Delaware
(State
or Other Jurisdiction of
Incorporation
or Organization)
|
2869
(Primary
Standard Industrial
Classification
Code Number)
|
05-0569368
(I.R.S.
Employer
Identification
Number)
|
1300
South 2nd Street
Pekin,
IL 61555
(309)
347-9200
(Address,
Including Zip Code, and Telephone Number, Including Area Code,
of
Registrant's Principal Executive
Offices)
|
Ronald
H. Miller
President
& Chief Executive Officer
Aventine
Renewable Energy Holdings, Inc.
1300
South 2nd Street
Pekin,
IL 61555
(309)
347-9200
(Name,
Address, Including Zip Code, and Telephone Number, Including Area
Code, of
Agent For Service)
|
|
·
|
Our
Annual Report on Form 10-K filed on March 5, 2007 for the year
ended
December 31, 2006
|
|
·
|
Our
Current Reports on Form 8-K filed on March 9, 2007, March 12, 2007,
March
21, 2007, March 22, 2007, March 26, 2007, March 27, 2007, April
2, 2007
and April 16, 2007 and
|
|
·
|
Our
definitive proxy statement on Schedule 14A for the Annual Meeting
of
Stockholders filed on April 5, 2007
|
Name
of Selling Stockholder
|
Number
of Shares of
Common
Stock Owned(1)
|
Percentage
of
Common
Stock
Outstanding(2)
|
||
AIM
Capital Development Fund(3)
c/o
A I M Advisors, Inc.
11
Greenway Plaza, Suite 100
Houston,
Texas 77046-1173
|
477,228
|
1.1%
|
||
AIM
Dynamics Fund(3)
c/o
A I M Advisors, Inc.
11
Greenway Plaza, Suite 100
Houston,
Texas 77046-1173
|
687,399
|
1.6%
|
||
AIM
V.I. Capital Development Fund(3)
c/o
A I M Advisors, Inc.
11
Greenway Plaza, Suite 100
Houston,
Texas 77046-1173
|
50,647
|
*
|
||
AIM
V.I. Dynamics Fund(3)
c/o
A I M Advisors, Inc.
11
Greenway Plaza, Suite 100
Houston,
Texas 77046-1173
|
73,937
|
*
|
||
Mackenzie
Financial Corporation(4)
150
Bloor Street W. Toronto,
Ontario
M5S 3B5 Canada
|
769,231
|
1.8%
|
||
Leslie
Lee Alexander
1200
N. Federal Highway, Suite 411
Boca
Raton, Florida 33432
|
534,120
|
1.3%
|
||
Alexandra
Global Master Fund Ltd.(5)
c/o
Alexandra Investment Management
767
Third Avenue, 6th
Floor
New
York, New York 10017
|
96,000
|
*
|
||
Amber
Fund Ltd.(6)
450
Park Avenue, Suite 3201
New
York, New York 10022
|
17,500
|
*
|
||
American
Funds Insurance Series Asset Allocation Fund(7)
c/o
Capital Research and Management Co.
135
S. State College Blvd.
Brea,
California 92821
|
1,350,000
|
3.2%
|
||
Anima
S.G.R.p.A.(8)
Via
Brera 18
20121
Milano
|
36,000
|
*
|
||
Ardsley
Offshore Fund, Ltd.(9)
262
Harbor Drive, 4th
Floor
Stamford,
Connecticut 06902
|
128,500
|
*
|
||
Ardsley
Partners Fund II, L.P.(9)
262
Harbor Drive, 4th
Floor
Stamford,
Connecticut 06902
|
106,000
|
*
|
||
Ardsley
Partners Institutional Fund, L.P.(9)
262
Harbor Drive, 4th
Floor
Stamford,
Connecticut 06902
|
65,500
|
*
|
||
Banque
Privee Edmond de Rothschild Europe S.A.(10)
20,
Boulevard Emmanuel Servais
Bolte
Postale 474
L-2535
Luxembourg
|
28,360
|
*
|
||
Barton
Living Trust(11)
458
Broadway
Costa
Mesa, California 92627
|
4,200
|
*
|
Name
of Selling Stockholder
|
Number
of Shares of
Common
Stock Owned(1)
|
Percentage
of
Common
Stock
Outstanding(2)
|
BBT
Fund, L.P.(12)
201
Main Street, Suite 3200
Fort
Worth, Texas 76102
|
112,514
|
*
|
||
Beaver
Creek Fund Ltd.(13)
6501
Red Hook Plaza, Suite 201
St.
