" face="Times New Roman">A Securityholder may not use this Indenture to prejudice the rights of another Securityholder or to obtain a preference or priority over another Securityholder.</font></p>

<h2><a name="_Toc90448374">SECTION 6.07. <U>Rights of Holders to Receive Payment</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Subject to Article Eleven and notwithstanding any other provision of this Indenture, the right of any Holder of a Security to receive payment of principal of, premium, if any, and interest on the Security, on or after
the respective due dates expressed in the Security, or to bring suit for the enforcement of any such payment on or after such respective dates, shall not be impaired or affected without the consent of the Holder.</font></p>

<h2><a name="_Toc90448375">SECTION 6.08. <U>Collection Suit by Trustee</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; If an Event of Default in payment of interest or principal specified in Section 6.01(1) or (2) occurs and is continuing, the Trustee may recover judgment in its own name and as trustee of an express trust against the
Company for the whole amount of principal and interest remaining unpaid.</font></p>

<h2><a name="_Toc90448376">SECTION 6.09. <U>Trustee May File Proofs of Claim</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Trustee may file such proofs of claim and other papers or documents as may be necessary or advisable in order to have the claims of the Trustee and the Securityholders allowed in any judicial proceedings relative
to the Company, its creditors or its property.&nbsp; Nothing herein contained shall be deemed to authorize the Trustee to authorize or consent to or accept or adopt on behalf of any Securityholder any plan of reorganization, arrangement, adjustment or composition
affecting the Securities or the rights of any holder thereof, or to authorize the Trustee to vote in respect of the claim of any Securityholder in any such proceedings.</font></p>

<h2><a name="_Toc90448377">SECTION 6.10. <U>Priorities</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; If the Trustee collects any money pursuant to this Article, it shall pay out the money in the following order:</font></p>

<p><font size="3" face="Times New Roman">First: to the Trustee for amounts due under Section 7.07;</font></p>

<p><font size="3" face="Times New Roman">Second: to holders of Senior Indebtedness to the extent required by Article Eleven;</font></p>

<p><font size="3" face="Times New Roman">Third: to Securityholders for amounts due and unpaid on the Securities for principal and interest, ratably, without preference or priority of any kind, according to the amounts due and payable on the Securities for principal
and interest, respectively; and</font></p>

<p><font size="3" face="Times New Roman">Fourth: to the Company.</font></p>

<p><font size="3" face="Times New Roman">The Trustee may fix a record date and payment date for any payment to Securityholders pursuant to this Section 6.10.</font></p>

<h2><a name="_Toc90448378">SECTION 6.11. <U>Undertaking for Costs</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; In any suit for the enforcement of any right or remedy under this Indenture or in any suit against the Trustee for any action taken or omitted by it as Trustee, a court in its discretion may require the filing by any
party litigant in the suit of an undertaking to pay the costs of the suit, and the court in its discretion may assess reasonable costs, including reasonable attorneys&rsquo; fees, against party litigant in the suit, having due regard to the merits and good faith of
the claims or defenses made by the party litigant. &nbsp; This Section 6.11 does not apply to a suit by the Trustee, a suit by a Holder pursuant to Section 6.07 or a suit by Holders of more than 10% in principal amount of the outstanding Securities.</font></p>

<h2><a name="_Toc90448379">SECTION 6.12. <U>Actions of a Holder</u></a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; For the purpose of providing any consent, waiver or instruction to the Company or the Trustee, a "Holder" or "Securityholder" shall include a Person who provides to the Company or the Trustee, as the case may be, an
affidavit of beneficial ownership of a Security together with a satisfactory indemnity against any loss, liability or expense to such party to the extent that it acts upon such affidavit of beneficial ownership (including any consent, waiver or instructions given by
a Person providing such affidavit and indemnity).</font></p>

<a name="_Toc67480451"></a><a name="_Toc67480202"></a><a name="_Toc67452843"><br />
<br /><h1>ARTICLE SEVEN</H1>
<br />
</a><a name="_Toc70489318"></a><a name="_Toc90448380"><h2>TRUSTEE</a></h2>

<h2><a name="_Toc90448381">SECTION 7.01. Duties of Trustee.</a></h2>


<p>(a)If an Event of Default has occurred and is continuing, the Trustee shall exercise such of the rights and powers vested in it by this Indenture and use the same degree of care and skill in their exercise as a prudent person would exercise or use under the
circumstances in the conduct of his or her own affairs.</p>

<p>(b)Except during the continuance of an Event of Default:</p>

<p>(i)The Trustee need perform only those duties that are specifically set forth in this Indenture and no others.</p>

<p>(ii)In the absence of bad faith on its part, the Trustee may conclusively rely, as to the truth of the statements and the correctness of the opinions expressed therein, upon certificates or opinions furnished to the Trustee and conforming to the requirements of this
Indenture.&nbsp; The Trustee, however, shall examine the certificates and opinions submitted in accordance with Section 12.04 to determine whether or not they conform to the requirements of this Indenture.</p>

<p>(c)The Trustee may not be relieved from liability for its own negligent action, its own negligent failure to act or its own willful misconduct, except that:</p>

<p>(i)this paragraph does not limit the effect of paragraph (b) of this Section 7.01.</p>

<p>(ii)the Trustee shall not be liable for any error of judgment made in good faith by a Responsible Officer, unless it is proved that the Trustee was negligent in ascertaining the pertinent facts.</p>

<p>(iii)the Trustee shall not be liable with respect to any action it takes or omits to take in good faith in accordance with a direction received by it pursuant to Section 6.05.</p>

<p>(d)Every provision of this Indenture that in any way relates to the Trustee is subject to paragraphs (a), (b) and(c) of this Section 7.01.</p>

<p>(e)The Trustee may refuse to perform any duty or exercise any right or power unless it receives indemnity satisfactory to it against any loss, liability or expense.</p>

<p>(f)The Trustee shall not be liable for interest on any money received by it except as the Trustee may agree with the Company.</p>

<p>(g)Money held in trust by the Trustee need not be segregated from other funds except to the extent required by law.</p>



<h2>SECTION 7.02. Rights of Trustee</h2>

<P>(a) The Trustee may rely on any document believed by it to be genuine and to have been signed or presented by the proper person.&nbsp; The Trustee need not investigate any fact or matter stated in the document.</P>

<P>(b) Before the Trustee acts or refrains from acting, it may require an Officers&rsquo; Certificate or an Opinion of Counsel.&nbsp; The Trustee shall not be liable for any action it takes or omits to take in good faith in reliance on the certificate or opinion.</P>

<P>(c) The Trustee may act through agents and shall not be responsible for the misconduct or negligence of any agent appointed with due care.</P>

<P>(d) The Trustee shall not be liable for any action it takes or omits to take in good faith which it believes to be authorized or within its rights or powers.</P>

<h2><a name="_Toc90448383">SECTION 7.03. Individual Rights of Trustee</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Trustee in its individual or any other capacity may become the owner or pledgee of Securities and may otherwise deal with the Company or its affiliates with the same rights it would have if it were not
Trustee.&nbsp; Any Agent may do the same with like rights.&nbsp; The Trustee, however, must comply with Sections 7.10 and 7.11.</font></p>

<h2><a name="_Toc90448384">SECTION 7.04. Trustee&rsquo;s Disclaimer</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Trustee makes no representation as to the validity or adequacy of this Indenture or the Securities; it shall not be accountable for the Company&rsquo;s use of the proceeds from the Securities; and it shall not be
responsible for any statement in the Securities other than its certificate of authentication.</font></p>

<h2><a name="_Toc90448385">SECTION 7.05. Notice of Defaults</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; If a Default occurs and is continuing and if it is known to the Trustee, the Trustee shall mail to each Securityholder notice of the Default within ninety (90) days after it occurs.&nbsp; Except in the case of a
Default in payment of principal of, premium, if any, or interest on any Security, the Trustee may withhold the notice if and so long as the board of directors of the Trustee, the executive or any trust committee of such board and/or responsible officers of the
Trustee in good faith determine(s) that withholding the notice is in the interests of Securityholders.</font></p>

<h2><a name="_Toc90448386">SECTION 7.06. Reports by Trustee to Holders</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Within sixty (60) days after each May 15 beginning with May 15, 2005, the Trustee shall mail to each Securityholder a brief report dated as of such May 15 that complies with TIA Sec. 313(a).&nbsp; The Trustee also
shall comply with TIA Sec. 313(b)(2) and TIA Sec. 313(d).</font></p>

<p><font size="3" face="Times New Roman">A copy of each report at the time of its mailing to Securityholders shall be filed by the Company with the SEC and each stock exchange on which the Securities are listed.&nbsp; The Company shall notify the Trustee when the
Securities are listed on any stock exchange.</font></p>

<h2><a name="_Toc90448387">SECTION 7.07. Compensation and Indemnity</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Company shall pay to the Trustee from time to time reasonable compensation for its services.&nbsp; The Trustee&rsquo;s compensation hereunder shall not be limited by any law on compensation relating to the Trustee
of an express trust.&nbsp; The Company shall reimburse the Trustee upon request for all reasonable out-of-pocket expenses incurred by it.&nbsp; Such expenses shall include the reasonable compensation and expenses of the Trustee&rsquo;s agents and counsel.&nbsp; The
Company shall indemnify the Trustee against any loss or liability incurred by it in connection with the administration of this trust and its duties hereunder.&nbsp; The Trustee shall notify the Company promptly of any claim for which it may seek indemnity.&nbsp; The
Company need not reimburse any expense or indemnify against any loss or liability incurred by the Trustee through the Trustee&rsquo;s own negligence, willful misconduct or bad faith.</font></p>

<p><font size="3" face="Times New Roman">To secure the Company&rsquo;s payment obligations in this Section, the Trustee shall have a lien prior to the Securities on all money or property held or collected by the Trustee, except that held in trust to pay principal of
or interest on particular Securities.</font></p>

<p><font size="3" face="Times New Roman">When the Trustee incurs expenses or renders services after an Event of Default specified in Sections 6.01(9) or (10) occurs, the expenses and the compensation for the services are intended to constitute expenses of
administration under any Bankruptcy Law.</font></p>

<h2><a name="_Toc90448388">SECTION 7.08. Replacement of Trustee</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; A resignation or removal of the Trustee and the appointment of a successor Trustee shall become effective only upon the successor Trustee&rsquo;s acceptance of appointment as provided in this Section 7.08.&nbsp; The
Trustee may resign by so notifying the Company.&nbsp; The Holders of a majority in principal amount of the outstanding Securities may remove the Trustee by so notifying the Trustee and the Company and may appoint a successor Trustee with the Company&rsquo;s
consent.&nbsp; The Company may remove the Trustee if:</font></p>

<p>the Trustee fails to comply with Section 7.10;</p>

<p>the Trustee is adjudged bankrupt or insolvent;</p>

<p>a receiver or other public officer takes charge of the Trustee or its property; or</p>

<p>the Trustee becomes incapable of acting.</p>

<p><font size="3" face="Times New Roman">If the Trustee resigns or is removed or if a vacancy exists in the office of Trustee for any reason, the Company shall promptly appoint a successor Trustee.</font></p>

<p><font size="3" face="Times New Roman">A successor Trustee shall deliver a written acceptance of its appointment to the retiring Trustee and to the Company.&nbsp; Immediately after that, the retiring Trustee shall transfer all property held by it as Trustee to the
successor Trustee (subject to the lien provided for in Section 7.07), the resignation or removal of the retiring Trustee shall become effective, and the successor Trustee shall have all the rights, powers and duties of the Trustee under this Indenture.&nbsp; A
successor Trustee shall mail notice of its succession to each Securityholder.</font></p>

<p><font size="3" face="Times New Roman">If a successor Trustee does not take office within sixty (60) days after the retiring Trustee resigns or is removed, the retiring Trustee, the Company or the Holders of a majority in principal amount of the outstanding
Securities may petition any court of competent jurisdiction for the appointment of a successor Trustee.</font></p>

<p><font size="3" face="Times New Roman">If the Trustee fails to comply with Section 7.10, any Securityholder may petition any court of competent jurisdiction for the removal of the Trustee and the appointment of a successor Trustee.</font></p>

<h2><a name="_Toc90448389">SECTION 7.09. Successor Trustee by Merger, etc.</a></h2>

<p><font size="3" face="Times New Roman">&nbsp; If the Trustee consolidates with, merges or converts into or transfers all or substantially all of its corporate trust business to, another corporation, the successor corporation without any further act shall be the
successor Trustee.</font></p>

<h2><a name="_Toc90448390">SECTION 7.10. Eligibility; Disqualification</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; This Indenture shall always have a Trustee who satisfies the requirements of TIA Sec. 310(a)(1) and (2).&nbsp; The Trustee shall have a combined capital and surplus of at least $50,000,000 as set forth in its most
recent published annual report of condition.&nbsp; The Trustee shall comply with TIA Sec. 310(b), including the optional provision permitted by the second sentence of TIA Sec. 310(b)(9).</font></p>

<h2><a name="_Toc90448391">SECTION 7.11. Preferential Collection of Claims Against Company</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Trustee shall comply with TIA Sec. 311(a) and (b), excluding any creditor relationship arising as provided in TIA Sec. 311(b).&nbsp; A Trustee who has resigned or been removed shall be subject to TIA Sec. 311(a) to
the extent indicated.</font></p>

<a name="_Toc70489330"></a><a name="_Toc67480463"></a><a name="_Toc67480214"></a><a name="_Toc67452855"><br />
<br /><H1>ARTICAL EIGHT</H1>
<BR />
</a><a name="_Toc90448392"><H2>DISCHARGE OF INDENTURE</a></h2>

<h2><a name="_Toc90448393">SECTION 8.01. Termination of Company&rsquo;s Obligations</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Company may terminate all of its obligations under the Securities and this Indenture if all Securities previously authenticated and delivered (other than destroyed, lost or stolen Securities which have been
replaced or paid) have been delivered to the Trustee for cancellation or if:</font></p>

<p>(1) the Securities mature within six (6) months or all of them are to be called for redemption within six (6) months under arrangements satisfactory to the Trustee or giving the notice of redemption; and</p>

<p>(2) the Company irrevocably deposits in trust with the Trustee money sufficient to pay principal of, premium, if any, and interest on the outstanding Securities to maturity or redemption, as the case may be.&nbsp; The Company may make the deposit only if Article
Eleven permits it.&nbsp; Immediately after making the deposit, the Company shall give notice of such event and the proposed date of payment to each Securityholder.</p>

<p><font size="3" face="Times New Roman">The Company&rsquo;s obligations in paragraph 12 of the Securities and in Sections 2.04, 2.05, 2.06, 2.07, 2.08, 4.01, 7.07 and 7.08 and in Article Ten, however, shall survive until the Securities are no longer
outstanding.&nbsp; Thereafter, the Company&rsquo;s obligations in such paragraph&nbsp;12 and in Section 7.07 shall survive.</font></p>

<p><font size="3" face="Times New Roman">After a deposit, the Trustee upon request shall acknowledge in writing the discharge of the Company&rsquo;s obligations under the Securities and this Indenture except for those surviving obligations specified above.</font></p>

<h2><a name="_Toc90448394">SECTION 8.02. Application of Trust Money</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Trustee shall hold in trust money deposited with it pursuant to Section 8.01.&nbsp; It shall apply the deposited money through the Paying Agent and in accordance with this Indenture to the payment of principal of
and interest on the Securities.&nbsp; Money so held in trust is not subject to the subordination provisions of Article Eleven.</font></p>

<h2><a name="_Toc90448395">SECTION 8.03. Repayment to Company</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Trustee and the Paying Agent shall promptly pay to the Company upon request any excess money or securities held by them at any time.&nbsp; The Trustee and the Paying Agent shall pay to the Company upon request any
money held by them for the payment of principal or interest that remains unclaimed for two years.&nbsp; After payment to the Company, Securityholders entitled to the money must look to the Company for payment as general creditors unless applicable abandoned property
law designates another person.</font></p>

<h1><a name="_Toc70489334"></a><a name="_Toc67480467"></a><a name="_Toc67480218"></a><a name="_Toc67452859"><br />
<br /><br /><H1>ARTICAL NINE</H1>
<BR />
</a><a name="_Toc90448396"><H2>AMENDMENTS, SUPPLEMENTS AND WAIVERS</a></h2>

<h2><a name="_Toc90448397">SECTION 9.01. Without Consent of Holders</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Company with the consent of the Trustee may amend or supplement this Indenture or the Securities without notice to or consent of any Securityholders:</font></p>

<p>(1) to cure any ambiguity, omission, defect or inconsistency;</p>

<p>(2) to provide for uncertificated Securities in addition to certificated Securities;</p>

<p>(3) to add to the covenants of the Company for the benefit of the Securityholders;</p>

<p>(4) to surrender any right or power herein conferred upon the Company;</p>

<p>(5) to make provision with respect to conversion rights of Securityholders pursuant to Section 10.16 hereof;</p>

<p>(6) to make provision with respect to the issuance of additional Securities pursuant to Section 2.04 hereof;</p>

<p>(7) to reduce the conversion price, subject to compliance with applicable Nasdaq Marketplace Rules; provided, that such reduction in the conversion price shall not adversely affect the interest of the Securityholders (after taking into account tax and other
consequences of such reduction) in any material respect;</p>

<p>(8) to comply with the requirements of the SEC in order to effect or maintain the qualification of this Indenture under the TIA;</p>

<p>(9) to make any changes or modifications to this Indenture necessary or appropriate in connection with the registration of any Securities under the Securities Act of 1933, as amended, as contemplated in the Registration Rights Agreement, provided that such action
pursuant to this clause (9) does not adversely affect the interests of the Securityholders in any material respect; or</p>

<p>(10) to add or modify any other provisions with respect to matters or questions arising under this Indenture which the Company and the Trustee may deem necessary or desirable and which shall not be inconsistent with the provisions of this Indenture, provided that such
action pursuant to this clause (10) does not adversely affect the interests of the Securityholders in any material respect.</p>

<h2><a name="_Toc90448398">SECTION 9.02. With Consent of Holders</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Company, with the consent of the Trustee, may amend or supplement this Indenture or the Securities without notice to any Securityholder but with the written consent of the Holders of at least a majority in
principal amount of the outstanding Securities.&nbsp; The Holders of a majority in principal amount of the outstanding Securities may waive compliance by the Company with any provision of this Indenture or the Securities without notice to any Securityholder.&nbsp;
Without the consent of each Securityholder affected, however, an amendment, supplement or waiver, including a waiver pursuant to Section 6.04, may not:</font></p>

<p>(1) reduce the amount of Securities whose Holders must consent to an amendment, supplement or waiver:</p>

<p>(2) reduce the rate of or extend the time for payment of interest on any Security</p>

<p>(3) reduce the principal of or extend the fixed maturity of any Security;</p>

<p>(4) waive a default in the payment of the principal of, premium, if any, or interest on any Security; or</p>

<p>(5) adversely affect the right to convert any Security into Common Stock.</p>

<p><font size="3" face="Times New Roman">After an amendment under this Section 9.02 becomes effective, the Company shall mail to the Holders a notice briefly describing the amendment.</font></p>

<p><font size="3" face="Times New Roman">It shall not be necessary for the consent of the Holders under this Section 9.02 to approve the particular form of any proposed supplement, but it shall be sufficient if such consent approves the substance thereof.</font></p>

<h2><a name="_Toc90448399">SECTION 9.03. Compliance with Trust Indenture Act</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Every amendment to or supplement of this Indenture or the Securities shall comply with the TIA as then in effect.</font></p>

<h2><a name="_Toc90448400">SECTION 9.04. Revocation and Effect of Consents</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; A consent to an amendment or a waiver by a Holder of a Security shall bind the Holder and every subsequent Holder of that Security or portion of the Security that evidences the same debt as the consenting
Holder&rsquo;s Security, even if notation of the consent or waiver is not made on the Security.&nbsp; However, any such Holder or subsequent Holder may revoke the consent or waiver as to such Holder&rsquo;s Security or portion of the Security if the Trustee receives
the notice of revocation before the date the amendment or waiver becomes effective.&nbsp; After an amendment or waiver becomes effective, it shall bind every Securityholder.</font></p>

<p><font size="3" face="Times New Roman">The Company may, but shall not be obligated to, fix a record date for the purpose of determining the Securityholders entitled to give their consent or take any other action described above or required or permitted to be taken
pursuant to this Indenture.&nbsp; If a record date is fixed, then notwithstanding the immediately preceding paragraph, those Persons who were Securityholders at such record date (or their duly designated proxies), and only those Persons, shall be entitled to give
such consent or to revoke any consent previously given or take any such action, whether or not such Persons continue to be Holders after such record date.&nbsp; No such consent shall be valid or effective for more than one hundred twenty (120) days after such record
date.</font></p>