Thomas, U.S. Virgin Islands 00802
|
29,000
|
*
|
||
Berol
Family Trust fbo Margaret B. Beattie(43)
c/o
Trainer Wortham & Company
1230
Avenue of the Americas
New
York, New York 10020
|
16,700
|
*
|
||
BFS
US Special Opportunities Trust PLC(14)
8080
N. Central Expressway, Suite 210, LB-59
Dallas,
Texas 75204
|
103,750
|
*
|
||
Blue
Ridge Limited Partnership(15)
c/o
Blue Ridge Capital
660
Madison Avenue, 20th
Floor
New
York, New York 10021
|
586,900
|
1.4%
|
||
Blue
Ridge Offshore Master Limited Partnership(15)
c/o
Blue Ridge Capital
660
Madison Avenue, 20th
Floor
New
York, New York 10021
|
358,100
|
*
|
||
Canyon
Balanced Equity Master Fund, Ltd.(16)
c/o
Canyon Capital Advisors LLC
9665
Wilshire Boulevard, Suite 200
Beverly
Hills, California 90212
|
133,100
|
*
|
||
The
Canyon Value Realization Fund (Cayman), Ltd.(16)
c/o
Canyon Capital Advisors LLC
9665
Wilshire Boulevard, Suite 200
Beverly
Hills, California 90212
|
912,185
|
2.2%
|
||
Canyon
Value Realization Fund, L.P.(16)
c/o
Canyon Capital Advisors LLC
9665
Wilshire Boulevard, Suite 200
Beverly
Hills, California 90212
|
259,475
|
*
|
||
Canyon
Value Realization MAC 18, Ltd.(16)
c/o
Canyon Capital Advisors LLC
9665
Wilshire Boulevard, Suite 200
Beverly
Hills, California 90212
|
25,930
|
*
|
||
CAP
Fund, L.P.(12)
201
Main Street, Suite 3200
Fort
Worth, Texas 76102
|
56,586
|
*
|
||
Champagne
Capital SAS(17)
91
rue du Faubourg Saint-Honoré
75008
Paris, France
|
4,000
|
*
|
||
Cheyne
Global Catalyst Fund LP(18)
Stornoway
House
13
Cleveland Row
London,
SW1A 1DH
|
8,312
|
*
|
||
Cheyne
Special Situations Fund LP(19)
Stornoway
House
13
Cleveland Row
London,
SW1A 1DH
|
1,242,088
|
3.0%
|
||
Citi
Canyon Ltd.(16)
c/o
Canyon Capital Advisors LLC
9665
Wilshire Boulevard, Suite 200
Beverly
Hills, California 90212
|
10,000
|
*
|
Name
of Selling Stockholder
|
Number
of Shares of
Common
Stock Owned(1)
|
Percentage
of
Common
Stock
Outstanding(2)
|
Jonathan
H.F. Crystal
c/o
Trainer Wortham & Company
1230
Avenue of the Americas
New
York, New York 10020
|
2,000
|
*
|
||
Albert
David
25
W. 36th
Street
New
York, New York 10018
|
2,000
|
*
|
||
DBX-Convertible
Arbitrage 9 Fund(5)
c/o
Alexandra Investment Management
767
Third Avenue, 6th
Floor
New
York, New York 10017
|
4,000
|
*
|
||
Deephaven
Distressed Opportunities Trading Ltd.(20)
130
Cheshire Lane, Suite 102
Minnetonka,
Minnesota 55305
|
254,620
|
*
|
||
Deephaven
Event Trading Ltd.(20)
130
Cheshire Lane, Suite 102
Minnetonka,
Minnesota 55305
|
595,139
|
1.4%
|
||
Donaghy
Sales Inc.(21)
c/o
Gruber & McBaine Capital Management
50
Osgood Place — Penthouse
San
Francisco, California 94133
|
8,900
|
*
|
||
Lindsay
Gruber Dunham
c/o
Gruber & McBaine Capital Management
50
Osgood Place — Penthouse
San
Francisco, California 94133
|
3,300
|
*
|
||
Edward
A. Eckenhoff
2401
Pennsylvania Avenue, N.W., Suite 504
Washington,
District of Columbia 20037
|
2,000
|
*
|
||
EJF
Crossover Master Fund LP(22)
2107
Wilson Boulevard, Suite 410
Arlington,
Virginia 22201
|
45,000
|
*
|
||
J.Steven
Emerson IRA R/O II
1522
Ensley Ave
Los
Angeles, California 90024
|
55,000
|
*
|
||
J.Steven
Emerson/Roth IRA
1522
Ensley Ave
Los
Angeles, California 90024
|
25,000
|
*
|
||
Firefly
Partners LP(21)
c/o
Gruber & McBaine Capital Management
50
Osgood Place — Penthouse
San
Francisco, California 94133
|
15,320
|
*
|
||
David
P. Foley
c/o
Grove Creek Asset Management
153
East 53rd
Street, 29th
Floor
New
York, New York 10022
|
10,000
|
*
|
||
George
Frelinghuysen
c/o
Trainer Wortham & Company
1230
Avenue of the Americas
New
York, New York 10020
|
1,000
|
*
|
||
FrontPoint
Energy Horizons Fund, L.P.(23)
c/o
FrontPoint Partners LLC
Two
Greenwich Plaza
Greenwich,
Connecticut 06830
|
138,462
|
*
|
Name
of Selling Stockholder
|
Number
of Shares of
Common
Stock Owned(1)
|
Percentage
of
Common
Stock
Outstanding(2)
|
FrontPoint
Utility and Energy Fund, L.P.(24)
c/o
FrontPoint Partners LLC
Two
Greenwich Plaza
Greenwich,
Connecticut 06830
|
553,848
|
1.3%
|
||
Gabriel
Capital, L.P.(6)
450
Park Avenue, Suite 3201
New
York, New York 10022
|
25,000
|
*
|
||
GLG
North American Opportunity Fund(25)
P.O.
Box 908 GT
Georgetown
Grand
Cayman Cayman Islands
|
360,000
|
*
|
||
Global
Energy Opportunity Fund LTD(26)
99
Park Avenue, 8th
Floor
New
York, New York 10016
|
200
|
*
|
||
Global
Energy Opportunity Partners LP(26)
99
Park Avenue, 8th
Floor
New
York, New York 10016
|
800
|
*
|
||
Goldman,
Sachs & Co.(27)
1
New York Plaza
New
York, New York 10004
|
845,000
|
2.0%
|
||
Joel
and Karen Goozh
10917
Roundtable Court
Rockville,
Maryland 20852
|
5,800
|
*
|
||
Gracie
Capital, LP(28)
590
Madison Avenue
New
York, New York 10022
|
104,000
|
*
|
||
Gracie
Capital, LP II(28)
590
Madison Avenue
New
York, New York 10022
|
6,000
|
*
|
||
Gracie
Capital International, Ltd.(28)
590
Madison Avenue
New
York, New York 10022
|
73,950
|
*
|
||
Gracie
Capital International II, Ltd.(28)
590
Madison Avenue
New
York, New York 10022
|
16,050
|
*
|
||
Philippe
Grelsamer
500
Fifth Avenue, Suite 1940
New
York, New York 10110
|
3,000
|
*
|
||
Gruber
& McBaine International(21)
c/o
Gruber & McBaine Capital Management
50
Osgood Place — Penthouse
San
Francisco, California 94133
|
75,800
|
*
|
||
Jon
D. and Linda W. Gruber Trust(29)
c/o
Gruber & McBaine Capital Management
50
Osgood Place — Penthouse
San
Francisco, California 94133
|
74,257
|
*
|
||
Jon
D. Gruber TTee fbo Jonathan Wyatt Gruber Trust(29)
c/o
Gruber & McBaine Capital Management
50
Osgood Place — Penthouse
San
Francisco, California 94133
|
4,300
|
*
|
||
Gryphon
Hidden Values VII L.P.(30)
477
Madison Avenue
New
York, New York 10022
|
21,164
|
*
|
||
Gryphon
Hidden Values VIII L.P.(30)
477
Madison Avenue
New
York, New York 10022
|
25,794
|
*
|
Name
of Selling Stockholder
|
Number
of Shares of
Common
Stock Owned(1)
|
Percentage
of
Common
Stock
Outstanding(2)
|
Gryphon
Hidden Values VIII Ltd.(30)
477
Madison Avenue
New
York, New York 10022
|
220,302
|
*
|
||
Halcyon
Diversified Fund L.P.(30)
477
Madison Avenue
New
York, New York 10022
|
25,856
|
*
|
||
Halcyon
Mac 19 Ltd.(30)
477
Madison Avenue
New
York, New York 10022
|
73,804
|
*
|
||
Halcyon
Fund L.P.(30)
477
Madison Avenue
New
York, New York 10022
|
179,829
|
*
|
||
Halcyon
Offshore Enhanced Master L.P.(30)
477
Madison Avenue
New
York, New York 10022
|
165,711
|
*
|
||
Halcyon
Offshore Event Driven Strategies Fund(30)
477
Madison Avenue
New
York, New York 10022
|
215,705
|
*
|
||
Halcyon
Special Situations Fund L.P.(30)
477
Madison Avenue
New
York, New York 10022
|
7,861
|
*
|
||
George
Hall and Kathleen Miller Martin
c/o
CCG LLC
129
N. West Street
Easton,
Maryland 21601
|
6,000
|
*
|
||
Hard
Assets 2X Master Fund LTD(26)
99
Park Avenue, 8th
Floor
New
York, New York 10016
|
66,900
|
*
|
||
Hard
Assets Partners LP(26)
99
Park Avenue, 8th
Floor
New
York, New York 10016
|
8,000
|
*
|
||
Hard
Assets Portfolio LTD(26)
99
Park Avenue, 8th
Floor
New
York, New York 10016
|
79,500
|
*
|
||
Felix
R. Harke — SEP IRA
108
2nd
Avenue, Suite 402
Kirkland,
Washington 98033
|
1,669
|
*
|
||
Michael
C. Hayes
P.O.