<h2><a name="_Toc90448401">SECTION 9.05. Notation on or Exchange of Securities</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; If an amendment, supplement or waiver changes the terms of a Security, the Trustee may require the Holder of the Security to deliver it to the Trustee.&nbsp; The Trustee may place an appropriate notation on the
Security about the changed terms and return it to the Holder.&nbsp; Alternatively, if the Company or the Trustee so determines, the Company in exchange for the Security shall issue and the Trustee shall authenticate a new Security that reflects the changed
terms.</font></p>

<h2><a name="_Toc90448402">SECTION 9.06. Trustee to Sign Amendments, etc.</a></h2>

<p><font size="3" face="Times New Roman">&nbsp; The Trustee shall sign any amendment, supplement or waiver authorized pursuant to this Article if the amendment, supplement or waiver does not adversely affect the rights of the Trustee.&nbsp; If it does, the Trustee
may but need not sign it.&nbsp; The Company may not sign an amendment or supplement until the Board of Directors approves it.</font></p>

<a name="_Toc70489341"></a><a name="_Toc67480474"></a><a name="_Toc67480225"></a><a name="_Toc67452866"><br />
<br /><h1>ARTICLE TEN</H1>

</a><a name="_Toc90448403"><H2>CONVERSION</a></h2>

<h2><a name="_Toc90448404">SECTION 10.01. Conversion Privilege</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; A Holder may convert a Security into Common Shares at any time, subject to the prior redemption provisions of Article Three.&nbsp; A Holder may convert a portion of a Security if the portion is $1,000 or an integral
multiple of $1,000.&nbsp; Provisions of this Indenture that apply to conversion of all of a Security also apply to conversion of a portion of it.&nbsp; To convert a Security a Holder must satisfy the requirements in paragraph 8 of the Securities.&nbsp; The date on
which the Holder satisfies all those requirements is the conversion date.&nbsp;</font></p>

<h2><a name="_Toc90448405">SECTION 10.02. Automatic Conversion</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; (a)&nbsp; The Company may elect to automatically convert the Securities (an "Automatic Conversion") at any time on or after December 19, 2006 and prior to maturity if the Last Reported Sale Price of the Common Stock
has been at least 125% of the conversion price for at least twenty (20) trading days during any thirty (30) trading day period, ending within five trading days prior to the date of the Automatic Conversion Notice (as defined below); provided, however, that, the
Company may only automatically convert the Securities if, in accordance with the terms of the Registration Rights Agreement, a registration statement registering the resale of such Securities as are Restricted Securities and Common Stock issuable upon conversion of
the Restricted Securities is declared effective under the Securities Act prior to the date of the Automatic Conversion Notice and such registration statement remains effective on the date selected for Automatic Conversion (the "Automatic Conversion Date") or the
Securities are otherwise not Restricted Securities on the Automatic Conversion Date.</font></p>

<p><font size="3" face="Times New Roman">(b)&nbsp; Unless the Company shall have theretofore called for redemption all of the outstanding Securities, the Company shall give to all Holders notice (the "Automatic Conversion Notice") of the Automatic Conversion not more
than thirty (30) days but not less than twenty (20) days prior to the Automatic Conversion Date.&nbsp; The Company shall also deliver a copy of such Automatic Conversion Notice to the Trustee.&nbsp; At the Company's request, the Trustee shall give the Automatic
Conversion Notice in the Company's name and at the Company's expense; provided, however, that the Company makes such request at least three Business Days (unless a shorter period shall be satisfactory to the Trustee) prior to the date by which such Automatic
Conversion Notice must be given to the Holder in accordance with this Section 10.02(b); provided, further, that the text of the Automatic Conversion Notice shall be prepared by the Company.</font></p>

<p><font size="3" face="Times New Roman">(c)&nbsp; Each Automatic Conversion Notice shall state:</font></p>

<p><font size="3" face="Times New Roman">(1)&nbsp; the Automatic Conversion Date,</font></p>

<p><font size="3" face="Times New Roman">(2)&nbsp; the place or places where such Securities are to be surrendered for&nbsp;&nbsp;&nbsp; conversion, and</font></p>

<p><font size="3" face="Times New Roman">(3)&nbsp; the Conversion Price then in effect.</font></p>

<h2><a name="_Toc90448406">SECTION 10.03. Conversion Procedure</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; As soon as practicable after the conversion date, the Company shall deliver to the Holder through the Conversion Agent a certificate for the number of Common Shares issuable upon the conversion and a check for any
fractional share.&nbsp; The person in whose name the certificate is registered becomes a stockholder of record on the conversion date.</font></p>

<p><font size="3" face="Times New Roman">The number of Common Shares issuable upon conversion of a Security is determined as follows:</font></p>

<p><font size="3" face="Times New Roman">Divide the principal amount converted by the conversion price in effect on the conversion &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; date and round the result to the nearest 1/100th of a share.</font></p>

<p><font size="3" face="Times New Roman">The initial conversion price is stated in paragraph 8 of the Securities.&nbsp; The conversion price is subject to adjustment.&nbsp; See Sections 10.07 through 10.13.</font></p>

<p><a name="_DV_C797"><font size="3" face="Times New Roman">No payment or other adjustment shall be made for accrued Interest on a converted Security.&nbsp; If any Securities are converted during any period after any Record Date for the payment of an installment of
Interest but before the next Interest Payment Date, Interest for such Securities will be paid on the next Interest Payment Date, notwithstanding such conversion, to the Holders of such Securities.&nbsp; Any Securities that are, however, delivered to the Company for
conversion after any Record Date but before the next Interest Payment Date must be accompanied by a payment equal to the Interest payable on such Interest Payment Date on the principal amount of Securities being converted; provided that no such payment shall be
required (1) if the Company has specified a Redemption Date that is after a Record Date and before the next Interest Payment Date, (2) if the Company has specified a Change of Control Repurchase Date following a Change of Control that is during such period or (3) to
the extent of any overdue Interest, if any overdue Interest exists at the time of conversion with respect to such Security.</font></a></p>

<p><font size="3" face="Times New Roman">If a Holder converts more than one Security at the same time, the number of full shares issuable upon the conversion shall be based on the total principal amount of the Securities converted.</font></p>

<p><font size="3" face="Times New Roman">Upon surrender of a Security that is converted in part, the Trustee shall authenticate for the Holder a new Security equal in principal amount to the unconverted portion of the Security surrendered.</font></p>

<p><font size="3" face="Times New Roman">If the last day on which a Security may be converted is a Legal Holiday in a place where a Conversion Agent is located, the Security may be surrendered to that Conversion Agent on the next succeeding day that is not a Legal
Holiday.</font></p>

<h2><a name="_Toc90448407">SECTION 10.04. Fractional Shares</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Company will not issue a fractional Common Share upon conversion of a Security.&nbsp; Instead, the Company will deliver its check for the current market value of a fractional share.&nbsp; The current market value
of a fraction of a share is determined as follows:</font></p>

<p><font size="3" face="Times New Roman">Multiply the current market price of a full share by the fraction and round the result to the nearest cent.</font></p>

<p><font size="3" face="Times New Roman">The current market price of a Common Share for the purpose of Section 10.04 is the closing bid price as reported by the National Association of Securities Dealers Automated Quotation National Market System, or if the Common
Shares are listed on an exchange, the last reported sale price on the principal exchange on which the Common Shares are listed, on the last trading day prior to the conversion date.&nbsp; In the absence of one or more such quotations, the Board of Directors shall
determine the current market price on the basis of such quotation as it considers appropriate.</font></p>

<h2><a name="_Toc90448408">SECTION 10.05. Taxes on Conversion</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; If a Holder of a Security converts it, the Company shall pay any documentary, stamp or similar issue or transfer tax due on the issue of Common Shares upon the conversion.&nbsp; The Holder, however, shall pay any such
tax which is due because the shares are issued in a name other than his.</font></p>

<h2><a name="_Toc90448409">SECTION 10.06. Company to Provide Stock</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Company shall reserve out of its authorized but unissued Common Shares or its Common Shares held in treasury enough Common Shares to permit the conversion of the Securities.</font></p>

<p><font size="3" face="Times New Roman">All Common Shares which may be issued upon conversion of the Securities shall be validly issued, fully paid and nonassessable.</font></p>

<p><font size="3" face="Times New Roman">In order that the Company may issue Common Shares upon conversion of the Securities, the Company will endeavor to comply with all applicable Federal and State securities laws and will endeavor to list such Common Shares on
each national securities exchange on which the Common Shares are listed.</font></p>

<h2><a name="_Toc90448410">SECTION 10.07. Adjustment for Change of Capital Stock</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; If the Company</font></p>

<p>pays a dividend in Common Shares to holders of Common Shares;</p>

<p>pays a dividend in cash in an amount per share of Common Stock in excess of $0.16 per year;</p>

<p>subdivides its outstanding Common Shares into a greater number of Common Shares;</p>

<p>combines its outstanding Common Shares into a smaller number of Common Shares;</p>

<p>makes a distribution on its Common Shares in shares of its capital stock other than Common Shares; or</p>

<p>issues by reclassification of its Common Shares any shares of its capital stock.</p>

<p><font size="3" face="Times New Roman">then the conversion privilege and the conversion price in effect immediately prior to such action shall be adjusted so that the Holder of any Security thereafter converted may receive the number of shares of capital stock of
the Company which such Holder would have owned immediately following such action if such Holder had converted the security immediately prior to such action.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">For a dividend or distribution, the adjustment shall become effective immediately after the record date for the dividend or distribution.&nbsp; For a subdivision, combination or reclassification, the adjustment shall become
effective immediately after the effective date of the subdivision, combination or reclassification.</font></p>

<p><font size="3" face="Times New Roman">If after an adjustment a Holder of a Security upon conversion of it may receive shares of two or more classes of capital stock of the Company, the Board of Directors shall determine the allocation of the adjusted conversion
price between or among the classes of capital stock.&nbsp; After such allocation, the conversion prices of the classes of capital stock shall thereafter be subject to adjustment on terms comparable to those applicable to Common Shares in this Indenture.</font></p>

<h2><a name="_Toc90448411">SECTION 10.08. Adjustment for Rights Issue</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; If the Company issues any rights or warrants to all holders of its Common Shares entitling them for a period expiring within 45 days after the record date mentioned below to purchase Common Shares (or securities
convertible into Common Shares) at a price per share (or having a conversion price per share) less than the current market price per share on that record date, the conversion price shall be adjusted in accordance with the formula:</font></p>

<table border="0" cellspacing="0" cellpadding="0">
<tr>
<td colspan="2" valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">O + (N x P)</font></p>
</td>
</tr>

<tr>
<td colspan="2" valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">-----------</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">C&rsquo;=</font></p>
</td>
<td valign="top">
<p><font size="3" face="Times New Roman">C x M</font></p>
</td>
</tr>

<tr>
<td colspan="2" valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">-----------</font></p>
</td>
</tr>

<tr>
<td colspan="2" valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">O+N</font></p>
</td>
</tr>
</table>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">where</font></p>

<p><font size="3" face="Times New Roman">C&rsquo; = the adjusted conversion price.</font></p>

<p><font size="3" face="Times New Roman">C = the then current conversion price.</font></p>

<p><font size="3" face="Times New Roman">O = the number of Common Shares outstanding on the record date.</font></p>

<p><font size="3" face="Times New Roman">N = the number of additional Common Shares offered.</font></p>

<p><font size="3" face="Times New Roman">P = the offering or conversion price per share of the additional shares.</font></p>

<p><font size="3" face="Times New Roman">M = the current market price per Common Share on the record date.&nbsp; See Section 10.11.</font></p>

<p><font size="3" face="Times New Roman">The adjustment shall be made successively whenever any such rights or warrants are issued, and shall become effective immediately after the record date for the determination of stockholders entitled to receive the rights or
warrants.</font></p>

<h2><a name="_Toc90448412">SECTION 10.09. Adjustment for Other Distributions</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; If the Company distributes to all holders of its Common Shares any assets or debt securities or any rights or warrants to purchase securities, the conversion price shall be adjusted in accordance with the
formula:</font></p>

<table border="0" cellspacing="0" cellpadding="0">
<tr>
<td colspan="2" valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">C&nbsp;x&nbsp;(O&nbsp;x&nbsp;M)</font> <font face="Garamond">-</font> F</p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">C&rsquo;=</font></p>
</td>
<td valign="top">
<p><font size="3" face="Times New Roman">-----------</font></p>
</td>
</tr>

<tr>
<td colspan="2" valign="top"></td>
<td valign="top">
<p><font size="3" face="Times New Roman">O x M&nbsp;</font></p>
</td>
</tr>

<tr>
<td colspan="2" valign="top"></td>
<td valign="top"></td>
</tr>
</table>

<p><font size="3" face="Times New Roman">where</font></p>

<p><font size="3" face="Times New Roman">C&rsquo; = the adjusted conversion price.</font></p>

<p><font size="3" face="Times New Roman">C = the then current conversion price.</font></p>

<p><font size="3" face="Times New Roman">O = the number of Common Shares outstanding on the record date mentioned below.</font></p>

<p><font size="3" face="Times New Roman">M = the current market price per Common Share on the record date mentioned below.&nbsp; See&nbsp;Section 10.11.</font></p>

<p><font size="3" face="Times New Roman">F = the fair market value on the record date of the assets, securities, rights or warrants distributed.&nbsp; The Board of Directors shall determine the fair market value.</font></p>

<p><font size="3" face="Times New Roman">The adjustment shall be made successively whenever any such distribution is made, and shall become effective immediately after the record date for the determination of stockholders entitled to receive the
distribution.</font></p>

<p><font size="3" face="Times New Roman">This Section applies to cash dividends or cash distributions if and only to the extent that such cash dividends or cash distributions exceed $0.16 per Common Share per year and no adjustment shall be made to the conversion
price for cash distributions that do not exceed $0.16 per Common Share per year.&nbsp; Also, this Section does not apply to rights or warrants referred to in Section 10.08.</font></p>

<h2><a name="_Toc90448413">SECTION 10.10. Voluntary Adjustment</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Subject to compliance with applicable Nasdaq Marketplace Rules, the Company at any time may reduce the conversion price by any amount but in no event shall such conversion price be less than the par value of the Common
Shares at the time such reduction is made.</font></p>

<h2><a name="_Toc90448414">SECTION 10.11. Current Market Price</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; In Sections 10.08 and 10.09 the current market price per Common Share on any date is the average of the highest reported bid and the lowest reported asked prices at the close of business as reported by the National
Association of Securities Dealers Automated Quotation National Market System, or if the Common Shares are listed on an exchange, the closing sale prices, on the principal exchange on which the Common Shares are listed, for thirty (30) consecutive trading days
commencing forty-five (45) trading days before the date in question.&nbsp; In the absence of one or more such quotations, the Board of Directors shall determine the current market price on the basis of such quotation as it considers appropriate.</font></p>

<h2><a name="_Toc90448415">SECTION 10.12. When Adjustment May Be Deferred</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; No adjustment in the conversion price need be made unless the adjustment would require an increase or decrease of at least $.10 in the conversion price.&nbsp; Any adjustments which are not made shall be carried forward
and taken into account in any subsequent adjustment.</font></p>

<p><font size="3" face="Times New Roman">All calculations under this Article Ten shall be made to the nearest cent or to the nearest 1/100th of a share, as the case may be.</font></p>

<h2><a name="_Toc90448416">SECTION 10.13. When Adjustment Is Not Required</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Unless this Article Ten provides otherwise, no adjustment in the conversion price shall be made because the Company issues, in exchange for cash, property or services, Common Shares, or any securities convertible into
or exchangeable for Common Shares, or securities carrying the right to purchase shares of Common Shares or such convertible or exchangeable securities.</font></p>

<p><font size="3" face="Times New Roman">Furthermore, no adjustment in the conversion price need be made under this Article Ten for (i) sale of Common Shares pursuant to a Company plan providing for reinvestment of dividends or interest or in the event the par value
of the Common Shares is changed; or (ii) conversion of Class B Common Stock.</font></p>

<h2><a name="_Toc90448417">SECTION 10.14. Notice of Adjustment</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Whenever the conversion price is adjusted, the Company shall promptly mail to Securityholders a notice of the adjustment and file with the Trustee an Officers&rsquo; Certificate briefly stating the facts requiring the
adjustment and the manner of computing it.&nbsp; The certificate shall be conclusive evidence that the adjustment is correct absent manifest error.</font></p>

<h2><a name="_Toc90448418">SECTION 10.15. Notice of Certain Transactions</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; If:</font></p>

<p>the Company takes any action which would require an adjustment in the conversion price;</p>

<p>the Company consolidates or merges with, or transfers all or substantially all of its assets to, another corporation, and stockholders of the Company must approve the transaction; or</p>

<p>there is a dissolution or liquidation of the Company,</p>

<p><font size="3" face="Times New Roman">a Holder of a Security may want to convert it into Common Shares prior to the record date for or the effective date of the transaction so that such Holder may receive the rights, warrants, securities or assets which a Holder
of Common Shares on that date may receive.&nbsp; Therefore, the Company shall mail to Securityholders and the Trustee a notice stating the proposed record or effective date, as the case may be.&nbsp; The Company shall mail the notice at least ten (10) days before
such date.&nbsp; Failure to mail the notice or any defect in it shall not affect the validity of any transaction referred to in clause (1), (2) or (3) of this Section 10.15.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<h2><a name="_Toc90448419">SECTION 10.16. Consolidation, Merger or Sale of the Company</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; If the Company is a party to a merger which reclassifies or changes its outstanding Common Shares, the successor corporation (or corporation controlling the successor corporation or the Company, as the case may be)
shall enter into a supplemental indenture.&nbsp; The supplemental indenture shall provide that the Holder of a Security may convert it into the kind and amount of securities or cash or other assets which he would have owned immediately after the consolidation, merger
or transfer if he had converted the Security immediately before the effective date of such transaction.&nbsp; The supplemental indenture shall provide for adjustments which shall be as nearly equivalent as may be practical to the adjustments provided for in this
Article Ten.&nbsp; The successor corporation shall mail to each Securityholder a notice describing the supplemental indenture.</font></p>

<p><font size="3" face="Times New Roman">If this Section applies, Sections 10.07, 10.08 and 10.09 shall not apply.</font></p>

<h2><a name="_Toc90448420">SECTION 10.17. Company Determination Final</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Any determination which the Board of Directors must make pursuant to Sections 10.04, 10.07, 10.09 or 10.11 is conclusive.</font></p>

<h2><a name="_Toc90448421">SECTION 10.18. Trustee&rsquo;s Disclaimer</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Trustee has no duty to determine when an adjustment under this Article Ten should be made, how it should be made or what it should be.&nbsp; The Trustee has no duty to determine whether any provisions of a
supplemental indenture under Section 10.16 are correct.&nbsp; The Trustee makes no representation as to the validity or value of any securities or assets issued upon conversion of Securities.&nbsp; The Trustee shall not be responsible for the Company&rsquo;s failure
to comply with this Article Ten.</font></p>

<a name="_Toc70489359"></a><a name="_Toc67480492"></a><a name="_Toc67480243"></a><a name="_Toc67452884"><br />
<br /><H1>ARTICLE ELEVEN</H1>

</a><a name="_Toc90448422"><H2>SUBORDINATION</a></h2>

<h2><a name="_Toc90448423">SECTION 11.01. Securities Subordinated to Senior Indebtedness</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Company agrees, and each Holder of the Securities by his or her acceptance thereof likewise agrees, that all Securities shall be issued subject to the provisions of this Article Eleven, and each Person holding any
Securities, whether upon original issue or upon registration of transfer, assignment or exchange thereof, accepts and agrees to be bound by such provisions.</font></p>

<p><font size="3" face="Times New Roman">The payment of the principal of, premium, if any, and interest on the Securities (including, but not limited to, the Redemption Price with respect to the Securities called for redemption) issued hereunder is subordinated, to
the extent and in the manner provided in this Article Eleven, to the prior payment in full of all Senior Indebtedness, whether outstanding at the date of this Indenture or thereafter incurred.</font></p>

<p><font size="3" face="Times New Roman">"Senior Indebtedness" means the principal of, premium (if any), and interest or borrowings made (i) under the Amended and Restated Revolving Credit Agreement, dated as of October 29, 2004, among the Company, Bank One, NA and
certain other parties listed therein, including any amendment, renewal, extension or refunding of such agreement, and (ii) on other Indebtedness of the Company outstanding at any time created, other than (A) Indebtedness of the Company to a Subsidiary for money
borrowed or advanced from any such Subsidiary, (B) Indebtedness which by its terms is not superior in right of payment to the Securities, (C) the Company&rsquo;s 7 1/4% Convertible Subordinated Debentures due 2006 issued pursuant to an Indenture dated as of December
15, 1986, between the Company and U.S. Bank, National Association, as successor trustee to Continental Illinois National Bank and Trust Company of Chicago, and the Company&rsquo;s 8 1/4% Convertible Senior Subordinated Debentures due 2006 issued pursuant to an
Indenture dated as of December 16, 1996, between the Company and J.P. Morgan Trust Company, National Association, as successor trustee to American National Bank and Trust Company of Chicago, to which debentures the Securities shall be superior in right of payment and
(D) all other future Indebtedness which by its terms is not superior in right of payment to the Securities.</font></p>

<p><font size="3" face="Times New Roman">"Indebtedness" means:</font></p>

<p>any debt of the Company (i) for borrowed money, capitalized lease obligations or purchase money obligations or (ii) evidenced by a note, debenture, letter of credit or similar instrument given in connection with the acquisition, other than in the ordinary course
of business, of any property or assets;</p>

<p>any debt of others described in the preceding clause which the Company has guaranteed or for which it is otherwise liable; and</p>

<p>any amendment, renewal, extension, expansion, increase, refunding, refinancing or replacement of any such debt.</p>

<p><font size="3" face="Times New Roman">This Article Eleven shall constitute a continuing offer to all persons who, in reliance upon such provisions, become Holders of, or continue to hold, Senior Indebtedness, and such provisions are made for the benefit of the
Holders of Senior Indebtedness, and such Holders are made obligees hereunder and they and/or each of them may enforce such provisions.</font></p>

<p><font size="3" face="Times New Roman">No provision of this Article Eleven shall prevent the occurrence of any default or Event of Default hereunder or have any effect on the rights of the Holders of the Securities or the Trustee to accelerate the maturity of the
Securities.</font></p>

<h2><a name="_Toc90448424">SECTION 11.02. Company Not to Make Payments with Respect to Securities in Certain Circumstances</a></h2>

<p><font size="3" face="Times New Roman">.</font></p>

<h3>Upon the maturity of any Senior Indebtedness by lapse of time, accelerate or otherwise, all principal thereof, premium, if any, thereon, and interest thereon shall first be paid in full, or such payment duly provided for in cash or in a manner satisfactory to the
holders of such Senior Indebtedness, before any payment is made on account of the principal of, premium, if any, or interest on the Securities or to acquire any of the Securities.</h3>

<h3>Upon the happening of any default in payment of the principal of, premium, if any, or interest on any Senior Indebtedness, then, unless and until such default shall have been cured or waived or shall have ceased to exist, no payment shall be made by the Company
with respect to the principal of, premium, if any, or interest on the Securities nor shall any payment be made by the Company to acquire any of the Securities.&nbsp; Nothing in this Article Eleven, however, shall relieve the holders of such Senior Indebtedness or
their representative from any notice requirements set forth in the instrument evidencing such Senior Indebtedness.</h3>

<h3>In the event that notwithstanding the provisions of this Section 11.02 the Company shall make any payment to the Trustee on account of the principal of or interest on the Securities, after the happening of a default in payment of the principal of or interest on
Senior Indebtedness, then, unless and until such default shall have been cured or waived or shall have ceased to exist, such payment (subject to the provisions of Sections 11.06 and 11.07) shall be held by the Trustee, in trust for the benefit of, and shall be paid
forthwith over and delivered to, the holders of Senior Indebtedness (pro rata as to each of such holders on the basis of the respective amounts of Senior Indebtedness held by them) or their representative or the trustee under the indenture or other agreement (if any)
pursuant to which Senior Indebtedness may have been issued, as their respective interest may appear, for application to the payment of all Senior Indebtedness remaining unpaid to the extent necessary to pay all Senior Indebtedness in full in accordance with its
terms, after giving effect to any concurrent payment or distribution to or for the holders of Senior Indebtedness.</h3>

<p><font size="3" face="Times New Roman">The Company shall give prompt written notice to the Trustee of any default in the payment of principal of or interest on any Senior Indebtedness.</font></p>

<h2><a name="_Toc90448425">SECTION 11.03. Securities Subordinated to Prior Payment of All Senior Indebtedness on Dissolution, Liquidation or Reorganization of the Company</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Upon any distribution of assets of the Company in any dissolution, winding up, liquidation or reorganization of the Company (whether in bankruptcy, insolvency or receivership proceedings or upon an assignment for the
benefit of creditors or otherwise):</font></p>

<h3>the holders of all Senior Indebtedness shall first be entitled to receive payment in full of the principal thereof, premium, if any, and interest due thereon before the Holders of the Securities are entitled to receive any payment on account of the principal of
or interest on the Securities;</h3>

<h3>any payment or distribution of assets of the Company of any kind or character, whether in cash, property or securities, to which the Holders of the Securities or the Trustee on behalf of the Holders of the Securities would be entitled except for the provisions of
this Article Eleven, including any such payment or distribution which may be payable or deliverable by reason of the payment of any other Indebtedness of the Company being subordinated to the payment of the Securities, shall be paid by the liquidating trustee or
agent or other person making such payment or distribution directly to the holders of the Senior Indebtedness or their representative, or to the trustee under any indenture under which Senior Indebtedness may have been issued (pro rata as to each such holder,
representative or trustee on the basis of the respective amounts of unpaid Senior Indebtedness held or represented by each), to the extent necessary to make payment in full of all Senior Indebtedness remaining unpaid, after giving effect to any concurrent payment or
distribution or provision therefor to the holders of such Senior Indebtedness, except that Holders of the Securities would be entitled to receive securities that are subordinated to Senior Indebtedness to at least the same extent as the Securities; and</h3>

<h3>in the event that notwithstanding the foregoing provisions of this Section 11.03, any payment or distribution of assets of the Company of any kind or character, whether in cash, property or securities, including any such payment or distribution which may be
payable or deliverable by reason of the payment of any other Indebtedness of the Company being subordinated to the payment of the Securities, shall be received by the Trustee or the Holders of the Securities on account of principal of, premium, if any, or interest on
the Securities before all Senior Indebtedness is paid in full, or effective provision made for its payment, such payment or distribution (subject to the provisions of Sections 11.06 and 11.07) shall be received and held in trust for and shall be paid over to the
holders of the Senior Indebtedness remaining unpaid or unprovided for or their representative, or to the Trustee under any indenture under which such Senior Indebtedness may have been issued (pro rata as provided in subsection (b) above), for application to the
payment of such Senior Indebtedness until all such Senior Indebtedness shall have been paid in full, after giving effect to any concurrent payment or distribution or provision therefor to the holders of such Senior Indebtedness, except that Holders of the Securities
would be entitled to receive securities that are subordinated to Senior Indebtedness to at least the same extent as the Securities.</h3>

<p><font size="3" face="Times New Roman">The Company shall give prompt written notice to the Trustee of any dissolution, winding up, liquidation or reorganization of the Company.</font></p>

<h2><a name="_Toc90448426">SECTION 11.04. Securityholders to be Subrogated to Rights of Holders of Senior Indebtedness</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Subject to the payment in full of all Senior Indebtedness, the Holders of the Securities shall be subrogated equally and ratably to the rights of the holders of the Senior Indebtedness to receive payments or
distributions of assets of the Company applicable to the Senior Indebtedness until all amounts owing on the Securities shall be paid in full, and for the purpose of such subrogation no payments or distributions to the holders of the Senior Indebtedness by or on
behalf of the Company or by or on behalf of the Holders of the Securities by virtue of this Article Eleven which otherwise would have been made to the Holders of the Securities shall, as between the Company, its creditors other than holders of the Senior Indebtedness
and the Holder of the Securities, be deemed to be payment by the Company to or on account of the Senior Indebtedness, it being understood that the provisions of this Article Eleven are intended solely for the purpose of defining the relative rights of the Holders of
the Securities, on the one hand, and the holders of the Senior Indebtedness, on the other hand.<br />
</font></p>

<h2><a name="_Toc90448427">SECTION 11.05. Obligation of the Company Unconditional</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Nothing contained in this Article Eleven or elsewhere in this Indenture or in any Security is intended to or shall impair, as between the Company, its creditors other than holders of Senior Indebtedness and the Holders
of the Securities, the obligation of the Company, which is absolute and unconditional, to pay to Holders of the Securities the principal of, premium, if any, and interest on the Securities as and when the same shall become due and payable in accordance with their
terms, or is intended to or shall affect the relative rights of the Holders of the Securities and creditors of the Company other than the holders of the Senior Indebtedness, nor shall anything herein or therein prevent the Trustee or the Holder of any Security from
exercising all remedies otherwise permitted by applicable law upon default under this Indenture, subject to the rights, if any, under this Article Eleven of the holders of Senior Indebtedness in respect of cash, property or securities of the Company received upon the
exercise of any such remedy.&nbsp; Upon any distribution of assets of the Company referred to in this Article Eleven, the Trustee, subject to the provisions of Section 7.01 and 7.02, and the Holders of the Securities shall be entitled to rely upon any order or decree
made by any court of competent jurisdiction in which such dissolution, winding up, liquidation or reorganization proceedings are pending, or a certificate of the liquidating trustee or agent or other person making any distribution to the Trustee or the Holders of the
Securities, for the purpose of ascertaining the persons entitled to participate in such distribution, the holders of the Senior Indebtedness and other indebtedness of the Company, the amount thereof or payable thereon, the amount or amounts paid or distributed
thereon and all other facts pertinent thereto or to this Article Eleven.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">Nothing contained in this Article Eleven or elsewhere in this Indenture or in any Security is intended to or shall affect the obligation of the Company to make, or prevent the Company from making, at any time except during the
pendency of any dissolution, winding up, liquidation or reorganization proceeding, and except during the continuance of any default specified in Section&nbsp;11.02 (not cured or waived), payments at any time of the principal of or interest on the
Securities.</font></p>

<h2><a name="_Toc90448428">SECTION 11.06. Knowledge of Trustee</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Notwithstanding any provision of this Indenture, the Trustee shall not be charged with knowledge of the existence of any facts which would prohibit the making of any payment of moneys to or by the Trustee, or the
taking of any other action by the Trustee, until two Business Days after the Trustee shall have received written notice thereof from the Company, any Securityholder, any Paying or Conversion Agent or the holder or representative of any class of Senior
Indebtedness.</font></p>

<h2><a name="_Toc90448429">SECTION 11.07. Application by Trustee of Monies Deposited With It</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; If prior to the date on which by the terms of this Indenture any monies deposited with the Trustee or any Paying Agent may become payable for any purpose (including, without limitation, the payment of either the
principal of, premium, if any, or the interest on any Security) the Trustee shall not have received with respect to such monies the notice provided for in Section 11.06, then the Trustee shall have full power and authority to receive such monies and to apply the same
to the purpose for which they were received and shall not be affected by any notice to the contrary which may be received by it on or after such date.&nbsp; This section shall be construed solely for the benefit of the Trustee and Paying Agent and shall not otherwise
affect the rights of Holders of such Indebtedness.</font></p>

<h2><a name="_Toc90448430">SECTION 11.08. Subordination Rights Not Impaired by Acts or Omissions of Company or Holders of Senior Indebtedness</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; No right of any present or future holders of any Senior Indebtedness to enforce subordination as provided herein shall at any time in any way be prejudiced or impaired by any act or failure to act on the part of the
Company or by any act or failure to act, in good faith, by any such holder, or by any noncompliance by the Company with the terms of this Indenture, regardless of any knowledge thereof which any such holder may have or be otherwise charged with.</font></p>

<h2><a name="_Toc90448431">SECTION 11.09. Securityholders Authorize Trustee to Effectuate Subordination of Securities</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Each Holder of the Securities by his or her acceptance thereof authorizes and expressly directs the Trustee on his or her behalf to take such action as may be necessary or appropriate to effectuate the subordination
provided in this Article Eleven and appoints the Trustee his attorney-in-fact for such purpose, including, in the event of any dissolution, winding up, liquidation or reorganization of the Company (whether in bankruptcy, insolvency or receivership proceedings or upon
an assignment for the benefit of creditors or otherwise) tending towards liquidation of the business and assets of the Company, the immediate filing of a claim for the unpaid balance of its or his or her Securities in the form required in said proceedings and cause
said claim to be approved.&nbsp; If the Trustee does not file a proper claim or proof of debt in the form required in such proceeding prior to thirty (30) days before the expiration of the time to file such claim or claims, then the holders of Senior Indebtedness are
hereby authorized to have the right to file and are hereby authorized to file an appropriate claim for and on behalf of the Holders of said Securities.</font></p>

<h2><a name="_Toc90448432">SECTION 11.10. Right of Trustee to Hold Senior Indebtedness</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Trustee shall be entitled to all of the rights set forth in this Article Eleven in respect of any Senior Indebtedness at any time held by it to the same extent as any other holder of Senior Indebtedness, and
nothing in this Indenture shall be construed to deprive the Trustee of any of its rights as such holder.</font></p>

<h2><a name="_Toc90448433">SECTION 11.11. Article Eleven Not to Prevent Events of Default</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The failure to make a payment on account of principal or interest by reason of any provision in this Article Eleven shall not be construed as preventing the occurrence of an Event of Default under Section
6.01.</font></p>

<a name="_Toc70489371"></a><a name="_Toc67480504"></a><a name="_Toc67480255"></a><a name="_Toc67452896"><br />
<br /><H1>ARTICLE TWELVE<H1>
<BR />
</a><a name="_Toc90448434"><H2>MISCELLANEOUS</a></h2>

<h2><a name="_Toc90448435">SECTION 12.01. Trust Indenture Act Controls</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; If any provision of this Indenture limits, qualifies or conflicts with another provision which is required to be included in this Indenture by the TIA, the required provision shall control.</font></p>

<h2><a name="_Toc90448436">SECTION 12.02. Notices</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Any notice or communication shall be sufficiently given if in writing and delivered in person or mailed by first-class mail addressed as follows:</font></p>

<p><font size="3" face="Times New Roman">If to the Company:</font></p>

<table border="0" cellspacing="0" cellpadding="0">
<tr>
<td valign="top"></td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">if to the Company:</font></p>
</td>
<td valign="top"></td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">Richardson Electronics, Ltd.</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">40W267 Keslinger Road</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">LaFox, Illinois&nbsp; 60147-0393</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">Attention:&nbsp; Legal Department</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top"></td>
</tr>

<tr>
<td valign="top"></td>
<td colspan="3" valign="top">
<p><font size="3" face="Times New Roman">if to the Trustee:</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">J.P. Morgan Trust Company, National Association</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">227 West Monroe, 26<sup>th</sup> Floor&nbsp;&nbsp;</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">Chicago, Illinois 60606</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">Attention: Institutional Trust Services&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top"></td>
</tr>

<tr>
<td valign="top"></td>
<td colspan="3" valign="top">
<p><font size="3" face="Times New Roman">with a copy to:</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">J.P. Morgan Trust Company, National Association&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">6525 West Campus Oval, Floor 1&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">New Albany, Ohio 43054&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">Attention: Institutional Trust Services</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top"></td>
</tr>
</table>

<p><font size="3" face="Times New Roman">The Company or the Trustee by notice to the other may designate additional or different addresses for subsequent notices or communications.</font></p>

<p><font size="3" face="Times New Roman">Any notice or communication mailed to a Securityholder shall be mailed to such Securityholder at the address which appears on the registration books of the Registrar and shall be sufficiently given to such Securityholder if so
mailed within the time prescribed.</font></p>

<p><font size="3" face="Times New Roman">Failure to mail a notice or communication to a Securityholder or any defect in it shall not affect its sufficiency with respect to other Securityholders.&nbsp; If a notice or communication is mailed in the manner provided
above, it is duly given, whether or not the addressee receives it.&nbsp; If the Company mails a notice or communication to Securityholders it shall mail a copy of such notice to the Trustee and each Agent at the same time.&nbsp; All other notices or communication
shall be in writing.</font></p>

<h2><a name="_Toc90448437">SECTION 12.03. Communication by Holders with Other Holders</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Securityholders may communicate pursuant to TIA Sec. 312(b) with other Securityholders with respect to their rights under this Indenture or the Securities.&nbsp; The Company, the Trustee, the Registrar and anyone else
shall have the protection of TIA Sec. 312(c).</font></p>

<h2><a name="_Toc90448438">SECTION 12.04. Certificate and Opinion as to Conditions Precedent</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Upon any request or application by the Company to the Trustee to take any action under this Indenture, the Company shall furnish to the Trustee:</font></p>

<p>an Officers&rsquo; Certificate stating that all conditions precedent, if any, provided for in this Indenture relating to the proposed action have been complied with; and</p>

<p>an Opinion of Counsel stating that, in the opinion of such counsel, all such conditions precedent have been complied with.&nbsp; In rendering such opinion, Counsel may rely upon certificates of appropriate officers of the Company.</p>

<h2><a name="_Toc90448439">SECTION 12.05. Statements Required in Certificate or Opinion</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Each certificate or opinion with respect to compliance with a condition or covenant provided for in this Indenture shall include:</font></p>

<p>a statement that the person making such certificate or opinion has read such covenant or condition;</p>

<p>a brief statement as to the nature and scope of the examination or investigation upon which the statements or opinions contained in such certificate or opinion are based;</p>

<p>a statement that, in the opinion of such person, he or she has made such examination or investigation as is necessary to enable him or her to express an informed opinion as to whether or not such covenant or condition has been complied with; and</p>

<p>a statement as to whether or not, in the opinion of such person, such condition or covenant has been complied with.</p>

<h2><a name="_Toc90448440">SECTION 12.06. When Treasury Securities Disregarded</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; In determining whether the Holders of the required principal amount of Securities have concurred in any direction, waiver or consent, Securities owned by the Company or by any person directly or indirectly controlling
or controlled by or under direct or indirect common control with the Company shall be disregarded, except that for the purpose of determining whether the Trustee shall be protected in relying on any such direction, waiver or consent, only Securities which the Trustee
knows are so owned shall be so disregarded.</font></p>

<h2><a name="_Toc90448441">SECTION 12.07. Rules by Trustee and Agents</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The Trustee may make reasonable rules for action by, or at a meeting of, Securityholders.&nbsp; The Registrar, Paying Agent or Conversion Agent may make reasonable rules for its functions.</font></p>

<h2><a name="_Toc90448442">SECTION 12.08. Legal Holidays</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; A "Legal Holiday" is a Saturday, a Sunday or a day on which banking institutions are not required to be open in the city in which the Trustee administers its corporate trust business.&nbsp; If a payment date is a Legal
Holiday at a place of payment, payment may be made at the place on the next succeeding day that is not a Legal Holiday, and no interest shall accrue for the intervening period.</font></p>

<h2><a name="_Toc90448443">SECTION 12.09. Governing Law</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The laws of the State of Illinois, without regards to the principles of conflicts of law, shall govern this Indenture and the Securities.</font></p>

<h2><a name="_Toc90448444">SECTION 12.10. No Adverse Interpretation of Other Agreements</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; This Indenture may not be used to interpret another indenture, loan or debt agreement of the Company or a Subsidiary.&nbsp; Any such indenture, loan or debt agreement may not be used to interpret this
Indenture.</font></p>

<h2><a name="_Toc90448445">SECTION 12.11. No Recourse Against Others</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; Liabilities of directors, officers, employees and stockholders, as such, of the Company is waived and released as provided in paragraph 16 of the Securities.</font></p>

<h2><a name="_Toc90448446">SECTION 12.12. Successors</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; All agreements of the Company in this Indenture and the Securities shall bind its successors.&nbsp; All agreements of the Trustee in this Indenture shall bind its successors.</font></p>

<h2><a name="_Toc90448447">SECTION 12.13. Duplicate Originals</a></h2>

<p><font size="3" face="Times New Roman">.&nbsp; The parties may sign any number of copies of this Indenture.&nbsp; Each signed copy shall be an original, but all of them together represent the same agreement.</font></p>

<font size="3" face="Times New Roman"><br clear="all" />
</font>

<table border="0" cellspacing="0" cellpadding="0" width="667">
<tr height="35">
<td height="35" valign="top"></td>
<td colspan="2" height="35" valign="top">
<p><font size="3" face="Times New Roman">SIGNATURES</font></p>
</td>
<td>
<p>&nbsp;</p>
</td>
</tr>

<tr height="34">
<td height="34" valign="top"></td>
<td height="34" valign="top"></td>
<td colspan="2" height="34" valign="top"></td>
</tr>

<tr height="34">
<td height="34" valign="top"></td>
<td height="34" valign="top"></td>
<td colspan="2" height="34" valign="top">
<p><font size="3" face="Times New Roman">RICHARDSON ELECTRONICS, LTD.</font></p>
</td>
</tr>

<tr height="34">
<td height="34" valign="top"></td>
<td height="34" valign="top"></td>
<td colspan="2" height="34" valign="top"></td>
</tr>

<tr height="34">
<td height="34" valign="top"></td>
<td height="34" valign="top"></td>
<td colspan="2" height="34" valign="top">
<p><font size="3" face="Times New
Roman">By:<u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<br />

</u> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Title:&nbsp; Chairman</font></p>
</td>
</tr>