Box 904
Avon,
Colorado 81620
|
774
|
*
|
||
HFD
ED Select Performance Master Trust(30)
477
Madison Avenue
New
York, New York 10022
|
21,831
|
*
|
||
George
Hutchinson(31)
c/o
Friedman Billings Ramsey
1001
19th
Street
North
Arlington, Virginia 22209
|
10,000
|
*
|
||
Edward
and Jill Im
2055
79th
Avenue NE
Medina,
Washington 98039
|
1,667
|
*
|
||
Impala
Funds LP(32)
c/o
Impala Asset Management LLC
134
Main Street
New
Canaan, Connecticut 06840
|
48,708
|
*
|
Name
of Selling Stockholder
|
Number
of Shares of
Common
Stock Owned(1)
|
Percentage
of
Common
Stock
Outstanding(2)
|
Impala
Funds LTD(32)
c/o
Impala Asset Management LLC
134
Main Street
New
Canaan, Connecticut 06840
|
41,492
|
*
|
||
Institutional
Benchmark Master Fund (Arbitrage)(30)
477
Madison Avenue
New
York, New York 10022
|
17,416
|
*
|
||
Institutional
Benchmark Master Fund (Event Driven)(30)
477
Madison Avenue
New
York, New York 10022
|
21,101
|
*
|
||
Institutional
Benchmark Series (Master Feeder) Limited in respect of Centaur
Series(16)
c/o
Canyon Capital Advisors LLC
9665
Wilshire Boulevard, Suite 200
Beverly
Hills, California 90212
|
15,310
|
*
|
||
Iron
City Fund, Ltd.(33)
c/o
Duquesne Capital Management, LLC
2579
Washington Road, Suite 322
Pittsburgh,
Pennsylvania 15241
|
6,800
|
*
|
||
JAM
Investments, LLC(34)
3299
K Street, NW, Suite 700
Washington,
District of Columbia 20007
|
2,000
|
*
|
||
Kamunting
Street Master Fund, Ltd.(35)
140
E. 45th
Street, 15th
Floor
New
York, New York 10017
|
175,000
|
*
|
||
Patrick
J. Keeley(36)
c/o
Friedman Billings Ramsey
1001
19th
Street
North
Arlington, Virginia 22209
|
20,000
|
*
|
||
Kenmont
Special Opportunities Master Fund, L.P.(37)
c/o
Kenmont Investments Management, L.P.
711
Louisiana Street, Suite 1750
Houston,
Texas 77002
|
121,200
|
*
|
||
Stephen
N. Keyes-Grevelis(38)
299
Park Avenue, 7th
Floor
New
York, New York 10171
|
2,000
|
*
|
||
Lagunitas
Partners LP(21)
c/o
Gruber & McBaine Capital Management
50
Osgood Place — Penthouse
San
Francisco, California 94133
|
275,200
|
*
|
||
Jeffrey
Lake
9872
E. Stone Ridge Place
Tucson,
Arizona 85750
|
1,000
|
*
|
||
James
Locke and Susan Locke Tenants by the Entirety(39)
6219
Kennedy Drive
Chevy
Chase, Maryland 20815
|
19,300
|
*
|
||
T.
Ferguson Locke(40)
1908
E. Cumberland Boulevard
Whitefish
Bay, Wisconsin 53211
|
7,700
|
*
|
||
LRM
Holdings Inc.(41)
Le
Millefiori, Apt. 10F
1
Rue des Genets
Monaco
98000
|
3,000
|
*
|
||
MA
Deep Event, Ltd.(20)
130
Cheshire Lane, Suite 102
Minnetonka,
Minnesota 55305
|
58,671
|
*
|
Name
of Selling Stockholder
|
Number
of Shares of
Common
Stock Owned(1)
|
Percentage
of
Common
Stock
Outstanding(2)
|
Man
MAC Miesque 10B Limited(37)
c/o
Kenmont Investments Management, L.P.