<tr height="34">
<td height="34" valign="top"></td>
<td height="34" valign="top"></td>
<td colspan="2" height="34" valign="top"></td>
</tr>

<tr height="34">
<td height="34" valign="top">
<p><font size="3" face="Times New Roman">Attest:</font></p>
</td>
<td height="34" valign="top"></td>
<td colspan="2" height="34" valign="top"></td>
</tr>

<tr height="34">
<td height="34" valign="top">
<p><u><font size="3" face="Times New
Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<br />

</font></u> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (Corporate Seal)</p>
</td>
<td height="34" valign="top"></td>
<td colspan="2" height="34" valign="top"></td>
</tr>

<tr height="34">
<td height="34" valign="top"></td>
<td height="34" valign="top"></td>
<td colspan="2" height="34" valign="top"></td>
</tr>

<tr height="34">
<td height="34" valign="top"></td>
<td height="34" valign="top"></td>
<td colspan="2" height="34" valign="top">
<p><font size="3" face="Times New Roman">J.P. Morgan Trust Company, National</font></p>

<p><font size="3" face="Times New Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Association</font></p>
</td>
</tr>

<tr height="34">
<td height="34" valign="top"></td>
<td height="34" valign="top"></td>
<td colspan="2" height="34" valign="top"></td>
</tr>

<tr height="34">
<td height="34" valign="top"></td>
<td height="34" valign="top"></td>
<td colspan="2" height="34" valign="top">
<p><font size="3" face="Times New
Roman">By:<u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<br />

</u> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Title:</font></p>
</td>
</tr>

<tr height="34">
<td height="34" valign="top"></td>
<td height="34" valign="top"></td>
<td colspan="2" height="34" valign="top"></td>
</tr>

<tr height="34">
<td height="34" valign="top"></td>
<td height="34" valign="top"></td>
<td colspan="2" height="34" valign="top"></td>
</tr>

<tr height="34">
<td height="34" valign="top">
<p><font size="3" face="Times New Roman">Attest:</font></p>
</td>
<td height="34" valign="top"></td>
<td colspan="2" height="34" valign="top"></td>
</tr>

<tr height="34">
<td height="34" valign="top">
<p><u><font size="3" face="Times New
Roman">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<br />

</font></u> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (Corporate Seal)</p>
</td>
<td height="34" valign="top"></td>
<td colspan="2" height="34" valign="top"></td>
</tr>
</table>

<p><font size="3" face="Times New Roman"></font></p>
</div>

<font size="3" face="Times New Roman"><br clear="all" />
</font>

<div>
<p align="right"><b><font size="3" face="Times New Roman">EXHIBIT A</font></b></p>

<p><font size="3" face="Times New Roman">(FACE OF SECURITY)</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">THE SECURITIES EVIDENCED HEREBY HAVE NOT BEEN REGISTERED UNDER THE U.S. SECURITIES ACT OF 1933, AS AMENDED (THE "SECURITIES ACT"), OR ANY STATE SECURITIES LAWS, AND MAY NOT BE OFFERED OR SOLD EXCEPT AS SET FORTH IN THE
FOLLOWING SENTENCE.&nbsp; BY ITS ACQUISITION HEREOF, THE HOLDER (1) REPRESENTS THAT IT IS AN "QUALIFIED INSTITUTIONAL BUYER" (AS DEFINED IN RULE 144A UNDER THE SECURITIES ACT); (2) AGREES THAT IT WILL NOT WITHIN TWO YEARS AFTER THE ORIGINAL ISSUANCE OF THE SECURITY
EVIDENCED HEREBY RESELL OR OTHERWISE TRANSFER THE SECURITY EVIDENCED HEREBY OR THE COMMON STOCK ISSUABLE UPON CONVERSION OF SUCH SECURITY EXCEPT (A) TO THE COMPANY OR ANY SUBSIDIARY THEREOF, (B) TO A QUALIFIED INSTITUTIONAL BUYER IN COMPLIANCE WITH RULE 144A UNDER
THE SECURITIES ACT, (C) PURSUANT TO THE EXEMPTION FROM REGISTRATION PROVIDED BY RULE 144 UNDER THE SECURITIES ACT (IF AVAILABLE) OR (D) PURSUANT TO A REGISTRATION STATEMENT WHICH HAS BEEN DECLARED EFFECTIVE UNDER THE SECURITIES ACT (AND WHICH CONTINUES TO BE
EFFECTIVE AT THE TIME OF SUCH TRANSFER); AND (3) AGREES THAT IT WILL DELIVER TO EACH PERSON TO WHOM THE SECURITY EVIDENCED HEREBY IS TRANSFERRED (OTHER THAN A TRANSFER PURSUANT TO CLAUSE 2(D) ABOVE) A NOTICE SUBSTANTIALLY TO THE EFFECT OF THIS LEGEND.&nbsp; IN
CONNECTION WITH ANY TRANSFER OF THE SECURITY EVIDENCED HEREBY WITHIN TWO YEARS AFTER THE ORIGINAL ISSUANCE OF SUCH SECURITY (OTHER THAN A TRANSFER PURSUANT TO CLAUSE 2(D) ABOVE), THE HOLDER MUST CHECK THE APPROPRIATE BOX SET FORTH ON THE REVERSE HEREOF RELATING TO
THE MANNER OF SUCH TRANSFER AND SUBMIT THIS CERTIFICATE TO J. P. MORGAN TRUST COMPANY, NATIONAL ASSOCIATION, AS TRUSTEE (OR ANY SUCCESSOR TRUSTEE, AS APPLICABLE).&nbsp; IF THE PROPOSED TRANSFER IS PURSUANT TO CLAUSE 2(C) ABOVE, THE HOLDER MUST, PRIOR TO SUCH
TRANSFER, FURNISH TO J. P. MORGAN TRUST COMPANY, NATIONAL ASSOCIATION, AS TRUSTEE (OR ANY SUCCESSOR TRUSTEE, AS APPLICABLE), SUCH CERTIFICATIONS, LEGAL OPINIONS AND OTHER INFORMATION AS THE COMPANY MAY REASONABLY REQUIRE TO CONFIRM THAT SUCH TRANSFER IS BEING MADE
PURSUANT TO AN EXEMPTION FROM, OR IN A TRANSACTION NOT SUBJECT TO, THE REGISTRATION REQUIREMENTS OF THE SECURITIES ACT, THIS LEGEND WILL BE REMOVED UPON THE EARLIER OF THE TRANSFER OF THIS SECURITY EVIDENCED HEREBY PURSUANT TO CLAUSE 2(C) OR 2(D) ABOVE OR THE
EXPIRATION OF TWO YEARS FROM THE ORIGINAL ISSUANCE OF THE SECURITY EVIDENCED HEREBY.</font><a href="#_ftn1" name="_ftnref1" title=""><sup><font size="2"></font></sup></a><sup>/1.</sup></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">UNLESS THIS CERTIFICATE IS PRESENTED BY AN AUTHORIZED REPRESENTATIVE OF THE DEPOSITORY TRUST COMPANY ("DTC") TO RICHARDSON ELECTRONICS, LTD. (OR ITS SUCCESSOR) OR ITS AGENT FOR REGISTRATION OF TRANSFER, EXCHANGE, CONVERSION OR
PAYMENT, AND ANY CERTIFICATE ISSUED IS REGISTERED IN THE NAME OF CEDE &amp; CO. OR IN SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC (AND ANY PAYMENT HEREON IS MADE TO CEDE &amp; CO. OR TO SUCH OTHER ENTITY AS IS REQUESTED BY AN AUTHORIZED REPRESENTATIVE OF DTC), ANY TRANSFER, PLEDGE OR OTHER USE HEREOF FOR
VALUE OR OTHERWISE BY OR TO ANY PERSON IS WRONGFUL SINCE THE REGISTERED OWNER HEREOF, CEDE &amp; CO., HAS AN INTEREST HEREIN.</font><a href="#_ftn2" name="_ftnref2" title=""><sup><font size="2"></font></sup></a><sup>/2.</sup></p>

<div>
<div id="ftn1">
<p><a href="#_ftnref1" name="_ftn1" title=""><sup><font size="2" face="Times New Roman"></font></sup></a>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <sup>/1.</sup> This legend should be included only if the Security is issued other than pursuant
to a registration statement declared effective under the Securities Act.</p>
</div>

<div id="ftn2">
<p><a href="#_ftnref2" name="_ftn2" title=""><sup><font size="2" face="Times New Roman"></font></sup></a>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <sup>/2.</sup>This legend should be included only if the Security is issued in global form.</p>
</div>

<p><font size="3" face="Times New Roman"></font></p>
</div>

<font size="3" face="Times New Roman"><br clear="all" />
</font>

<div>
<p><font size="3" face="Times New Roman">RICHARDSON ELECTRONICS, LTD.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">7 3/4% CONVERTIBLE SENIOR SUBORDINATED NOTES DUE 2011<br />
<br />
</font></p>

<table border="0" cellspacing="0" cellpadding="0" width="708">
<tr>
<td valign="top">
<p><font size="3" face="Times New Roman">Number ____</font></p>
</td>
<td valign="top"></td>
<td colspan="2" valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">$___________</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">CUSIP<u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</u></font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top"></td>
</tr>

<tr>
<td valign="top">
<p><font size="3" face="Times New Roman">RATE OF INTEREST</font></p>
</td>
<td valign="top"></td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">MATURITY DATE</font></p>
</td>
<td valign="top"></td>
<td colspan="2" valign="top">
<p><font size="3" face="Times New Roman">ORIGINAL ISSUE DATE</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top"></td>
</tr>

<tr>
<td colspan="4" valign="top">
<p><font size="3" face="Times New Roman">Payment Dates:&nbsp; _________ and __________</font></p>
</td>
<td valign="top"></td>
<td colspan="2" valign="top"></td>
</tr>

<tr>
<td colspan="4" valign="top">
<p><font size="3" face="Times New Roman">Record Dates:&nbsp; __________ and __________</font></p>
</td>
<td valign="top"></td>
<td colspan="2" valign="top"></td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top"></td>
<td valign="top"></td>
<td colspan="2" valign="top"></td>
</tr>

<tr>
<td colspan="7" valign="top">
<p><font size="3" face="Times New Roman">Richardson Electronics, Ltd. promises to pay to CEDE &amp; Co., or registered assigns, the principal sum of ___________ Dollars on _______.&nbsp; The provisions on the back of this certificate are incorporated as if set forth
on the face of the certificate.</font></p>
</td>
</tr>

<tr>
<td colspan="4" valign="top"></td>
<td colspan="2" valign="top"></td>
<td valign="top"></td>
</tr>

<tr>
<td valign="top">
<p><font size="3" face="Times New Roman">DATED:</font></p>
</td>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="4" valign="top"></td>
</tr>

<tr>
<td valign="top"></td>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="4" valign="top"></td>
</tr>

<tr>
<td valign="top">
<p><font size="3" face="Times New Roman">Authenticated to be one of the Securities described in the Indenture referred to herein</font></p>
</td>
<td valign="top"></td>
<td valign="top"></td>
<td colspan="4" valign="top">
<p><font size="3" face="Times New Roman">(Seal)</font></p>
</td>
</tr>

<tr>
<td valign="top"></td>
<td colspan="2" valign="top"></td>
<td colspan="4" valign="top"></td>
</tr>

<tr>
<td colspan="3" valign="top">
<p><font size="3" face="Times New Roman">J.P. MORGAN TRUST COMPANY, NATIONAL ASSOCIATION,</font></p>
</td>
<td colspan="4" valign="top">
<p><font size="3" face="Times New Roman">RICHARDSON ELECTRONICS, LTD.</font></p>
</td>
</tr>

<tr>
<td valign="top">
<p><font size="3" face="Times New Roman">as Trustee</font></p>
</td>
<td valign="top"></td>
<td colspan="2" valign="top"></td>
<td colspan="2" valign="top"></td>
<td valign="top"></td>
</tr>

<tr>
<td colspan="2" valign="top"></td>
<td valign="top"></td>
<td colspan="4" valign="top"></td>
</tr>

<tr>
<td colspan="2" valign="top">
<p><font size="3" face="Times New
Roman">By:<u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<br />

</u> &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Authorized Officer</font></p>
</td>
<td valign="top"></td>
<td colspan="4" valign="top">
<p><font size="3" face="Times New
Roman">By:&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<br />

 </font></p>
</td>
</tr>

<tr>
<td colspan="2" valign="top"></td>
<td valign="top"></td>
<td colspan="4" valign="top">
<p><font size="3" face="Times New
Roman">By:&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<br />

 </font></p>
</td>
</tr>
</table>
</div>

<font size="3" face="Times New Roman"><br clear="all" />
</font>

<div>
<p align="center"><font size="3" face="Times New Roman">(REVERSE OF SECURITY)<br />
 </font></p>

<p align="center"><font size="3" face="Times New Roman">RICHARDSON ELECTRONICS, LTD.<br />
</font></p>

<p align="center"><font size="3" face="Times New Roman">7 3/4% CONVERTIBLE SENIOR SUBORDINATED NOTES DUE 2011</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman">1.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <u>Interest</u>.&nbsp; Richardson Electronics, Ltd., a Delaware corporation (the "Company"), promises to pay interest on the principal amount of this Security at the rate per
annum shown above.&nbsp; The Company will pay interest semiannually on June 15 and December 15 of each year, beginning June 15, 2005.&nbsp; Interest on the Securities will accrue from the most recent date to which interest has been paid or, if no interest has been
paid, from the date on which these Securities are first issued.&nbsp; Interest will be computed on the basis of a 360-day year of twelve 30-day months.</font></p>

<p><font size="3" face="Times New Roman">2.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <u>Method of Payment</u>.&nbsp; The Company will pay interest on the Securities (except defaulted interest) to the persons who are registered Holders of Securities at the
close of business on the June 1 or December 1 preceding the interest payment date.&nbsp; Holders must surrender Securities to a Paying Agent to collect principal payments.&nbsp; The Company will pay principal and interest in money of the United States that at the
time of payment is legal tender for payment of public and private debts.&nbsp; The Company may, however, pay principal and interest by its check payable in such money.&nbsp; It may mail an interest check to a Holder&rsquo;s registered address.&nbsp; Any payment
otherwise required to be made in respect of the Securities on a date that is not a Business Day may be made on the next succeeding Business Day with the same force and effect as if made on that date.&nbsp; No additional interest will accrue as a result of such a
delayed payment.</font></p>

<p><font size="3" face="Times New Roman">3.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <u>Paying Agent, Registrar and Conversion Agent</u>.&nbsp; Initially, J.P. Morgan Trust Company, National Association (the "Trustee") will act as Paying Agent, Registrar and
Conversion Agent.&nbsp; The Company may change any Paying Agent, Registrar, Conversion Agent or co-Registrar without notice.&nbsp; The Company or any of its Subsidiaries may act as Paying Agent, Registrar, Conversion Agent or co-Registrar.</font></p>

<p><font size="3" face="Times New Roman">4.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <u>Indenture</u>.&nbsp; The Company issued the Securities under an Indenture dated as of February 14, 2005 (the "Indenture") between the Company and the Trustee.&nbsp; The
terms of the Securities include those stated in the Indenture and those made part of the Indenture by reference to the Trust Indenture Act of 1939 (15 U.S. Code Sec. 77aaa-77bbbb) as in effect on the date of the Indenture.&nbsp; The Securities are subject to all such
terms, and Securityholders are referred to the Indenture and the Act for a statement of them.&nbsp; The Securities are general unsecured obligations of the Company.&nbsp; The Indenture does not limit the principal amount of Securities that may be issued by the
Company or, subject to Section 4.02 of the Indenture, the other debt, secured or unsecured, that the Company may incur.</font></p>

<p><font size="3" face="Times New Roman">5.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <u>Optional Redemption</u>.&nbsp; The Securities will not be redeemable at the Company&rsquo;s option prior to December 19, 2006.&nbsp; At any time on or after December 19,
2006 and prior to December 19, 2007, the Company, at its option, may redeem the Securities, in whole or in part for a redemption price in cash equal to 100% of the principal amount of the Securities to be redeemed together in each case with accrued and unpaid
Interest on the Securities redeemed to but excluding the Redemption Date, provided that at any time prior to the date of mailing the redemption notice the Last Reported Sale Price of the Common Stock has been at least 125% of the conversion price for at least twenty
(20) trading days during any thirty (30) trading day period.&nbsp; At any time on or after December 19, 2007 and prior to the Maturity Date, the Company, at its option, may redeem the Securities, in whole or in part for a redemption price in cash equal to 100% of the
principal amount of the Securities to be redeemed together in each case with accrued and unpaid Interest on the Securities redeemed to but excluding the Redemption Date.</font></p>

<p><font size="3" face="Times New Roman">6.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <u>Selection and Notice of Redemption</u>.&nbsp; Selection of Securities for any redemption will be made by the Trustee on either a pro rata basis, by lot or in accordance
with any other method the Trustee considers fair and appropriate.&nbsp; Securities in denominations larger than $1,000 may be redeemed in part.&nbsp; Notice of redemption will be mailed at least ten (10) days but not more than sixty (60) days before the redemption
date to each Holder of Securities to be redeemed at his registered address.&nbsp; On and after the redemption date, interest ceases to accrue on Securities or portions thereof called for redemption.</font></p>

<p><font size="3" face="Times New Roman">7.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <a name="_DV_C897"><u>Purchase of Securities at Option of Holder Upon a Change of Control</u>.&nbsp; At the option of the Holder and subject to the terms and conditions of the
Indenture, the Company shall become obligated to purchase all or any part specified by the Holder (so long as the principal amount of such part is $1,000 or an integral multiple thereof) of the Securities held by such holder on the date that is no more than
forty-five (45) business days after the date of the Change of Control Notice, at a purchase price equal to 101% of the principal amount thereof together with accrued interest up to, but excluding, the Change of Control Repurchase Date.&nbsp; The Company shall mail to
all Holders of record of the Securities a notice of the occurrence of a Change of Control and of the repurchase right arising as a result thereof on or before the thirtieth (30<sup>th</sup>) business day after the Change of Control.&nbsp; For a Security to be so
repurchased at the option of the Holder, the Company must receive at the office or agency of the Company maintained for that purchase in accordance with the terms of the Indenture, such Security with a form of Change of Control Repurchase Election duly completed,
together with such Security, duly endorsed for transfer, on or before the Business Day immediately preceding the Change of Control Repurchase Date.&nbsp; The Change of Control Repurchase Price may be paid, at the option of the Company, in cash or by the issuance and
delivery of Common Shares, or in any combination thereof, subject to the terms and conditions of the Indenture.&nbsp; Holders have the right to withdraw any Change of Control Repurchase Election Notice (in whole or in a portion thereof that is $1,000 or an integral
multiple thereof) at any time prior to the close of business on the Business Day next preceding the Change of Control Purchase Date by delivering a written notice of withdrawal to the Trustee (or other Paying Agent appointed by the Company) in accordance with the
terms of the Indenture.&nbsp;</a></font></p>

<p><a name="_DV_C898"><font size="3" face="Times New Roman">8.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></a> <a name="_DV_M811"></a><u>Conversion</u>.&nbsp; (a) The Holder of any Security has the right, exercisable at any time up to and including <a
name="_DV_M812"></a>December 15, 2011, except in the case of Securities called for redemption, to convert such Security at the principal amount thereof (or any portion thereof that is an integral multiple of $1,000) into Common Stock of the Company at the conversion
price of $18.00 per share, subject to adjustment as described below.&nbsp; In the case of Securities called for redemption, conversion rights will expire at the close of business on the redemption date.&nbsp; <a name="_DV_C903">To convert a Security a Holder must (1)
complete and sign the conversion notice on the back of the Security, (2) surrender the Security to a Conversion Agent, (3) furnish appropriate endorsements or transfer documents if required by the Registrar or Conversion Agent and (4) pay any transfer or similar tax
if required.&nbsp; A holder may convert a portion of a Security if the portion is $1,000 or an integral multiple of $1,000.</a></p>

<p><font size="3" face="Times New Roman">(b)&nbsp; The Company may convert the Securities into Common Stock at any time on or after December 19, 2006, and prior to maturity if the Last Reported Sale Price of the Common Stock has been at least 125% of the conversion
price for at least twenty (20) trading days during any thirty (30) trading day period, ending within five trading days prior to the date of the Automatic Conversion Notice; provided, however, that the Company may only automatically convert the Securities if, in
accordance with the terms of the Registration Rights Agreement, a registration statement registering the resale of such Securities as are Restricted Securities and Common Stock issuable upon conversion of the Restricted Securities is declared effective under the
Securities Act prior to the date of the Automatic Conversion Notice and such registration statement remains effective on the date selected for Automatic Conversion (the "Automatic Conversion Date") or the Securities are otherwise not Restricted Securities on the
Automatic Conversion Date.</font></p>

<p><font size="3" face="Times New Roman">(c)&nbsp; If this Security (or portion hereof) is converted during the period from the close of business on any record date for the payment of interest to the close of business on the Business Day preceding the following
interest payment date that occurs during such period, this Security (or portion hereof being converted) must be accompanied by payment, in immediately available funds or other funds acceptable to the Company, of an amount equal to the interest otherwise payable on
such interest payment date on the principal amount being converted; provided that no such payment shall be required (1) if the Company has specified a Redemption Date that is after a record date and prior to the next interest payment date, (2) if the Company has
specified a Change of Control Repurchase Date following a Change of Control that is during such period or (3) to the extent of any overdue interest, if any overdue interest exists at the time of conversion with respect to such Security</font><a name=
"_DV_M814"></a>.&nbsp; No payment or adjustment for interest accrued on the Securities is to be made on conversion.&nbsp; No fractional shares will be issued upon conversion and, if the conversion results in a fractional interest, such fractional interest will be
paid by check in an amount equal to the closing bid price of the Company&rsquo;s Common Stock as reported by the National Association of Securities Dealers Automated Quotation National Market System, or if the Common Stock is listed on an exchange, the last reported
sale price on the principal exchange in which the Common Stock is listed, on the last trading date prior to the conversion date multiplied by the amount of such fractional interest with the result rounded to the nearest cent.</p>

<p><a name="_DV_M815"></a><font size="3" face="Times New Roman">The conversion price is subject to adjustment upon the occurrence of certain events, including (i) the payment of a dividend in Common Stock to holders of Common Stock or a dividend to holders of the
Company&rsquo;s Common Stock payable in shares of the Company&rsquo;s capital stock other than Common Stock; (ii) the payment of a cash dividend in an amount per Common Share in excess of $0.16 per year; (iii) the subdivision, combination or certain reclassifications
of outstanding Common Stock; (iv) issuance to all holders of Common Stock of the Company of rights or warrants entitling them for a period of not more than forty-five (45) days to purchase Common Stock (or securities convertible into Common Stock) at a price per
share (or having a conversion price per share) less than the then current per share market price for such Common Stock; (v) the distribution to holders of Common Stock of evidences of indebtedness or assets (excluding cash dividends to the extent that such cash
dividends do not exceed $0.16 per Common Share <a name="_DV_C905">per year</a><a name="_DV_M816"></a>) or rights or warrants (other than those referred to above); and (vi) certain mergers, consolidations or sales of assets.&nbsp; No adjustment of the conversion price
will be made until cumulative adjustments amount to at least $0.10.&nbsp; No adjustment of the conversion price will be made for cash distributions or cash dividends paid out of Consolidated Net Income (as defined in the Indenture) or retained earnings.</font></p>

<p><a name="_DV_C906"></a><a name="_DV_M817"></a><font size="3" face="Times New Roman">9.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font> <a name="_DV_M818"></a><u>Subordination</u>.&nbsp; The indebtedness evidenced by the Securities is subordinated to the
prior payment when due of the principal of, premium if any, and interest on all Senior Indebtedness.&nbsp; Upon maturity of any Senior Indebtedness, payment in full must be made on such Senior Indebtedness before any payment is made on or in respect of the
Securities.&nbsp; During the continuance of any default in payment of principal of, premium, if any, or interest on Senior Indebtedness, no payment may be made by the Company on or in respect of the Securities. Upon any distribution of assets of the Company in any
dissolution, winding-up, liquidation or reorganization of the Company, payment of the principal of and interest on the Securities will be subordinated, to the extent and in the manner set forth in the Indenture, to the prior payment in full of all Senior
Indebtedness.&nbsp; Such subordination will not prevent the occurrence of any Event of Default (as defined).&nbsp;</p>

<p><font size="3" face="Times New Roman">"Senior Indebtedness" means the principal of and interest or borrowings made (i) under the Amended and Restated Revolving Credit Agreement, dated as of October 29, 2004, among the Company, Bank One, NA and certain other
parties listed therein, including any amendment, renewal, extension or refunding of such agreement, and (ii) on other Indebtedness of the Company outstanding at any time created, other than (A) Indebtedness of the Company to a Subsidiary for money borrowed or
advanced from any such Subsidiary, (B) Indebtedness which by its terms is not superior in right of payment to the Securities, (C) the Company&rsquo;s 7 1/4% Convertible Subordinated Debentures due 2006 issued pursuant to an Indenture dated as of December 15, 1986,
between the Company and U.S. Bank, National Association, as successor trustee to Continental Illinois National Bank and Trust Company of Chicago, and the Company&rsquo;s 8 1/4% Convertible Senior Subordinated Debentures due 2006 issued pursuant to an Indenture dated
as of December 16, 1996, between the Company and J.P. Morgan Trust Company, National Association, as successor trustee to American National Bank and Trust Company of Chicago, to which debentures the Securities shall be superior in right of payment and (D) all other
future Indebtedness which by its terms is not superior in right of payment to the Securities.&nbsp;</font></p>

<p><font size="3" face="Times New Roman">"Indebtedness" means (1) any debt of the Company (i) for borrowed money, capitalized lease obligations or purchase money obligations or (ii) evidenced by a security, debenture, letter of credit or similar instrument given in
connection with the acquisition, other than in the ordinary course of business, of any property or assets; (2) any debt of others described in the preceding clause which the Company has guaranteed or for which it is otherwise liable; and (3) any amendment, renewal,
extension or refunding or any such debt.</font></p>

<p><a name="_DV_C907"><font size="3" face="Times New Roman">10.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></a> <a name="_DV_M819"></a><u>Denominations, Transfer, Exchange</u>.&nbsp; The Securities are in registered form without coupons in denominations of $1,000 and
integral multiples of $1,000.&nbsp; A Holder may transfer or exchange Securities in accordance with the Indenture.&nbsp; The Registrar may require a Holder, among other things, to furnish appropriate endorsements and transfer documents and to pay any taxes and fees
required by law or permitted by the Indenture.&nbsp; The Registrar need not transfer or exchange any Security or portion of a Security selected for redemption, or transfer or exchange any Securities for a period of fifteen (15) days before a selection of Securities
to be redeemed.</p>

<p><a name="_DV_C908"><font size="3" face="Times New Roman">11.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></a> <a name="_DV_M820"></a><u>Persons Deemed Owners</u>.&nbsp; The registered Holder of a Security may be treated as the owner of it for all purposes.</p>

<p><a name="_DV_C909"><font size="3" face="Times New Roman">12.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></a> <a name="_DV_M821"></a><u>Unclaimed Money</u>.&nbsp; If money for the payment of principal or interest remains unclaimed for two (2) years, the Trustee or
Paying Agent will pay the money back to the Company at its request.&nbsp; After that, Holders entitled to the money must look to the Company for payment as general creditors unless an "abandoned property" law designates another person.</p>

<p><a name="_DV_C910"><font size="3" face="Times New Roman">13.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></a> <a name="_DV_M822"></a><u>Amendment, Supplement, Waiver</u>.&nbsp; Subject to certain exceptions, the Indenture or the Securities may be amended or
supplemented with the consent of the Holders of at least a majority in principal amount of the outstanding Securities, and any past default or compliance with any provision may be waived with the consent of the Holders of a majority in principal amount of the
outstanding Securities.&nbsp; Without the consent of any Securityholder, the Company may amend or supplement the Indenture or the Securities to cure any ambiguity, omission, defect or inconsistency or to provide for uncertificated Securities in addition to
certificated Securities or to make any change that does not materially adversely affect the rights of any Securityholder.</p>

<p><a name="_DV_C911"><font size="3" face="Times New Roman">14.</font></a><a name="_DV_M823"></a>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <u>Successor Corporation</u>.&nbsp; When a successor corporation assumes all the obligations of its predecessor under the Securities
and the Indenture and immediately thereafter no default exists, the predecessor corporation will be released from those obligations.</p>

<p><a name="_DV_C912"><font size="3" face="Times New Roman">15.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></a> <a name="_DV_M824"></a><u>Defaults and Remedies</u>.&nbsp; An Event of Default is:</p>

<p><a name="_DV_M825"></a><font size="3" face="Times New Roman">(i)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; failure of the Company to pay interest for thirty (30) days or principal when due (whether or not prohibited by the subordination provisions); (ii)
failure <a name="_DV_C913">of the Company to convert any Security into Common Shares upon the exercise of a Holder&rsquo;s right for five (5) days after notice; (iii) failure to provide notice on a timely basis of, or to repurchase any Security at the option of the
Holder, upon a Change of Control of the Company; (iv)&nbsp;failure of the Company to redeem any Security after exercising its option to redeem such Security; (v) failure</a> <a name="_DV_M826"></a>to perform any other covenant for thirty (30) days after notice; (<a
name="_DV_C915">vi</a><a name="_DV_M827"></a>) acceleration of the maturity of any Indebtedness of the Company or any Subsidiary in any one case or in the aggregate in excess of $10,000,000, if such acceleration is not rescinded, annulled or otherwise cured within
thirty (30) days after notice to the Company; and (<a name="_DV_C917">vii</a><a name="_DV_M828"></a>) certain events of bankruptcy, insolvency or reorganization of the Company or any Subsidiary.</font></p>

<p><a name="_DV_M829"></a><font size="3" face="Times New Roman">The Indenture provides that the Trustee will, within ninety (90) days after the occurrence of a default, give the Securityholders notice of all uncured defaults known to it (the term "default" to include
the events specified above, without grace or notice), provided that, except in the case of default in the payment of principal of or interest on any of the Securities, the Trustee shall be protected in withholding such notice if it in good faith determines that the
withholding of such notice is in the interest of the Securityholders.</font></p>

<p><a name="_DV_M830"></a><font size="3" face="Times New Roman">In case an Event of Default <a name="_DV_C918">(other than an Event of Default as a result of certain events of bankruptcy, insolvency or reorganization of the Company)</a> <a name="_DV_M831"></a>occurs
and is continuing, the Trustee or the Holders of not less than 25% in aggregate principal amount of the Securities then outstanding, by notice in writing to the Company (and to the Trustee if given by the Securityholders), may declare the principal of and all accrued
interest on all the Securities to be due and payable immediately.&nbsp; <a name="_DV_C920">If an Event of Default occurs as a result of certain events of bankruptcy, insolvency or reorganization of the Company, unpaid principal of the Security then outstanding shall
become due and payable immediately without any declaration or other act on the part of the Trustee or any Holder, all as and to the extent provided in the Indenture.&nbsp; Such acceleration</a><a name="_DV_M832"></a> may be rescinded by Holders of a majority in
principal amount of the Securities if all existing Events of Default have been cured or waived (except nonpayment of principal or interest that has become due solely because of the acceleration) and if the rescission would not conflict with any judgment or
decree.</font></p>

<p><a name="_DV_M833"></a><font size="3" face="Times New Roman">Defaults (except, unless theretofore cured, a default in payment of principal of or interest on the Securities or a default with respect to a provision which cannot be modified under the terms of the
Indenture without the consent of each Securityholder affected) may be waived by the Holders of a majority in principal amount of the outstanding Securities upon the conditions provided in the Indenture.</font></p>

<p><a name="_DV_M834"></a><font size="3" face="Times New Roman">The Indenture requires the Company to file periodic reports with the Trustee as to the absence of defaults.</font></p>

<p><a name="_DV_C921"><font size="3" face="Times New Roman">16.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></a> <a name="_DV_M835"></a><u>Trustee Dealings with Company</u>.&nbsp; <a name="_DV_C923">J.P. Morgan</a><a name="_DV_M836"></a> Trust Company <a name=
"_DV_C925">National Association</a><a name="_DV_M837"></a>, the Trustee under the Indenture, in its individual or any other capacity, may make loans to, accept deposits from, and perform services for the Company or its affiliates, and may otherwise deal with the
Company or its affiliates, as if it were not Trustee.</p>

<p><a name="_DV_C926"><font size="3" face="Times New Roman">17.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></a> <a name="_DV_M838"></a><u>No Recourse Against Others</u>.&nbsp; A director, officer, employee or stockholder, as such, of the Company shall not have any
liability for any obligations of the Company under the Securities or the Indenture or for any claim based on, in respect of or by reason of, such obligations or their creation.&nbsp; Each Securityholder by accepting a Security waives and releases all such
liability.&nbsp; The waiver and release are part of the consideration for the issue of the Securities.</p>

<p><a name="_DV_C927"><font size="3" face="Times New Roman">18.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></a> <a name="_DV_M839"></a><u>Authentication</u>.&nbsp; This Security shall not be valid until the Trustee signs the certificate of authentication on the other
side of this Security.</p>

<p><font size="3" face="Times New Roman">19.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <u>Defined Terms</u>.&nbsp; All capitalized terms used in this Security which are not otherwise defined herein shall have the meanings assigned to them in the Indenture.</font></p>

<p><a name="_DV_C928"><font size="3" face="Times New Roman">20.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></a> <a name="_DV_M840"></a><u>Abbreviations</u>.&nbsp; Customary abbreviations may be used in the name of a Securityholder or an assignee, such as: TEN COM (=
tenants in common), TEN ENT (= tenants by the entities), JT TEN (= joint tenants with right of survivorship and not as tenants in common), CUST (= custodian), and U/G/M/A (= Uniform Gifts to Minors Act).</p>

<p><font size="3" face="Times New Roman">21.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; <u>Additional Rights of Holders of Restricted Securities</u>.&nbsp; In addition to the rights and obligations of Holders under the Indenture, Holders of Restricted Securities shall have
the rights and obligations set forth in the Resale Registration Rights Agreement.</font></p>

<p><a name="_DV_M841"></a><font size="3" face="Times New Roman">The Company will furnish to any Securityholder upon written request and without charge a copy of the Indenture.&nbsp; Requests may be made to:&nbsp; Investor Relations Department, Richardson Electronics,
Ltd., 40W267 Keslinger Road, LaFox, Illinois 60147-0393.</font></p>

<p><font size="3" face="Times New Roman"></font></p>

<p><font size="3" face="Times New Roman"></font></p>
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</DOCUMENT>
<DOCUMENT>
<TYPE>EX-10
<SEQUENCE>6
<FILENAME>exhibit10_2.pdf
<DESCRIPTION>EX-10.2 INDENTURE
<TEXT>
<PDF>
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<DOCUMENT>
<TYPE>EX-10
<SEQUENCE>7
<FILENAME>exhibit10_3.htm
<DESCRIPTION>EX-10.3 FORM OF RESALE REGISTRATION AGREEMENT
<TEXT>
<html>
<head>
<title>RESALE REGISTRATION RIGHTS AGREEMENT</title>
</head>
<body>
<div>
<div></div>

<p align="center" font size="5"><b>________________________________________________________________________________________</b></font></p>

<p align="center"><b>RESALE REGISTRATION RIGHTS AGREEMENT</b></p>

<p align="center">among</p>

<p align="center"><b>RICHARDSON ELECTRONICS, LTD.</b></p>

<p align="center">and</p>

<p align="center"><b>THE HOLDERS LISTED HEREIN</b></p>

<p align="center">Dated February ___, 2005</p>

<p align="center" font size="5"><b>________________________________________________________________________________________</b></font></p>


<div></div>
</div>

<br clear="all" />


<div>
<p align="center"><b>RESALE REGISTRATION RIGHTS AGREEMENT</b></p>

<p>This Resale Registration Rights Agreement (this "Agreement"), dated February ___, 2005, between Richardson Electronics, Ltd., a Delaware&nbsp; corporation (together with any successor entity, the "Issuer"), and the holders listed herein (together with any
successors, the "Holders").</p>

<p>Pursuant to the Exchange Agreement, dated the date hereof, between the Issuer and the Holders (the "Exchange Agreement"), the Holders have agreed to exchange __________ in aggregate principal amount of 7 &frac14;% Subordinated Debentures due December 2006 and
__________ 8 &frac14;% Senior Subordinated Debentures due June 2006 for the same aggregate principal amount of 7 &frac34;% Convertible Senior Subordinated Notes due 2011 (the "Notes").&nbsp; The Notes will be convertible into fully paid, nonassessable common stock,
par value $.05 per share, of the Issuer (the "Common Stock") on the terms, and subject to the conditions, set forth in the Indenture (as defined herein).&nbsp; In connection with the placement of the Notes, the Issuer has agreed to provide the registration rights set
forth in this Agreement pursuant to the Exchange Agreement.</p>

<p>The parties hereby agree as follows:</p>

<p><b>1. DEFINITIONS.</b></p>

<p>&nbsp; As used in this Agreement, the following capitalized terms shall have the following meanings:</p>

<p>AGREEMENT:&nbsp; As defined in the preamble hereto.</p>

<p>BUSINESS DAY:&nbsp; A day other than a Saturday or Sunday or any day on which banks in Chicago, Illinois are required or permitted to be closed.</p>

<p>COMMISSION:&nbsp; Securities and Exchange Commission.</p>

<p>COMMON STOCK:&nbsp; As defined in the preamble hereto.</p>

<p>EFFECTIVENESS PERIOD:&nbsp; As defined in Section&nbsp;2(a)(iii) hereof.</p>

<p>EFFECTIVENESS TARGET DATE:&nbsp; As defined in Section&nbsp;2(a)(ii) hereof.</p>

<p>EXCHANGE ACT:&nbsp; Securities Exchange Act of 1934, as amended.</p>

<p>EXCHANGE AGREEMENT:&nbsp; As defined in the preamble hereto.</p>

<p>HOLDER:&nbsp; As defined in the preamble hereto.</p>

<p>INDENTURE:&nbsp; The Indenture, dated as of February ___, 2005 between the Issuer and J.P.&nbsp;Morgan Trust Company, National Association, as trustee, pursuant to which the Notes are to be issued, as such Indenture may be amended, modified or supplemented from
time to time in accordance with the terms thereof.</p>

<p>INFORMATION:&nbsp; As defined in Section&nbsp;4(b)(v) hereof.</p>

<p>ISSUER:&nbsp; As defined in the preamble hereto.</p>

<p>MAJORITY OF HOLDERS:&nbsp; Holders holding over 50% of the aggregate principal amount of Notes outstanding; <u>provided</u> that, for purpose of this definition, a holder of shares of Common Stock which constitute Transfer Restricted Securities and were issued
upon conversion of the Notes shall be deemed to hold an aggregate principal amount of Notes (in addition to the aggregate principal amount of Notes held by such Holder) equal to the aggregate principal amount of Notes converted by such Holder into such shares of
Common Stock, provided that a waiver or consent that relates exclusively to Holders of securities being sold pursuant to a Shelf Registration Statement may be given by the Holders of a majority of such securities.</p>

<p>NASD:&nbsp; NASD, Inc.</p>

<p>NOTES:&nbsp; As defined in the preamble hereto, provided that as used herein, the "Notes" shall only to such Notes as were originally issued pursuant to the Exchange Agreement.</p>

<p>PERSON: &nbsp;An individual, partnership, corporation, unincorporated organization, trust, joint venture or a government or agency or political subdivision thereof.</p>

<p>PROSPECTUS:&nbsp; The prospectus included in a Shelf Registration Statement, as amended or supplemented by any prospectus supplement and by all other amendments thereto, including post-effective amendments, and all material incorporated by reference into such
Prospectus.</p>

<p>QUESTIONNAIRE DEADLINE:&nbsp; As defined in Section&nbsp;2(b) hereof.</p>

<p>SECURITIES ACT:&nbsp; Securities Act of 1933, as amended.</p>

<p>SHELF FILING DEADLINE:&nbsp; As defined in Section&nbsp;2(a)(i) hereof.</p>

<p>SHELF REGISTRATION STATEMENT:&nbsp; As defined in Section&nbsp;2(a)(i) hereof.</p>

<p>SUSPENSION PERIOD:&nbsp; As defined in Section&nbsp;4(b)(i) hereof.</p>

<p>TIA:&nbsp; Trust Indenture Act of 1939, as in effect on the date the Indenture is qualified under the TIA.</p>

<p>TRANSFER RESTRICTED SECURITIES:&nbsp; Each Note and each share of Common Stock issued upon conversion of Notes until the earliest of:</p>

<p>(i) the date on which such Note or such share of Common Stock issued upon conversion has been effectively registered under the Securities Act and disposed of in accordance with the Shelf Registration Statement;</p>

<p>(ii) the date on which such Note or such share of Common Stock issued upon conversion is transferred in compliance with Rule 144 under the Securities Act or may be sold or transferred pursuant to Rule 144(k) under the Securities Act (or any other similar provision
then in force); or</p>

<p>(iii) the date on which such Note or such share of Common Stock issued upon conversion ceases to be outstanding (whether as a result of redemption, repurchase and cancellation, conversion or otherwise).</p>

<p>UNDERWRITER:&nbsp; As defined in Section&nbsp;6(a) hereof.</p>

<p>UNDERWRITTEN REGISTRATION OR UNDERWRITTEN OFFERING:&nbsp; A registration in which securities of the Issuer are sold to an underwriter for reoffering to the public.</p>