711
Louisiana Street, Suite 1750
Houston,
Texas 77002
|
38,800
|
*
|
||
Daryll
and Jennifer Marshall-Inman
24114
E. Greystone Lane
Woodway,
Washington 98020
|
1,667
|
*
|
||
J
Patterson McBaine
c/o
Gruber & McBaine Capital Management
50
Osgood Place — Penthouse
San
Francisco, California 94133
|
18,000
|
*
|
||
Metzler
International Investments PLC(42)
c/o
Metzler Ireland Limited
1
George's Dock
International
Financial Services Centre
Custom
House Dock
Dublin
1
Ireland
|
9,400
|
*
|
||
Metzler
Investment GmbH, Fonds 208(43)
Grosse
Gallusstrasse 18
60311
Frankfurt
Germany
|
4,500
|
*
|
||
Metzler
Investment GmbH, Wachstum International(43)
Grosse
Gallusstrasse 18
60311
Frankfurt
Germany
|
282,800
|
*
|
||
Metzler
Strategic Investments PLC(42)
c/o
Metzler Ireland Limited
1
George's Dock
International
Financial Services Centre
Custom
House Dock
Dublin
1
Ireland
|
3,200
|
*
|
||
Millennium
Partners, L.P.(6)
450
Park Avenue, Suite 3201
New
York, New York 10022
|
4,500
|
*
|
||
Modern
Capital Fund LLC(44)
22
Petersville Road
Mount
Kisco, New York 10549
|
30,000
|
*
|
||
James
C. Moeser IRA
1001
Raleigh Road
Chapel
Hill, North Carolina 27514
|
2,000
|
*
|
||
Nite
Capital LP(45)
100
E. Cook Avenue, Suite 201
Libertyville,
Illinois 60048
|
25,000
|
*
|
||
Northern
Institutional Fund Small Company Growth Portfolio(46)
50
South LaSalle Street
Chicago,
Illinois 60603
|
200
|
*
|
||
Northern
Small Cap Growth Fund(46)
50
South LaSalle Street
Chicago,
Illinois 60603
|
3,500
|
*
|
Name
of Selling Stockholder
|
Number
of Shares of
Common
Stock Owned(1)
|
Percentage
of
Common
Stock
Outstanding(2)
|
Oceanic
Energy Fund(47)
c/o
Oceanic Energy Management Limited
St.
George's Court
Upper
Church Street
Douglas,
Isle of Man 1M1 1EE
|
5,000
|
*
|
||
Pacific
Partners, LP(48)
c/o
Trainer Wortham & Company
1230
Avenue of the Americas
New
York, New York 10020
|
6,600
|
*
|
||
Steven
W. & Sheryl Kaplan Papish JTWROS
c/o
Trainer Wortham & Company
1230
Avenue of the Americas
New
York, New York 10020
|
500
|
*
|
||
Park
West Investors LLC(49)
900
Larkspur Landing Circle, Suite 165
Larkspur,
California 94939
|
50,655
|
*
|
||
Park
West Partners International, Ltd.(49)
900
Larkspur Landing Circle, Suite 165
Larkspur,
California 94939
|
10,595
|
*
|
||
PEA
Target Fund (50)
1345
Avenue of the Americas
New
York, New York 10105
|
125,000
|
*
|
||
Precept
Capital Master Fund, G.P.(51)
100
Crescent Court, Suite 850
Dallas,
Texas 75201
|
39,500
|
*
|
||
Raytheon
Company Combined DB/DC Master Trust(52)
c/o
DePrince, Race & Zollo, Inc.
250
Park Avenue South, Suite 250
Winter
Park, Florida 32789
|
15,000
|
*
|
||
Raytheon
Company Master Pension Trust(52)
c/o
DePrince, Race & Zollo, Inc.
250
Park Avenue South, Suite 250
Winter
Park, Florida 32789
|
85,000
|
*
|
||
Renaissance
US Growth Investment Trust PLC(53)
8080
N. Central Expressway, Suite 210, LB-59
Dallas,
Texas 75204
|
103,750
|
*
|
||
Rider
Fund, L.P.(54)
5956
Sherry Lane, Suite 1350
Dallas,
Texas 75225
|
10,000
|
*
|
||
Royal
Bank of Canada(55)
One
Liberty Plaza, 2nd
Floor
New
York, New York 10006
|
567,900
|
1.4%
|
||
Jane
I. Schaefer Trust(48)
c/o
Trainer Wortham & Company
1230
Avenue of the Americas
New
York, New York 10020
|
13,500
|
*
|
||
Seneca
Capital LP(56)
590
Madison Avenue, 28th
Floor
New
York, New York 10022
|
190,384
|
*
|
||
SF
Capital Partners Ltd.(57)
c/o
Stark Offshore Management LLC
3600
South Lake Drive
St.