<p><b>2. SHELF REGISTRATION.</b></p>

<p>(a)The Issuer shall:</p>

<p>(i) not later than 90 days after the date hereof (the "Shelf Filing Deadline"), cause to be filed a registration statement pursuant to Rule 415 under the Securities Act (the "Shelf Registration Statement"), which Shelf Registration Statement shall provide for resales
of all Transfer Restricted Securities held by Holders that have provided the information required pursuant to the terms of Section&nbsp;2(b) hereof;</P>

<P>(ii) use its reasonable best efforts to cause the Shelf Registration Statement to be declared effective by the Commission as promptly as practicable, but in no event later than 180 days after the date hereof (the "Effectiveness Target Date"); and</p>

<p>(iii) use its reasonable best efforts to keep the Shelf Registration Statement continuously effective, supplemented and amended as required by the provisions of Section&nbsp;4(b) hereof to the extent necessary to ensure that (A) it is available for resales by the
Holders of Transfer Restricted Securities entitled to the benefit of this Agreement and (B) conforms with the requirements of this Agreement and the Securities Act and the rules and regulations of the Commission promulgated thereunder as announced from time to time
for a period (the "Effectiveness Period") of:</p>

<p>(1) two years following the last date of original issuance of Notes; or</p>

<p>(2) such shorter period that will terminate when (X) all of the Holders of Transfer Restricted Securities are able to sell all Transfer Restricted Securities immediately without restriction pursuant to Rule 144(k) under the Securities Act or any successor rule
thereto, (Y) when all Transfer Restricted Securities have ceased to be outstanding (whether as a result of redemption, repurchase and cancellation, conversion or otherwise) or (Z) all Transfer Restricted Securities registered under the Shelf Registration Statement
have been sold.</p>

<p>(b) No Holder may include any of its Transfer Restricted Securities in the Shelf Registration Statement pursuant to this Agreement unless such Holder furnishes to the Issuer in writing, at least ten Business Days prior to the effectiveness of the Shelf Registration
Statement (the "Questionnaire Deadline"), such information as the Issuer may reasonably request for use in connection with the Shelf Registration Statement or the Prospectus or preliminary Prospectus included therein and in any application to be filed with or under
state securities laws.&nbsp; In connection with all such requests for information from Holders, the Issuer shall notify such Holders of the requirements set forth in the preceding sentence at least 30 days prior to the effectiveness of the Shelf Registration
Statement.</h3>

<p><b>3. PARTICIPATION IN UNDERWRITTEN REGISTRATIONS.</b></p>


<p>(a) No Holder may participate in any Underwritten Registration hereunder unless such Holder:</p>

<p>(i) agrees to sell such Holder's Transfer Restricted Securities on the basis provided in any underwriting arrangements approved by the Persons entitled hereunder to approve such arrangements; and</p>

<p>(ii) completes and executes all reasonable questionnaires, powers of attorney, indemnities, underwriting agreements, lock-up letters and other documents required under the terms of such underwriting arrangements.</p>

<p>(b) The Holders of Transfer Restricted Securities covered by the Shelf Registration Statement who desire to do so may sell such Transfer Restricted Securities in an Underwritten Offering.&nbsp; In any such Underwritten Offering, the investment banker or investment
bankers and manager or managers that will administer the offering will be selected by a Majority of Holders whose Transfer Restricted Securities are included in such offering; provided, that such investment bankers and managers must be reasonably satisfactory to the
Issuer.</p>

<p><b>4. REGISTRATION PROCEDURES.</b></p>

<p>(a) In connection with the Shelf Registration Statement, the Issuer shall comply with all the provisions of Section&nbsp;4(b) hereof and shall use its reasonable best efforts to effect such registration to permit the sale of the Transfer Restricted Securities being
sold in accordance with the intended method or methods of distribution thereof, and pursuant thereto, shall as expeditiously as possible prepare and file with the Commission a Shelf Registration Statement relating to the registration on any appropriate form under the
Securities Act.</p>

<p>(b) In connection with the Shelf Registration Statement and any Prospectus required by this Agreement to permit the sale or resale of Transfer Restricted Securities, except as otherwise provided herein, the Issuer shall:</p>

<p>(i) Subject to any notice by the Issuer in accordance with this Section&nbsp;4(b) of the existence of any fact or event of the kind described in Section&nbsp;4(b)(iii)(D) or 4(b)(iii)(E), and except as otherwise provided herein, use its reasonable best efforts to
keep the Shelf Registration Statement continuously effective during the Effectiveness Period.&nbsp; Upon the occurrence of any event that would cause the Shelf Registration Statement or the Prospectus contained therein (A) to contain a material misstatement or
omission or (B) not be effective and usable for resale of Transfer Restricted Securities during the Effectiveness Period, except as otherwise provided herein, the Issuer shall file promptly an appropriate amendment to the Shelf Registration Statement, or an amendment
or supplement to the Prospectus, or a report filed with the Commission pursuant to Section&nbsp;13(a), 13(c), 14 or 15(d) of the Exchange Act, in the case of clause (A), correcting any such misstatement or omission, and, in the case of either clause (A) or (B), use
its reasonable best efforts to cause any such amendment to be declared effective and the Shelf Registration Statement and the related Prospectus to become usable for their intended purposes within 20 Business Days thereafter. Notwithstanding any other provision of
this Agreement, the Issuer may suspend the effectiveness of the Shelf Registration Statement by written notice to the Holders for such periods as it deems necessary or appropriate, in its good faith judgment (each such period, a "<u>Suspension Period</u>") if an
event occurs and is continuing as a result of which the Shelf Registration Statement may, in the Issuer's good faith judgment, contain an untrue statement of a material fact or omit to state a material fact required to be stated therein or necessary to make the
statements therein not misleading.</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; If the Issuer so notifies the Holders of the suspension ("<u>Suspension Notice</u>") of the Shelf Registration Statement, then each Holder shall suspend the use of the
Prospectus and keep such notification confidential.&nbsp; The Holders shall not resume any offers or sales of any Transfer Restricted Securities until the Holders are so advised in writing by the Issuer that the use of the applicable Prospectus may be resumed, and
they have received copies of any additional or supplemental filings that are incorporated or deemed incorporated by reference in such Prospectus thereto.&nbsp; For the avoidance of doubt, so long as the Issuer is not eligible to register securities on Form S-3 (or
any successor registration form that permits the incorporation by reference of filings made by the Issuer under the Exchange Act), the Holders and the Issuer acknowledge and agree that the Issuer may suspend the effectiveness of the Shelf Registration Statement in
connection with its release of quarterly earnings information and its filing of its Quarterly Reports on Form 10-Q, Current Reports on Form 8-K, and other filings required under the Exchange Act if the Issuer believes that the Prospectus or Shelf Registration
Statement may contain an untrue statement of a material fact or omit to state a material fact required to be stated therein or necessary to make the statements therein, in light of the circumstances under which they were made, not misleading.&nbsp; Notwithstanding
the existence of any fact or event of the kind described in Section 4(b)(iii)(D) or 4(b)(iii)(E), the Holders shall not be prohibited from selling Transfer Restricted Securities under the Shelf Registration Statement as a result of (X) more than two Suspension
Periods of more than 30 days each in any twelve month period or (Y) a Suspension Period, which when aggregated with other Suspension Periods in the prior twelve-month period would exceed 90 days, unless, in either case, in the good faith judgment of the Issuer's
board of directors, there is a reasonable possibility that the sale of the Transfer Restricted Securities under the Shelf Registration Statement in reliance on this paragraph Section 4(b)(i) may cause a violation of the Securities Act.&nbsp; The existence of a
Suspension Period shall be confidential information subject to the restrictions on disclosure and use described in Section&nbsp;4(b)(v) hereof.</p>

<p>(ii) Subject to any notice by the Issuer in accordance with this Section&nbsp;4(b) of the existence of any fact or event of the kind described in Section&nbsp;4(b)(iii)(D) or 4(b)(iii)(E) and except as otherwise provided herein, prepare and file with the Commission
such amendments and post-effective amendments to the Shelf Registration Statement as may be necessary to keep the Shelf Registration Statement effective during the Effectiveness Period; cause the Prospectus to be supplemented by any required Prospectus supplement,
and as so supplemented to be filed pursuant to Rule 424 under the Securities Act, and to comply fully with the applicable provisions of Rules 424 and 430A under the Securities Act in a timely manner; and comply with the provisions of the Securities Act with respect
to the disposition of all securities covered by the Shelf Registration Statement during the applicable period in accordance with the intended method or methods of distribution by the sellers thereof set forth in the Shelf Registration Statement or Prospectus
supplement.</p>

<p>(iii) Advise the selling Holders that have furnished information pursuant to Section&nbsp;4(d) hereof, the Holders, and the underwriter(s), if any, promptly (but in any event within five Business Days) and, if requested by such Persons, confirm such advice in
writing:</p>

<p>(A) with respect to the Shelf Registration Statement or any post-effective amendment thereto, when the same has become effective, and when the Prospectus or any Prospectus supplement or post-effective amendment has been filed,</p>

<p>(B) of any request by the Commission for amendments to the Shelf Registration Statement or amendments or supplements to the Prospectus or for additional information relating thereto,</p>

<p>(C) of the issuance by the Commission of any stop order suspending the effectiveness of the Shelf Registration Statement under the Securities Act or of the suspension by any state securities commission of the qualification of the Transfer Restricted Securities for
offering or sale in any jurisdiction, or the initiation of any proceeding for any of the preceding purposes,</p>

<p>(D) of the existence of any fact or the happening of any event, during the Effectiveness Period, that makes any statement of a material fact made in the Shelf Registration Statement or the Prospectus, any amendment or supplement thereto, or any document incorporated
by reference therein untrue, or that requires the making of any additions to or changes in the Shelf Registration Statement or the Prospectus in order to make the statements therein not misleading, or</p>

<p>(E) the Issuer's determination that a post-effective amendment to the Shelf Registration Statement may otherwise be appropriate to comply with the Securities Act;</p>

<p><u>provided</u>, that in any such notice the Issuer may, in any case, in its discretion, state that it constitutes an exercise of its right to declare a Suspension Period pursuant to Section&nbsp;4(b)(i).</p>

<p>If at any time the Commission shall issue any stop order suspending the effectiveness of the Shelf Registration Statement, or any state securities commission or other regulatory authority shall issue an order suspending the qualification or exemption from
qualification of the Transfer Restricted Securities under state securities or Blue Sky laws, the Issuer shall use its reasonable best efforts to obtain the withdrawal or lifting of such order at the earliest possible time.&nbsp; Any confidential information provided
pursuant to this Section&nbsp;4(b)(iii) shall be subject to the restrictions on disclosure and use described in Section&nbsp;4(b)(v) hereof.</p>

<p>(iv) Furnish to each of the selling Holders that has furnished information pursuant to Section&nbsp;4(d) hereof, the Holders and each of the underwriter(s), if any, at least five Business Days before filing with the Commission, a copy of the Shelf Registration
Statement and copies of any Prospectus included therein or any amendments or supplements to the Shelf Registration Statement or Prospectus (other than any documents incorporated by reference after the initial filing of the Shelf Registration Statement), which
documents will be subject to the review of such Holders, Holders and underwriter(s), if any, for a period of five Business Days, and the Issuer will not file any Shelf Registration Statement or Prospectus or any amendment or supplement to the Shelf Registration
Statement or Prospectus (other than any documents incorporated by reference) to which a selling Holder of Transfer Restricted Securities covered by the Shelf Registration Statement, Holders, or the underwriter(s), if any, shall reasonably object.&nbsp; A selling
Holder or Holders, or an underwriter, if any, shall be deemed to have reasonably objected to such filing if the Shelf Registration Statement, amendment, Prospectus or supplement, as applicable, as proposed to be filed, contains a material misstatement or
omission.&nbsp; Notwithstanding the foregoing, the Issuer shall not be required to furnish the selling Holders with any amendment or supplement to the Shelf Registration Statement or Prospectus filed solely to reflect changes to the amount of Notes held by any
particular Holder at the request of such Holder or immaterial revisions to the information contained therein.&nbsp; Any confidential information provided pursuant to this Section&nbsp;4(b)(iv) shall be subject to the restrictions on disclosure and use described in
Section&nbsp;4(b)(v) hereof.</p>

<p>(v) Make available at reasonable times for inspection by one or more representatives of the selling Holders, designated in writing by a Majority of Holders whose Transfer Restricted Securities are included in the Shelf Registration Statement, any underwriter
participating in any distribution pursuant to the Shelf Registration Statement and any attorney or accountant retained by such selling Holders or any of the underwriter(s), all financial and other records, pertinent corporate documents and properties of the Issuer as
shall be reasonably necessary to enable them to exercise any applicable due diligence responsibilities, and cause the Issuer's officers, directors, managers and employees to supply all information reasonably requested by any such representative or representatives of
the selling Holders, underwriter, attorney or accountant in connection with the Shelf Registration Statement after the filing thereof and before its effectiveness (collectively, the "Information"); <u>provided</u>, <u>however</u>, that the Issuer &nbsp; shall have no
obligation to provide any such information prior to the execution by the party receiving such information of a confidentiality agreement in a form reasonably acceptable to the Issuer.&nbsp; Information that the Issuer determines, in good faith, to be confidential and
any Information that it notifies the Holders or their Representatives is confidential shall not be used for any purpose other than satisfying "due diligence" obligations under the Securities Act and exercising rights under this Agreement and shall not be disclosed by
any recipient unless (i) the disclosure of such Information is necessary to avoid or correct a material misstatement or material omission in such Registration Statement, (ii) the release of such Information is ordered pursuant to a subpoena or other order from a
court of competent jurisdiction or pursuant to the requirements of regulatory or supervisory authorities, (iii) disclosure of such information is, in the reasonable opinion of counsel for the selling Holder, necessary or advisable in connection with any action,
claim, suit or proceeding, directly involving or potentially involving such selling Holder and arising out of, based upon, relating to, or involving this Agreement or any transactions contemplated hereby or arising hereunder or (iv) the Information has been made
generally available to the public other than through the acts of such recipient in breach of this Agreement; provided that prior notice shall be provided as soon as practicable to the Issuer of the potential disclosure of any information by such recipient pursuant to
clauses (ii) or (iii) of this sentence to permit the Issuer to obtain a protective order (or waive the provisions of this provision).&nbsp; Each recipient shall take such actions as are reasonably necessary to protect the confidentiality of such Information (if
practicable) to the extent such actions are otherwise not inconsistent with, an impairment of or in derogation of the rights and interests of the Holder, unless and until such Information has been made generally available to the public other than as a result of a
breach of this Agreement (it being understood that "reasonably necessary" for the purposes of this sentence will be defined by reference to those actions taken by such recipient in protecting the confidentiality of its own information).</p>

<p>(vi) If requested by any selling Holders, the Holders, or the underwriter(s), if any, promptly incorporate in the Shelf Registration Statement or Prospectus, pursuant to a supplement or post-effective amendment if necessary, such information as such selling Holders,
the Holders, and such underwriter(s), if any, may reasonably request to have included therein, including, without limitation:&nbsp; (1) information relating to the "Plan of Distribution" of the Transfer Restricted Securities, (2) information with respect to the
principal amount of Notes or number of shares of Common Stock being sold to such underwriter(s), (3) the purchase price being paid therefor and (4) any other terms of the offering of the Transfer Restricted Securities to be sold in such offering; and make all
required filings of such Prospectus supplement or post-effective amendment as soon as reasonably practicable after the Issuer is notified of the matters to be incorporated in such Prospectus supplement or post-effective amendment.&nbsp; Notwithstanding the foregoing,
following the effective date of the Shelf Registration Statement, the Issuer shall not be required to file more than one such supplement or post-effective amendment to reflect changes in the amount of Transfer Restricted Securities held by any Holders at the request
of such Holders in any 30-day period.</p>

<p>(vii) Furnish to each selling Holder, the Holders and each of the underwriter(s), if any, without charge, at least one copy of the Shelf Registration Statement, as first filed with the Commission, and of each amendment thereto (and any documents incorporated by
reference therein or exhibits thereto (or exhibits incorporated in such exhibits by reference) as such Person may request).</p>

<p>(viii) Deliver to each selling Holder, the Holders and each of the underwriter(s), if any, without charge, as many copies of the Prospectus (including each preliminary prospectus) and any amendment or supplement thereto as such Persons reasonably may request; subject to
any notice by the Issuer in accordance with this Section&nbsp;4(b) of the existence of any fact or event of the kind described in Section&nbsp;4(b)(iii)(D), the Issuer hereby consents to the use of the Prospectus and any amendment or supplement thereto by each of the
selling Holders and each of the underwriter(s), if any, in connection with the offering and the sale of the Transfer Restricted Securities covered by the Prospectus or any amendment or supplement thereto.</p>

<p>(ix) If an underwriting agreement is entered into and the registration is an Underwritten Registration, the Issuer shall:</p>

<p>(A) upon request, furnish to each selling Holder and each underwriter, if any, in such substance and scope as they may reasonably request and as are customarily made by issuers to underwriters in primary underwritten offerings, upon the date of closing of any sale of
Transfer Restricted Securities in an Underwritten Registration:</p>

<p>(1) a certificate, dated the date of such closing, signed by either the Chief Financial Officer or the Chief Executive Officer of the Issuer and confirming, as of the date thereof, such customary matters as such parties may reasonably request;</p>

<p>(2) opinions, each dated the date of such closing, of counsel to the Issuer covering such of the matters as are customarily covered in legal opinions to underwriters in connection with primary underwritten offerings of securities; and</p>

<p>(3) customary comfort letters, dated the date of such closing, from the Issuer's independent certified public accountants (and from any other accountants whose report is contained or incorporated by reference in the Shelf Registration Statement), in the customary form
and covering matters of the type customarily covered in comfort letters to underwriters in connection with primary underwritten offerings of securities;</p>

<p>(B) set forth in full in the underwriting agreement, if any, customary indemnification provisions and procedures which provide rights no less protective than those set forth in Section&nbsp;6 hereof with respect to all parties to be indemnified; and</p>

<p>(C) deliver such other customary documents and certificates as may be reasonably requested by such parties to evidence compliance with clause (A) above and with any customary conditions contained in the underwriting agreement or other agreement entered into by the
selling Holders pursuant to this clause (ix).</p>

<p>(x) Before any public offering of Transfer Restricted Securities, cooperate with the selling Holders, the underwriter(s), if any, and their respective counsel in connection with the registration and qualification of the Transfer Restricted Securities under the
securities or Blue Sky laws of such jurisdictions in the United States as the selling Holders or underwriter(s), if any, may reasonably request and do any and all other acts or things necessary or advisable to enable the disposition in such jurisdictions of the
Transfer Restricted Securities covered by the Shelf Registration Statement; <u>provided</u>, <u>however</u>, that the Issuer shall not be required (A) to register or qualify as a foreign corporation or a dealer of securities where it is not now so qualified or to
take any action that would subject it to the service of process in any jurisdiction where it is not now so subject or (B)&nbsp;to subject itself to taxation in any such jurisdiction if it is not now so subject.</p>

<p>(xi) Cooperate with the selling Holders and the underwriter(s), if any, to facilitate the timely preparation and delivery of certificates representing Transfer Restricted Securities to be sold and not bearing any restrictive legends (unless required by applicable
securities laws); and enable such Transfer Restricted Securities to be in such denominations and registered in such names as the Holders or the underwriter(s), if any, may request at least two Business Days before any sale of Transfer Restricted Securities made by
such underwriter(s).</p>

<p>(xii) Use its reasonable best efforts to cause the Transfer Restricted Securities covered by the Shelf Registration Statement to be registered with or approved by such other U.S. governmental agencies or authorities as may be necessary to enable the seller or sellers
thereof or the underwriter(s), if any, to consummate the disposition of such Transfer Restricted Securities.</p>

<p>(xiii) Subject to Section&nbsp;4(b)(i) hereof, if any fact or event contemplated by Section&nbsp;4(b)(iii)(D) hereof shall exist or have occurred, use its reasonable best efforts to prepare a supplement or post-effective amendment to the Shelf Registration Statement or
related Prospectus or any document incorporated therein by reference or file any other required document so that, as thereafter delivered to the purchasers of Transfer Restricted Securities, the Prospectus will not contain an untrue statement of a material fact or
omit to state any material fact required to be stated therein or necessary to make the statements therein not misleading.</p>

<p>(xiv) Provide CUSIP numbers for all Transfer Restricted Securities not later than the effective date of the Shelf Registration Statement and provide the Trustee under the Indenture with certificates for the Notes that are in a form eligible for deposit with The
Depository Trust Company.</p>

<p>(xv) Cooperate and assist in any filings required to be made with the NASD and in the performance of any due diligence investigation by any underwriter that is required to be retained in accordance with the rules and regulations of the NASD.</p>