Francis, Wisconsin 53235
|
100,000
|
*
|
||
Rajendra
and Neera Singh JTWROS
9801
Bellerive Terrace
Alexandria,
Virginia 22309
|
71,101
|
*
|
Name
of Selling Stockholder
|
Number
of Shares of
Common
Stock Owned(1)
|
Percentage
of
Common
Stock
Outstanding(2)
|
Soundpost
Partners, LP(58)
152
W. 57th
Street, 33rd
Floor
New
York, New York 10017
|
41,000
|
*
|
||
Peter
J. Spengler IRA Rollover
c/o
Trainer Wortham & Company
1230
Avenue of the Americas
New
York, New York 10020
|
2,000
|
*
|
||
Larence
D. Sperling and Jane A. Sperling JTWROS
c/o
Trainer Wortham & Company
1230
Avenue of the Americas
New
York, New York 10020
|
5,000
|
*
|
||
Sphinx
Special Situations Fund SPC(30)
477
Madison Avenue
New
York, New York 10022
|
3,716
|
*
|
||
SRI
Fund, L.P.(12)
201
Main Street, Suite 3200
Fort
Worth, Texas 76102
|
21,900
|
*
|
||
SuNOVA
Offshore Ltd.(59)
780
Third Avenue, 5th
Floor
New
York, New York 10017
|
16,400
|
*
|
||
SuNOVA
Partners, L.P.(59)
780
Third Avenue, 5th
Floor
New
York, New York 10017
|
8,600
|
*
|
||
James
A. and Phyllis K. Syme
13501
Over Ridge Court
Chantilly,
VA 20151
|
2,200
|
*
|
||
Tax
Managed Equity Fund, Sun America Equity Funds(60)
Harborside
Financial Center
3200
Plaza 5
Jersey
City, New Jersey 07311
|
85,000
|
*
|
||
Tivoli
Partners LP(61)
42
East 81st Street
New
York, New York 10028
|
30,486
|
*
|
||
Touradji
DeepRock Master Fund, Ltd.(62)
101
Park Avenue, 48th
Floor
New
York, New York 10178
|
270,014
|
*
|
||
Touradji
Global Resources Master Fund, Ltd.(62)
101
Park Avenue, 48th
Floor
New
York, New York 10178
|
3,957,350
|
9.5%
|
||
TTees
Hamilton College(21)
c/o
Gruber & McBaine Capital Management
50
Osgood Place — Penthouse
San
Francisco, California 94133
|
14,923
|
*
|
||
The
Tudor BVI Global Portfolio Ltd.(63)
c/o
Tudor Investment Corporation
50
Rowes Wharf
Boston,
Massachusetts 02110
|
9,838
|
*
|
||
Tudor
Proprietary Trading, L.L.C.(63)
50
Rowes Wharf
Boston,
Massachusetts 02110
|
5,297
|
*
|
||
Trust
uwo Kenneth Berol fbo John A. Berol(48)
c/o
Trainer Wortham & Company
1230
Avenue of the Americas
New
York, New York 10020
|
16,600
|
*
|
Name
of Selling Stockholder
|
Number
of Shares of
Common
Stock Owned(1)
|
Percentage
of
Common
Stock
Outstanding(2)
|
Trust
uwo Kenneth Berol fbo David N. Berol(48)
c/o
Trainer Wortham & Company
1230
Avenue of the Americas
New
York, New York 10020
|
16,700
|
*
|
||
Union
Bancaire Privee, Geneva(64)
96-98
rue du Rhone
Case
postale 1320
CH-1211
Geneve 1
|
76,923
|
*
|
||
Van
Eck Global Hard Assets Fund(26)
99
Park Avenue, 8th
Floor
New
York, New York 10016
|
108,700
|
*
|
||
Victoire
Finance et Gestion B.V.(65)
c/o
Pareraweg 45
Curacao,
Netherlands Antilles
|
15,000
|
*
|
||
The
Wallace Foundation(21)
c/o
Gruber & McBaine Capital Management
50
Osgood Place — Penthouse
San
Francisco, California 94133
|
10,000
|
*
|
||
The
William K. Warren Foundation(66)
6585
South Yale, Suite 900
Tulsa,
Oklahoma 74136
|
5,000
|
*
|
||
Christopher
William Washburn
2412
Heather Stone Drive
Gambrille,
Maryland 21054
|
7,685
|
*
|
||
Jay
S. Weiss
8613
Country Club Lane
Bethesda,
Maryland 20817
|
8,000
|
*
|
||
John
Whalen and Linda Rabbitt
9119
Burdette Road
Bethesda,
Maryland 20817
|
1,250
|
*
|
||
Brian
Wilmovsky SEP IRA
2627
Capital Mall Drive SW, Suite B-3A
Olympia,
Washington 98502
|
1,667
|
*
|
||
Windmill
Master Fund, LP(33)
c/o
Duquesne Capital Management, LLC
2579
Washington Road, Suite 322
Pittsburgh,
Pennsylvania 15241
|
271,800
|
*
|
||
Nancy
L. Winton
c/o
Trainer Wortham & Company
1230
Avenue of the Americas
New
York, New York 10020
|
600
|
*
|
||
Witches
Rock Portfolio Ltd.(63)
c/o
Tudor Investment Corporation
50
Rowes Wharf
Boston,
Massachusetts 02110
|
60,865
|
*
|
||
Worldwide
Hard Assets Fund(26)
99
Park Avenue, 8th
Floor
New
York, New York 10016
|
176,900
|
*
|
||
WRA
Master Fund, Ltd.(67)
101
Park Avenue, 48th
Floor
New
York, New York 10178
|
161,000
|
*
|
||
John
C. York
9714
Bemenwoods Way
Potomac,
Maryland 20854
|
15,000
|
*
|
||
Other
selling shareholders
|
74,286
|
*
|
|
·
|
be
a
stockholder of record on the date of the giving of the notice for
the
meeting;
|
|
·
|
be
entitled to vote at the meeting;
and
|
|
·
|
have
given timely written notice of the business in proper written form
to our
secretary.