<p>(xvi) Otherwise use its reasonable best efforts to comply with all applicable rules and regulations of the Commission and all reporting requirements under the rules and regulations of the Exchange Act.</p>

<p>(xvii) Cause the Indenture to be qualified under the TIA not later than the effective date of the Shelf Registration Statement required by this Agreement, and, in connection therewith, cooperate with the trustee and the Holders of Notes to effect such changes to the
Indenture as may be required for such Indenture to be so qualified in accordance with the terms of the TIA; and execute and use its reasonable best efforts to cause the trustee thereunder to execute all documents that may be required to effect such changes and all
other forms and documents required to be filed with the Commission to enable such Indenture to be so qualified in a timely manner.</p>

<p>(xviii) Cause all Transfer Restricted Securities covered by the Shelf Registration Statement to be listed or quoted, as the case may be, on each securities exchange or automated quotation system on which similar securities issued by the Issuer are then listed or
quoted.</p>

<p>(xix) Provide promptly to each Holder upon written request each document filed with the Commission pursuant to the requirements of Section&nbsp;13 and Section&nbsp;15 of the Exchange Act after the effective date of the Shelf Registration Statement.</p>

<p>(c) Each Holder agrees by acquisition of a Transfer Restricted Security that, upon receipt of any notice from the Issuer of the existence of any fact of the kind described in Section&nbsp;4(b)(iii)(C), 4(b)(iii)(D), 4(b)(iii)(E) or 4(b)(iv) hereof, such Holder will,
and will use its reasonable best efforts to cause any underwriter(s) in an Underwritten Offering to, forthwith discontinue disposition of Transfer Restricted Securities pursuant to the Shelf Registration Statement, and, subject to Section 4(b)(v) hereof, hold the
content of such notice from the Issuer in confidence, until:</p>

<p>(i) such Holder has received copies of the supplemented or amended Prospectus contemplated by Section&nbsp;4(b)(xiii) hereof; or</p>

<p>(ii) such Holder is advised in writing by the Issuer that the use of the Prospectus may be resumed, and has received copies of any additional or supplemental filings that are incorporated or deemed incorporated by reference in the Prospectus.</p>

<p>If so directed by the Issuer, each Holder will deliver to the Issuer a certificate that it has destroyed all copies of the Prospectus covering such Transfer Restricted Securities that was current at the time of receipt of such notice of suspension or (at the
Issuer's expense) all copies, other than permanent file copies then in such Holder's possession of such Prospectus.</p>

<p>(d) (1)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Not less than 30 calendar days prior to the effectiveness of the Shelf Registration Statement, the Issuer shall mail a questionnaire to each Holder of Transfer Restricted Securities.&nbsp; Each
Holder who intends to be named as a selling Holder in the Shelf Registration Statement shall furnish to the Issuer in writing by the Questionnaire Deadline, as set forth in the questionnaire, such information regarding such Holder and the proposed distribution by
such Holder of its Transfer Restricted Securities as the Issuer may reasonably request for use in connection with the Shelf Registration Statement or Prospectus or preliminary Prospectus included therein.&nbsp; The form of the questionnaire is attached hereto as
Exhibit A.&nbsp; Each Holder who intends to be named as a selling Holder in the Shelf Registration Statement shall promptly furnish to the Issuer in writing such other information as the Issuer may from time to time reasonably request in writing.&nbsp; Each Holder as
to which the Shelf Registration Statement is being effected agrees to furnish promptly to the Issuer all information required to be disclosed in order to make information previously furnished to the Issuer by such Holder not materially misleading and does not omit to
state any material fact required to be stated therein or necessary to make the statements therein not misleading.&nbsp; The Issuer shall take action to name each Holder that furnishes to the Issuer the requested information by the Questionnaire Deadline so that such
Holder is named as a selling securityholder in the Shelf Registration Statement at the time of its effectiveness and is permitted to deliver the Prospectus forming a part thereof as of such time to purchasers of such Holder's Transfer Restricted Securities in
accordance with applicable law. &nbsp;Holders that do not complete the questionnaire and timely deliver it to the Issuer or fail to promptly furnish any such additional information as may be reasonably requested shall not be named as selling securityholders in the
Prospectus or preliminary Prospectus included in the Shelf Registration Statement and therefore shall not be permitted to sell any Transfer Restricted Securities pursuant to the Shelf Registration Statement.</p>

<p>(2)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; After the Shelf Registration Statement has become effective, the Issuer shall, upon the request of any Holder of Transfer Restricted Securities, promptly send a questionnaire to such Holder.&nbsp;
From and after the date on which the Shelf Registration Statement has become effective, the Issuer shall (i) as promptly as is practicable after the date a completed and signed questionnaire is delivered to the Issuer prepare and file with the Securities and Exchange
Commission (x) a supplement to the Prospectus or, if required by applicable law, a post-effective amendment to the Shelf Registration Statement and (y) any other document required by applicable law, so that the Holder delivering such questionnaire is named as a
selling securityholder in the Shelf Registration Statement and is permitted to deliver the Prospectus to purchasers of such Holder's Transfer Restricted Securities in accordance with applicable law, and (ii) if the Issuer shall file a post-effective amendment to the
Shelf Registration Statement, use its reasonable best efforts to cause such post-effective amendment to become effective under the Act as promptly as is practicable;&nbsp; <u>provided</u>, <u>however</u>, that if a questionnaire is delivered to the Issuer during a
Suspension Period, the Issuer shall not be obligated to take the actions set forth in clauses (i) and (ii) until the termination of such Suspension Period.</p>

<p>(3)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Any sale of any Transfer Restricted Securities by any Holder shall constitute a representation and warranty by such Holder that the information relating to such Holder and its plan of distribution is
as set forth in the Prospectus delivered by such Holder in connection with such disposition, that such Prospectus does not as of the time of such sale contain any untrue statement of a material fact relating to or provided by such Holder or its plan of distribution
and that such Prospectus does not as of the time of such sale omit to state any material fact relating to or provided by such Holder or its plan of distribution necessary to make the statements in such Prospectus, in the light of the circumstances under which they
were made, not misleading.</p>

<p><b>5. REGISTRATION EXPENSES.</b><p>

<p>&nbsp; All expenses incident to the Issuer's performance of or compliance with this Agreement shall be borne by the Issuer regardless of whether a Shelf Registration Statement becomes effective, including, without limitation:</h1>

<p>(i) all registration and filing fees and expenses (including filings made by the Holders, Holders or underwriters with the NASD);</p>

<p>(ii) all fees and expenses of compliance with U. S. federal securities and state Blue Sky or securities laws;</p>

<p>(iii) all expenses of printing (including printing of Prospectuses and certificates for the Common Stock to be issued upon conversion of the Notes), messenger and delivery services and telephone;</p>

<p>(iv) all fees and disbursements of counsel to the Issuer;</p>

<p>(v) all application and filing fees in connection with listing (or authorizing for quotation) the Common Stock on a national securities exchange or automated quotation system pursuant to the requirements hereof; and</p>

<p>(vi) all fees and disbursements of independent certified public accountants of the Issuer (including the expenses of any special audit and comfort letters required by or incident to such performance).</p>

<p>The Issuer shall bear its internal expenses (including, without limitation, all salaries and expenses of its officers and employees performing legal, accounting or other duties), the expenses of any annual audit and the fees and expenses of any Person, including
special experts, retained by the Issuer.&nbsp; The Holders shall bear their own expenses.</p>

<p><b>6. INDEMNIFICATION AND CONTRIBUTION.</b></p>

<p>(a) The Issuer agrees to indemnify and hold harmless the Holders, each Holder and each Person who participates as an underwriter (any such Person being an "Underwriter") and each Person, if any, who controls the Holders, any Holder or any Underwriter within the
meaning of either Section&nbsp;15 of the Securities Act or Section&nbsp;20 of the Exchange Act as follows:</p>

<p>(i) against any and all loss, liability, claim, damage and expense whatsoever, as incurred, arising out of any untrue statement or alleged untrue statement of a material fact contained in any Shelf Registration Statement (or any amendment or supplement thereto),
including all documents incorporated therein by reference, or the omission or alleged omission therefrom of a material fact required to be stated therein or necessary to make the statements therein not misleading, or arising out of any untrue statement or alleged
untrue statement of a material fact contained in any Prospectus (or any amendment or supplement thereto) or the omission or alleged omission therefrom of a material fact necessary in order to make the statements therein, in the light of the circumstances under which
they were made, not misleading;</p>

<p>(ii)against any and all loss, liability, claim, damage and expense whatsoever, as incurred, to the extent of the aggregate amount paid in settlement of any litigation, or any investigation or proceeding by any governmental agency or body, commenced or threatened, or
of any claim whatsoever based upon any such untrue statement or omission, or any such alleged untrue statement or omission; <u>provided</u> that any such settlement is effected with the written consent of the Issuer; and</p>

<p>(iii) against any and all expense whatsoever, as incurred (including the fees and disbursements of counsel chosen by any indemnified party), reasonably incurred in investigating, preparing or defending against any litigation, or any investigation or proceeding by any
governmental agency or body, commenced or threatened, or any claim whatsoever based upon any such untrue statement or omission, or any such alleged untrue statement or omission, to the extent that any such expense is not paid under subparagraph (i) or (ii)
above;</p>

<p><i>provided</i> that the Issuer will not be liable under this Section&nbsp;6(a), (x) to the extent that any such loss, liability, claim, damage or expense arises out of or is based upon an untrue statement or alleged untrue statement, or omission or alleged
omission made in any such Registration Statement or Prospectus, or any amendment or supplement thereto or any related preliminary prospectus in reliance upon and in conformity with written information relating to any Holder furnished to the Issuer by or on behalf of
the Holders, such Holder or such Underwriter specifically for use therein, (y) with respect to any untrue statement or alleged untrue statement, or omission or alleged omission made in any preliminary prospectus if the person asserting any such loss, liability,
claim, damage or expense who purchased Transfer Restricted Securities which are the subject thereof did not receive a copy of the Prospectus (or the preliminary prospectus as then amended or supplemented if the Issuer shall have furnished the Holders, such Holder or
such Underwriter with such amendment or supplement thereto on a timely basis) at or prior to the written confirmation of the sale of such Transfer Restricted Securities to such person and, in any case where such delivery is required by applicable law and the untrue
statement or alleged untrue statement or omission or alleged omission of a material fact made in such preliminary prospectus was corrected in the Prospectus (or the preliminary prospectus as then amended or supplemented if the Issuer shall have furnished the Holders,
such Holder or such Underwriter with such amendment or supplement thereto on a timely basis) or (z) arising from the offer or sale of Transfer Restricted Securities during any Suspension Period, if notice thereof was given to the Holders on a timely basis, such
Holder or such Underwriter.</p>

<p>(b) Each Holder, severally but not jointly, agrees to indemnify and hold harmless the Issuer, the Holders, each Underwriter and the other selling Holders and each Person, if any, who controls the Issuer, the Holders, any Underwriter or any other selling Holder within
the meaning of Section&nbsp;15 of the Securities Act or Section&nbsp;20 of the Exchange Act, against any and all loss, liability, claim, damage and expense described in the indemnity contained in Section&nbsp;6(a) hereof, as incurred, but only with respect to untrue
statements or omissions, or alleged untrue statements or omissions, made in any Shelf Registration Statement (or any amendment or supplement thereto) or any Prospectus (or any amendment or supplement thereto) in reliance upon and in conformity with written
information with respect to such Holder furnished to the Issuer by such Holder expressly for use in the Shelf Registration Statement (or any amendment thereto) or such Prospectus (or any amendment or supplement thereto); <u>provided</u>, <u>however</u>, that no such
Holder shall be liable for any claims hereunder in excess of the amount of net proceeds received by such Holder from the sale of Transfer Restricted Securities pursuant to such Shelf Registration Statement.</p>

<p>(c) Each indemnified party shall give notice as promptly as reasonably practicable to each indemnifying party of any action or proceeding commenced against it in respect of which indemnity may be sought hereunder, but failure so to notify an indemnifying party shall
not relieve such indemnifying party from any liability hereunder to the extent it is not materially prejudiced as a result thereof and in any event shall not relieve it from any liability which it may have otherwise than on account of this indemnity agreement.&nbsp;
An indemnifying party may participate at its own expense in the defense of such action; <u>provided</u>, <u>however</u>, that counsel to the indemnifying party shall not (except with the consent of the indemnified party) also be counsel to the indemnified
party.&nbsp; In no event shall the indemnifying party or parties be liable for the fees and expenses of more than one counsel (in addition to any local counsel) separate from their own counsel for all indemnified parties in connection with any one action or separate
but similar or related actions in the same jurisdiction arising out of the same general allegations or circumstances.&nbsp; No indemnifying party shall, without the prior written consent of the indemnified parties, settle or compromise or consent to the entry of any
judgment with respect to any litigation, or any investigation or proceeding by any governmental agency or body, commenced or threatened, or any claim whatsoever in respect of which indemnification or contribution could be sought under this Section&nbsp;6 (whether or
not the indemnified parties are actual or potential parties thereto), unless such settlement, compromise or consent (i)&nbsp;includes an unconditional release of each indemnified party from all liability arising out of such litigation, investigation, proceeding or
claim and (ii) does not include a statement as to or an admission of fault, culpability or a failure to act by or on behalf of any indemnified party.</p>

<p>(d) If the indemnification provided for in this Section&nbsp;6 is for any reason unavailable to or insufficient to hold harmless an indemnified party in respect of any losses, liabilities, claims, damages or expenses referred to therein, then each indemnifying party
shall contribute to the aggregate amount of such losses, liabilities, claims, damages and expenses incurred by such indemnified party, as incurred, in such proportion as is appropriate to reflect the relative fault of the indemnifying party or parties on the one hand
and the indemnified party or parties on the other hand in connection with the statements or omissions which resulted in such losses, liabilities, claims, damages or expenses, as well as any other relevant equitable considerations.</h3>

<p>The relative fault of the indemnifying party or parties on the one hand and the indemnified party or parties on the other hand shall be determined by reference to, among other things, whether any such untrue or alleged untrue statement of a material fact or
omission or alleged omission to state a material fact relates to information supplied by the indemnifying party or parties on the one hand or the indemnified party or parties on the other hand and the parties' relative intent, knowledge, access to information and
opportunity to correct or prevent such statement or omission.</p>

<p>The parties hereto agree that it would not be just and equitable if contribution pursuant to this Section&nbsp;6 were determined by pro rata allocation or by any other method of allocation which does not take account of the equitable considerations referred to
above in this Section&nbsp;6.&nbsp; The aggregate amount of losses, liabilities, claims, damages and expenses incurred by an indemnified party and referred to above in this Section&nbsp;6 shall be deemed to include any legal or other expenses reasonably incurred by
such indemnified party in investigating, preparing or defending against any litigation, or any investigation or proceeding by any governmental agency or body, commenced or threatened, or any claim whatsoever based upon any such untrue or alleged untrue statement or
omission or alleged omission.</p>

<p>Notwithstanding the provisions of this Section&nbsp;6, no Holder shall be required to contribute any amount in excess of the amount by which the total price at which the Transfer Restricted Securities purchased by it were resold exceeds the amount of any damages
which such Holder has otherwise been required to pay by reason of any untrue or alleged untrue statement or omission or alleged omission.&nbsp; The Holders' obligations to contribute as provided in this Section&nbsp;6(d) are several and not joint.</p>

<p>No Person guilty of fraudulent misrepresentation (within the meaning of Section&nbsp;11(f) of the Securities Act) shall be entitled to contribution from any Person who was not guilty of such fraudulent misrepresentation.</p>

<p>For purposes of this Section&nbsp;6, each Person, if any, who controls the Holders, a Holder or an Underwriter within the meaning of Section&nbsp;15 of the Securities Act or Section&nbsp;20 of the Exchange Act shall have the same rights to contribution as such
Initial Purchaser, such Holder or such Underwriter, and each director of the Issuer, and each Person, if any, who controls the Issuer within the meaning of Section&nbsp;15 of the Securities Act or Section&nbsp;20 of the Exchange Act shall have the same rights to
contribution as the Issuer.</p>

<p><b>7. RULE 144A.</b></p>

<p>&nbsp; In the event the Issuer is not subject to Section&nbsp;13 or 15(d) of the Exchange Act, the Issuer hereby agrees with each Holder, for so long as any Transfer Restricted Securities remain outstanding, to make available to any Holder or beneficial owner of
Transfer Restricted Securities in connection with any sale thereof and any prospective purchaser of such Transfer Restricted Securities from such Holder or beneficial owner, the information required by Rule 144A(d)(4) under the Securities Act in order to permit
resales of such Transfer Restricted Securities pursuant to Rule 144A, if applicable.</p>

<p><b>8. MISCELLANEOUS.</b></p>

<p>(a) NO INCONSISTENT AGREEMENTS.&nbsp; The Issuer will not, on or after the date of this Agreement, enter into any agreement with respect to its securities that is inconsistent with the rights granted to the Holders in this Agreement or otherwise conflicts with the
provisions hereof.&nbsp; In addition, the Issuer shall not grant to any of its security holders (other than the Holders of Transfer Restricted Securities in such capacity) the right to include any of its securities in the Shelf Registration Statement provided for in
this Agreement other than the Transfer Restricted Securities. &nbsp; The Issuer has not previously entered into any agreement (which has not expired or been terminated) granting any registration rights with respect to its securities to any Person which rights
conflict with the provisions hereof.</p>

<p>(b) AMENDMENTS AND WAIVERS.&nbsp; This Agreement may not be amended, modified or supplemented, and waivers or consents to or departures from the provisions hereof may not be given, unless the Issuer has obtained the written consent of a Majority of Holders.&nbsp;
Each Holder of Transfer Restricted Securities outstanding at the time of any amendment, modification, supplement, waiver, or consent or thereafter shall be bound by any such amendment, modification, supplement, waiver, or consent effected pursuant to this Section,
whether or not any notice of such amendment, modification, supplement, waiver, or consent is delivered to such Holder.</p>

<p>(c) NOTICES.&nbsp; All notices and other communications provided for or permitted hereunder shall be made in writing by hand-delivery, first-class mail (registered or certified, return receipt requested), telex, telecopier, or air courier guaranteeing overnight
delivery:</p>

<p>(i) if to a Holder, at the address set forth on the records of the registrar under the Indenture or the transfer agent of the Common Stock, as the case may be; and</p>

<p>(ii) if to the Issuer:</p>

<p>Richardson Electronics, Ltd.</p>

<p>40 W. 267 Keslinger Road</p>

<p>P.O. Box 393</p>

<p>La Fox, Illinois&nbsp; 60147-0393</p>

<p>Attention:&nbsp; General Counsel</p>

<p></p>

<p>All such notices and communications shall be deemed to have been duly given:&nbsp; at the time delivered by hand, if personally delivered; five Business Days after being deposited in the mail, postage prepaid, if mailed; when answered back, if telexed; when
receipt acknowledged, if telecopied; on the next Business Day, if timely delivered to an air courier guaranteeing overnight delivery; and when the addressor receives facsimile confirmation, if sent by facsimile during normal business hours, and otherwise on the next
Business Day during normal business hours.</p>

<p>(d) SUCCESSORS AND ASSIGNS.&nbsp; This Agreement shall inure to the benefit of and be binding upon the successors and assigns of each of the parties, including without limitation and without the need for an express assignment, subsequent Holders of Transfer
Restricted Securities; <u>provided</u>, <u>however</u>, that (i) this Agreement shall not inure to the benefit of or be binding upon a successor or assign of a Holder unless and to the extent such successor or assign acquired Transfer Restricted Securities from such
Holder and (ii) nothing contained herein shall be deemed to permit any assignment, transfer or other disposition of Transfer Restricted Securities in violation of the terms of the Indenture or the terms of such Securities.&nbsp; If any transferee of any Holder shall
acquire Transfer Restricted Securities, in any manner, whether by operation of law or otherwise, such Transfer Restricted Securities shall be held subject to all of the terms of this Agreement, and by taking and holding such Transfer Restricted Securities such person
shall be conclusively deemed to have agreed to be bound by and to perform all of the terms and provisions of this Agreement.</p>

<p>(e) COUNTERPARTS.&nbsp; This Agreement may be executed in any number of counterparts and by the parties hereto in separate counterparts, each of which when so executed shall be deemed to be an original and all of which taken together shall constitute one and the same
agreement.</p>

<p>(f) SECURITIES HELD BY THE ISSUER OR ITS AFFILIATES.&nbsp; Whenever the consent or approval of Holders of a specified percentage of Transfer Restricted Securities is required hereunder, Transfer Restricted Securities held by the Issuer or its "affiliates" (as such
term is defined in Rule 405 under the Securities Act) shall not be counted in determining whether such consent or approval was given by the Holders of such required percentage, &nbsp; <i>provided</i> that Transfer Restricted Securities that the Issuer or an affiliate
of the Issuer offers to purchase or acquires pursuant to an offer, exchange offer, tender offer or otherwise shall not be deemed to be held by the Issuer or such affiliate until legal title to such Transfer Restricted Securities passes to the Issuer or such
affiliate, as the case may be.&nbsp;</p>

<p>(g) HEADINGS.&nbsp; The headings in this Agreement are for convenience of reference only and shall not limit or otherwise affect the meaning hereof.</p>

<p>(h) GOVERNING LAW.&nbsp; This Agreement shall be governed by, and construed in accordance with, the law of the State of Illinois, without regard to conflict of laws principles thereof.</p>

<p>(i) SEVERABILITY.&nbsp; If any one or more of the provisions contained herein, or the application thereof in any circumstance, is held invalid, illegal or unenforceable, the validity, legality and enforceability of any such provision in every other respect and of the
remaining provisions contained herein shall not be affected or impaired thereby.</p>

<p>(j) ENTIRE AGREEMENT.&nbsp; This Agreement is intended by the parties as a final expression of their agreement and intended to be a complete and exclusive statement of the agreement and understanding of the parties hereto in respect of the subject matter contained
herein.&nbsp; There are no restrictions, promises, warranties or undertakings, other than those set forth or referred to herein with respect to the registration rights granted by the Issuer with respect to the Transfer Restricted Securities.&nbsp; This Agreement
supersedes all prior oral or written agreements, representations, warranties, contracts, correspondence, conversations, memoranda and understandings between or among the parties or any of their agents, representatives or affiliates with respect to such subject matter
including, without limitation, any summary term sheet, emails or draft agreements.</p>

<p align="center"><b>[The remainder of this page intentionally left blank.]</b></p>

<br clear="all" />


<p>IN WITNESS WHEREOF, the parties have executed this Agreement as of the date first written above.</p>

<p><b>THE ISSUER:</b></p>

<p>RICHARDSON ELECTRONICS, LTD.</p>

<p></p>

<p></p>

<p>By:&nbsp;
<u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</u></p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Name:</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Title:</p>

<p><b>HOLDERS:</b></p>

<p></p>

<p>_____________________________</p>

<p>By:&nbsp;
<u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</u></p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Name:</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Title:</p>
</div>

<br clear="all" />


<div>
<p align="center">Exhibit A</p>

<p align="center"><b>RICHARDSON ELECTRONICS, LTD.</b></p>

<p align="center"><b>FORM OF SELLING SECURITYHOLDER NOTICE AND QUESTIONNAIRE</b></p>

<p>The undersigned beneficial holder of 7 3/4% Convertible Senior Subordinated Notes due 2011 (the "Notes") of Richardson Electronics, Ltd. (the "Issuer"), or common stock, par value $.05 per share issued upon conversion of the Notes (the "Shares" and together with
the Notes, the "Transfer Restricted Securities"), of the Issuer understands that the Issuer has filed, or intends to file, with the Securities and Exchange Commission (the "Commission") a registration statement (the "Shelf Registration Statement"), for the
registration and resale under Rule 415 of the Securities Act of 1933, as amended (the "Securities Act"), of the Transfer Restricted Securities in accordance with the terms of the Resale Registration Rights Agreement, dated February __, 2005 (the "Registration Rights
Agreement"), between the Issuer and the Holders.&nbsp; A copy of the Registration Rights Agreement is available from the Issuer upon request at the address set forth below.&nbsp; All capitalized terms not otherwise defined herein have the meaning ascribed thereto in
the Registration Rights Agreement.</p>

<p>Each beneficial owner of Transfer Restricted Securities is entitled to the benefits of the Registration Rights Agreement.&nbsp; In order to sell or otherwise dispose of any Transfer Restricted Securities pursuant to the Shelf Registration Statement, a beneficial
owner of Transfer Restricted Securities generally will be required to be named as a selling securityholder in the related Prospectus, deliver a Prospectus to purchasers of Transfer Restricted Securities and be bound by those provisions of the Registration Rights
Agreement applicable to such beneficial owner (including certain indemnification provisions, as described below).</p>

<p>Beneficial owners that do not complete this Notice and Questionnaire and deliver it to the Issuer as provided below will not be named as selling securityholders in the prospectus and will not be permitted to sell any Transfer Restricted Securities pursuant to the
Shelf Registration Statement.&nbsp; Beneficial owners are encouraged to complete and deliver this Notice and Questionnaire on or before the tenth business day prior to the effectiveness of the Shelf Registration Statement so that such beneficial owners may be named
as selling securityholders in the related prospectus at the time the Shelf Registration Statement becomes effective.&nbsp; Upon receipt of a completed Notice and Questionnaire from a beneficial owner following the effectiveness of the Shelf Registration Statement,
the Issuer will, as promptly as practicable, make filings with the Commission as are necessary to permit such beneficial owner to deliver such prospectus to purchasers of Transfer Restricted Securities, subject to certain limitations set forth in the Registration
Rights Agreement.</p>

<p>Certain legal consequences arise from being named as a selling securityholder in the Shelf Registration Statement and the related Prospectus.&nbsp; Accordingly, holders and beneficial owners of Transfer Restricted Securities are advised to consult their own
securities law counsel regarding the consequences of being named or not being named as a selling securityholder in the Shelf Registration Statement and the related Prospectus.</p>

<b><br clear="all" />
</b>

<p align="center"><b>NOTICE</b></p>

<p>The undersigned beneficial owner (the "Selling Securityholder") of Transfer Restricted Securities hereby gives notice to the Issuer of its intention to sell or otherwise dispose of Transfer Restricted Securities beneficially owned by it and listed below in Item 3
(unless otherwise specified under Item 3) pursuant to the Shelf Registration Statement.&nbsp; The undersigned, by signing and returning this Notice and Questionnaire, understands that it will be bound by the terms and conditions of this Notice and Questionnaire and
the Registration Rights Agreement.</p>

<p>Pursuant to the Registration Rights Agreement, the undersigned has agreed to indemnify and hold harmless the Issuer, the Holders, any Underwriter and the other selling holders and each person, if any, who controls such persons within the meaning of either
Section&nbsp;15 of the Securities Act or Section&nbsp;20 of the Exchange Act, from and against certain losses arising in connection with statements concerning the undersigned made in the Shelf Registration Statement or the related Prospectus in reliance upon the
information provided in this Notice and Questionnaire.</p>

<p>The undersigned hereby provides the following information to the Issuer and represents and warrants that such information is accurate and complete:</p>

<p align="center"><b>QUESTIONNAIRE</b></p>

<p>1.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (a) &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Full legal name of Selling Securityholder:</p>

<p>_______________________________________________________________________________</p>

<p>(b)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Full legal name of registered holder (if not the same as (a) above) through which Transfer Restricted Securities listed in (3) below are held:</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; _______________________________________________________________________________</p>

<p>(c)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Full legal name of DTC participant (if applicable and if not the same as (b) above) through which Transfer Restricted Securities listed in (3) are held:</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; _______________________________________________________________________________</p>

<p>(d)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Taxpayer identification or social security number of Selling Securityholder:</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; _______________________________________________________________________________</p>

<p>2.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Address for notices to Selling Securityholders:</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;
_______________________________________________________________________________</p>

<p>_______________________________________________________________________________</p>

<p>Telephone: ____________________________________________________________________________</p>

<p>Fax: __________________________________________________________________________________</p>

<p>Email: ________________________________________________________________________________</p>

<p>Contact Person: _________________________________________________________________________</p>

<p>3.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Beneficial ownership of Transfer Restricted Securities:</p>

<p>(a)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Type of Transfer Restricted Securities beneficially owned, and principal amount of Notes or number of shares of Common Stock, as the case may be, beneficially owned:</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; _______________________________________________________________________________</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; _______________________________________________________________________________</p>

<p>(b)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; CUSIP No(s). of such Transfer Restricted Securities beneficially owned:</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; _______________________________________________________________________________</p>

<p>4.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Beneficial ownership of the Issuer's securities owned by the Selling Securityholder:</p>

<p><i>Except as set forth below in this item (4), the undersigned is not the beneficial or registered owner of any securities of the issuer other than the transfer restricted securities listed above in item (3) ("other securities").</i></p>

<p>(a)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Type and amount of Other Securities beneficially owned by the Selling Securityholder:</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; _______________________________________________________________________________</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; _______________________________________________________________________________</p>

<p>(b)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; CUSIP No(s). of such Other Securities beneficially owned:</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; _______________________________________________________________________________</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; _______________________________________________________________________________</p>

<p>5.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Relationship with the Issuer</p>

<p><i>Except as set forth below, neither the undersigned nor any of its affiliates, officers, directors or principal equity holders (5% or more) has held any position or office or has had any other material relationship with the Issuer (or their predecessors or
affiliates) during the past three years.</i></p>

<p>State any exceptions here:</p>

<p>______________________________________________________________________________________</p>

<p>______________________________________________________________________________________</p>

<p>______________________________________________________________________________________</p>

<p>6.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Nature of the Selling Securityholder:</p>

<p>Is the Selling Securityholder a reporting company under the Securities Exchange Act, a majority owned subsidiary of a reporting company under the Securities Exchange Act, or a registered investment company under the Investment Company Act?&nbsp; If so, please
state which one.</p>

<p>______________________________________________________________________________________</p>

<p>______________________________________________________________________________________</p>

<p>If the entity is a majority owned subsidiary of a reporting company, identify the majority stockholder that is a reporting company.</p>

<p>______________________________________________________________________________________</p>

<p>______________________________________________________________________________________</p>

<p>If the entity is not any of the above, identify the natural person or persons having voting and investment control over the Issuer's securities that the entity owns.</p>

<p>______________________________________________________________________________________</p>

<p>______________________________________________________________________________________</p>

<p>(a)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Is the Selling Securityholder is a registered broker-dealer?</p>

<p>Yes&nbsp;&nbsp; c&nbsp;&nbsp;&nbsp;&nbsp;No&nbsp;&nbsp; c</p>

<p>If yes, state whether the Selling Securityholder received the Transfer Restricted Securities as compensation for underwriting activities and, if so, provide a brief description of the transaction(s) involved.</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; _______________________________________________________________________________</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; _______________________________________________________________________________</p>

<p>State whether the Selling Securityholder is an affiliate of a broker-dealer and if so, list the name(s) of the broker-dealer affiliate(s).&nbsp; For purposes of this Item 6(b), an "affiliate" of a broker-dealer includes any company that directly, or indirectly
through one or more intermediaries, controls, is controlled by, or is under common control with, such broker-dealer, and does not include individuals employed by any such broker-dealers or by any of their affiliates.</p>

<p>Yes&nbsp;&nbsp; c&nbsp;&nbsp;&nbsp;&nbsp;No&nbsp;&nbsp; c</p>

<p><b>If the answer is "Yes," you must answer the following:</b></p>

<p>If the Selling Securityholder is an affiliate of a registered broker-dealer, the Selling Securityholder purchased the Transfer Restricted Securities (i) in the ordinary course of business and (ii) at the time of the purchase of the Transfer Restricted Securities,
had no agreements or understandings, directly or indirectly, with any person to distribute the Transfer Restricted Securities.</p>

<p>Yes&nbsp;&nbsp; c&nbsp;&nbsp;&nbsp;&nbsp;No&nbsp;&nbsp; c</p>

<p><i>If the answer is "No", state any exceptions here:</i></p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; _______________________________________________________________________________</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; _______________________________________________________________________________</p>

<p><b>If the answer is "No," this may affect your ability to be included in the Shelf Registration Statement.</b></p>

<p>7.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Plan of Distribution</p>

<p>Except as set forth below, the undersigned (including its donees, pledges, transferees and other successors in interest) intends to distribute the Transfer Restricted Securities listed above in Item (3) pursuant to the Shelf Registration Statement only as follows
(if at all).&nbsp; Such Transfer Restricted Securities may be sold from time to time directly by the undersigned or, alternatively, through underwriters, broker-dealers or agents.&nbsp; If the Transfer Restricted Securities are sold through underwriters or
broker-dealers, the Selling Securityholder will be responsible for underwriting discounts or commissions or agent's commissions.&nbsp; Such Transfer Restricted Securities may be sold in one or more transactions at fixed prices, at prevailing market prices at the time
of sale, at varying prices determined at the time of sale, or at negotiated prices.&nbsp; Such sales may be effected in transactions (which may involve crosses or block transactions): (i) on any national securities exchange or quotation service on which the Transfer
Restricted Securities may be listed or quoted at the time of sale; (ii) in the over-the-counter market; (iii) in transactions otherwise than on such exchanges or services or in the over-the-counter market; or (iv) through the writing of options. In connection with
sales of the Transfer Restricted Securities or otherwise, the undersigned may enter into hedging transactions with broker-dealers, which may in turn engage in short sales of the Transfer Restricted Securities and deliver Transfer Restricted Securities to close out
such short positions, or loan or pledge Transfer Restricted Securities to broker-dealers that in turn may sell such securities.</p>

<p>State any exceptions here:</p>

<p>______________________________________________________________________________________</p>

<p>______________________________________________________________________________________</p>

<p>______________________________________________________________________________________</p>

<p>Note:&nbsp; In no event will such method(s) of distribution take the form of an underwritten offering of the Transfer Restricted Securities without the prior agreement of the Issuer.</p>

<p>8.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (Optional) Submissions After the Shelf Registration Statement Becomes Effective:</p>

<p>If you are unable to trace your securities back to an individual or entity listed as a selling securityholder in the Shelf Registration Statement, we may need to file a post-effective amendment to the Shelf Registration Statement.&nbsp; This could result in
additional delay in your ability to resell your securities pursuant to the Shelf Registration Statement.&nbsp; In order to allow us to determine whether your securities can be traced back to an individual or entity listed as a selling stockholder in the Shelf
Registration Statement, please indicate from whom the Transfer Restricted Securities were acquired:</p>

<p>_____________________________________________________________________________________________</p>

<p>_____________________________________________________________________________________________</p>

<p>The undersigned acknowledges that it understands its obligation to comply with the provisions of the Exchange Act and the rules and regulations promulgated thereunder relating to stock manipulation, particularly Regulation M thereunder (or any successor rules or
regulations), in connection with any offering of Transfer Restricted Securities pursuant to the Shelf Registration Statement.&nbsp; The undersigned agrees that neither it nor any person acting on its behalf will engage in any transaction in violation of such
provisions.</p>

<p>The Selling Securityholder hereby acknowledges its obligations under the Registration Rights Agreement to indemnify and hold harmless certain persons as set forth therein.</p>

<p>Pursuant to the Registration Rights Agreement, the Issuer has agreed under certain circumstances to indemnify the Selling Securityholders against certain liabilities.</p>

<p>In accordance with the undersigned's obligation under the Registration Rights Agreement to provide such information as may be required by law for inclusion in the Shelf Registration Statement, the undersigned agrees to promptly notify the Issuer of any
inaccuracies or changes in the information provided herein that may occur subsequent to the date hereof at any time while the Shelf Registration Statement remains effective.&nbsp; All notices hereunder and pursuant to the Registration Rights Agreement shall be made
in writing at the address set forth below.</p>

<p>By signing below, the undersigned consents to the disclosure of the information contained herein in its answers to items (1) through (8) above and the inclusion of such information in the Shelf Registration Statement and the related Prospectus.&nbsp; The
undersigned understands that such information will be relied upon by the Issuer in connection with the preparation or amendment of the Shelf Registration Statement and the related Prospectus.</p>

<p>IN WITNESS WHEREOF, the undersigned, by authority duly given, has caused this Notice and Questionnaire to be executed and delivered either in person or by its duly authorized agent.</p>

<p>Dated:</p>

<p>Beneficial Owner</p>

<p>By:&nbsp;
<u>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</u></p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Name:</p>

<p>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Title:</p>

<p>Please return the completed and executed Notice and Questionnaire to Richardson Electronics, Ltd. at:</p>

<p>Richardson Electronics, Ltd.</p>

<p>40W267 Keslinger Road</p>

<p>P.O. Box 393</p>

<p>La Fox, Illinois&nbsp; 60147-0393</p>

<p>Attention:&nbsp; General Counsel<br />
Facsimile:&nbsp; (630) 208-2950</p>
</div>
</body>
</html>

</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>EX-10
<SEQUENCE>8
<FILENAME>exhibit10_3.pdf
<DESCRIPTION>EX-10.3 FORM OF RESALE REGISTRATION AGREEMENT
<TEXT>
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<DOCUMENT>
<TYPE>EX-99.1 CHARTER
<SEQUENCE>9
<FILENAME>exhibit99_1.htm
<DESCRIPTION>EX-99.1 PRESS RELEASE
<TEXT>
<HTML>
<HEAD>
</HEAD>



<p align="center">&nbsp;<br /><img width="242" height="88" id=
"_x0000_i1032" src="logo.gif" border="0"></p>


<B><FONT SIZE=6><P ALIGN="CENTER">FOR IMMEDIATE RELEASE</P></b>
</FONT>


<table align="center" width="80%">
<tr>
<td>
<P ALIGN="CENTER"><FONT SIZE=4><b>
Richardson Electronics, Ltd. Announces Issuance of 7 <small>3/4</small>% Convertible Senior Subordinated Notes due 2011 in Exchange for $22.2 Million of its 7 <small>1/4</small>% Convertible
Subordinated Debentures due December 15, 2006 and $22.5 Million of its 8 <small>1/4</small>% Convertible Senior Subordinated Debentures due June 15, 2006
</b></font>
</P>
</td>
</tr>
</table>




<p>
<br />
<b>LaFox, Illinois, February 15, 2005</b> - Richardson Electronics, Ltd. (Nasdaq:  RELL) announced today that a small number of holders of its existing 7<small>1/4</small>% Convertible Subordinated Debentures due December 15, 2006 and 8<small>1/4</small>% Convertible Senior Subordinated Debentures due June 15, 2006 have exchanged approximately $44.7 million in aggregate principal amount of such existing debentures for approximately $44.7 million in aggregate principal amount of newly-issued 7<small>3/4</small>% Convertible Senior Subordinated Notes due 2011.  The newly-issued senior subordinated notes were issued through a private offering to qualified institutional buyers.
<br />&nbsp;
<br />
The newly-issued senior subordinated notes will be convertible at the holder's option into shares of common stock of Richardson at a price equal to $18.00 per share, subject to adjustment in certain circumstances, which represents a 69% premium over the average closing prices for the last 20 trading days of Richardson common stock, or $10.68.  On or after December 19, 2006, Richardson may elect to automatically convert the notes into shares of common stock if the trading price exceeds certain levels.  The newly-issued senior subordinated notes will bear an interest rate of 7<small>3/4</small>% per annum, mature on December 15, 2011 and will be redeemable by Richardson on or after December 19, 2006, except that from December 19, 2006 until December 19, 2007, the notes will be redeemable only if the trading price of Richardson's common stock exceeds certain levels.
<br />&nbsp;
<br />
With the completion of the transaction, Richardson will have outstanding $4.8 million in aggregate principal amount of 7<small>1/4</small>% Convertible Subordinated Debentures due December 15, 2006, $17.5 million in aggregate principal amount of 8<small>1/4</small>% Convertible Senior Subordinated Debentures due June 15, 2006 and $44.7 million in aggregate principal amount of 7<small>3/4</small>% Convertible Senior Subordinated Notes due 2011.  The $4.8 million of 7<small>1/4</small>% Convertible Subordinated Debentures due December 15, 2006, $17.5 million of 8<small>1/4</small>% Convertible Senior Subordinated Debentures due June 15, 2006 and $44.7 million of 7<small>3/4</small>% Convertible Senior Subordinated Notes due 2011 will trade as separate series.
<br />&nbsp;
<br />
Richardson has agreed to file a registration statement for the resale of the new notes and the shares of common stock issuable upon conversion of the new notes within 90 days after the closing of the offering.
<br />&nbsp;
<br />
This announcement is neither an offer to exchange nor a solicitation of an offer to exchange any of these securities.
<br />&nbsp;
<br />
The new notes and the common stock issuable upon conversion of the new notes have not been registered under the Securities Act of 1933 or any state securities laws, and were offered only to qualified institutional buyers in transactions not subject to the registration requirements of the Securities Act.
<br />&nbsp;
<br />
For further information regarding this transaction, you may call Dario Sacomani, Senior Vice President and Chief Financial Officer, at (630) 208-2210.
<br />
</P>

<B><P>About Richardson Electronics</P>

</B><P>Richardson Electronics, Ltd. is a global provider of "engineered solutions," serving the RF and wireless communications, industrial power conversion, security and display systems markets. The Company delivers engineered solutions for its customers' needs through product manufacturing, systems integration, prototype design and manufacture, testing and logistics. Press announcements and other information about Richardson are available on the World Wide Web at http://www.rell.com/investor.asp.</P></BODY>

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<SEQUENCE>10
<FILENAME>exhibit99_1.pdf
<DESCRIPTION>EX-99.1 PRESS RELEASE
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