|
|
·
|
a
brief description of the business desired to be brought before
the annual
meeting and the reasons for conducting the business at the annual
meeting;
|
|
·
|
the
name and address, as they appear on our books, of the stockholder
proposing such business;
|
|
·
|
the
class or series and number of our shares which are owned beneficially
or
of record by the stockholder proposing the business;
and
|
|
·
|
a
description of all arrangements or understandings between such
stockholder
and any other person or persons (including their names) in connection
with
the proposal of such business by such stockholder and any material
interest of such stockholder in the
business.
|
|
·
|
be
a
stockholder of record on the date of the giving of the notice for
the
meeting;
|
|
·
|
be
entitled to vote at the meeting;
and
|
|
·
|
have
given timely written notice in proper written form to our
secretary.
|
|
·
|
with
respect to an election to be held at an annual meeting of stockholders,
not less than 90 days nor more than 120 days prior to the
anniversary date of the last annual meeting of our stockholders;
provided,
however, that in the event that the annual meeting is called for
a date
that is not within 30 days before or after the anniversary date of
the last annual meeting, notice by the stockholder must be received
not
later than the close of business on the 10th day following the
day on
which notice of the date of the annual meeting was mailed or public
disclosure of the date of the annual meeting was made, whichever
first
occurs, and
|
|
·
|
with
respect to an election to be held at a special meeting of stockholders
for
the election of directors, the close of business on the tenth day
following the date on which such notice is first given to
stockholders.
|
|
|
as
to each person whom the stockholder proposes to nominate for election
as a
director:
|
|
·
|
the
name, age, business address and residence address of the
person;
|
|
·
|
the
principal occupation or employment of the
person;
|
|
·
|
the
class or series and number of shares of our capital stock that
are owned
beneficially or of record by the person;
and
|
|
·
|
any
other information relating to the person that would be required
to be
disclosed in a proxy statement or other filings required to be
made in
connection with solicitations of proxies for election of directors
pursuant to Section 14 of the Securities Exchange Act of 1934, as
amended, or the Exchange Act, and the rules and regulations promulgated
thereunder.
|
|
|
as
to the stockholder giving the
notice:
|
|
·
|
the
name and record address of such
stockholder;
|
|
·
|
the
class or series and number of shares of our capital stock that
are owned
beneficially or of record by such stockholder;
and
|
|
·
|
a
description of all arrangements or understandings between such
stockholder
and each proposed nominee and any other person or persons (including
their
names) pursuant to which the nomination(s) are to be made by such
stockholder.
|
|
·
|
10
business days following a public announcement that a person or
group has
acquired beneficial ownership of 20.0% or more of our outstanding
common
stock; or
|
|
·
|
10
business days (or such later date as our board of directors determines)
after a person commences a tender offer or exchange offer if upon
completion such person would own 20.0% or more of our outstanding
common
stock.
|
|
·
|
for
any breach of the director's duty of loyalty to us or our
stockholders;
|
|
·
|
for
any act or omission not in good faith or that involves intentional
misconduct or a knowing violation of
law;
|
|
·
|
under
Section 174 of the DGCL (relating to unlawful stock repurchases,
redemptions or other distributions or payment of dividends);
or
|
|
·
|
for
any transaction from which the director derived an improper personal
benefit.
|
|
·
|
we
must indemnify our board members and officers to the fullest extent
permitted by the DGCL, subject to limited exceptions;
and
|
|
·
|
we
may purchase and maintain insurance on behalf of our current or
former
board members, officers, employees or agents against any liability
asserted against them and incurred by them in any such capacity,
or
arising out of their status as
such.
|
|
·
|
non-resident
alien individual, other than certain former citizens and residents
of the
United States subject to tax as
expatriates,
|
|
·
|
foreign
corporation, or
|
|
·
|
foreign
estate or trust.
|
|
·
|
the
gain is effectively connected with a trade or business of the non-U.S.
holder in the United States, subject to an applicable treaty providing
otherwise, or
|
|
·
|
the
Company is or has been a United States real property holding corporation,
as defined below, at any time within the five-year period preceding
the
disposition or the non-U.S. holder's holding period, whichever
period is
shorter, and the Company's common stock is not regularly
|
|
|
traded
on an established securities market during the calendar year
in which the
sale or disposition occurs.
|
|
·
|
directly
by the selling stockholders and their successors, which include
their
donees, pledgees or transferees or their successors-in-interest,
or
|
|
·
|
through
underwriters, broker-dealers or agents, who may receive compensation
in
the form of discounts, commissions or agent's commissions from
the selling
stockholders or the purchasers of the common stock. These discounts,
concessions or commissions may be in excess of those customary
in the
types of transactions involved.
|
|
·
|
fixed
prices;
|
|
·
|
prevailing
market prices at the time of sale;
|
|
·
|
prices
related to such prevailing market
prices;
|
|
·
|
varying
prices determined at the time of sale;
or
|
|
·
|
negotiated
prices.
|
|
·
|
on
any national securities exchange or quotation on which the common
stock
may be listed or quoted at the time of the
sale;
|
|
·
|
in
the over-the-counter market;
|
|
·
|
in
transactions other than on such exchanges or services or in the
over-the-counter market;
|
|
·
|
through
the writing of options (including the issuance by the selling stockholders
of derivative securities), whether the options or such other derivative
securities are listed on an options exchange or
otherwise;
|
|
·
|
through
the settlement of short sales; or
|
|
·
|
through
any combination of the foregoing.
|
|
·
|
engage
in short sales of the common stock in the course of hedging their
positions;
|
|
·
|
sell
the common stock short and deliver the common stock to close out
short
positions;
|
|
·
|
loan
or pledge the common stock to broker-dealers or other financial
institutions that in turn may sell the
common stock;
|
|
·
|
enter
into option or other transactions with broker-dealers or other
financial
institutions that require the delivery to the broker-dealer or
other
financial institution of the common stock, which the broker-dealer
or
other financial institution may resell under the prospectus;
or
|
|
·
|
enter
into transactions in which a broker-dealer makes purchases as a
principal
for resale for its own account or through other types of
transactions.
|
Amount
To
Be Paid
|
||
Registration
fee
|
$48,156
|
|
Transfer
agent's fees
|
3,500
|
|
Printing
and engraving expenses
|
45,000
|
|
Legal
fees and expenses
|
100,000
|
|
Accounting
fees and expenses
|
60,000
|
|
Blue
Sky fees and expenses
|
25,000
|
|
Miscellaneous
|
18,344
|
|
Total
|
$300,000
|
Date
of Sale
|
Title
and Amount
of
Securities Sold
|
Name
or Class of Purchaser
of
Securities
|
Consideration
|
|||
December
17, 2004
|
Senior
Secured Floating Rate Notes due 2011
|
Qualified
Institutional Buyers and Offshore Parties
|
$160,000,000.00
|
|||
December
23, 2005
|
21,000,000
shares—common stock
|
Qualified
Institutional Buyers, Accredited Investors and Offshore
Parties
|
$253,890,000.00
|
|||
December
30, 2005
|
179,025
shares—common stock
|
Accredited
Investors
|
$2,164,412.00
|
|||
April
2, 2007
|
10%
Senior Notes due 2017
|
Qualified
Institutional Buyers
|
$300,000,000
|
Exhibit
Number
|
Description
|
|
3.1(1)
|
Amended
and Restated Certificate of Incorporation of Aventine Renewable
Energy
Holdings, Inc.
|
|
3.2(1)
|
Amended
and Restated Bylaws of Aventine Renewable Energy Holdings,
Inc.
|
|
4.1(1)
|
Registration
Rights Agreement dated as of December 12, 2005 among Aventine Renewable
Energy Holdings, Inc., the Investor Holders and the Management
Holders
named therein
|
|
4.2(1)
|
Registration
Rights Agreement dated as of December 23, 2005 by and between
Aventine Renewable Energy Holdings, Inc. and Friedman, Billings,
Ramsey & Co., Inc.
|
|
4.3(2)
|
Indenture,
dated as of March 27, 2007, among Aventine Renewable Energy Holdings,
Inc.
the subsidiary guarantors named therein and Wells Fargo Bank, N.A.
and the
form of note.
|
|
4.4(2)
|
Registration
Rights Agreement, dated as of March 27, 2007, among Aventine Renewable
Energy Holdings, Inc., the subsidiary guarantors named therein
and Wells
Fargo Bank, N.A.
|
|
5.1(3)
|
Opinion
of Davis Polk & Wardwell
|
|
10.1(4)
|
Lease
Agreement, dated as of October 31, 2006 by and between the Indiana
Port
Commission and Aventine Renewable Energy — Mt Vernon,
LLC
|
|
10.2(5)
|
Credit
Agreement, dated as of March 23, 2007, among Aventine Renewable
Energy,
Inc., Aventine Renewable Energy – Mt Vernon, LLC, and Aventine Renewable
Energy – Aurora West, LLC, as Borrowers, The Other Loan Parties Party
Thereto, The Lenders Party Thereto, JPMorgan Chase Bank, N.A.,
as
Administrative Agent, Bank of America, N.A., as Syndication Agent
and UBS
Securities LLC and Wells Fargo Foothill, LLC, as Co-Documentation
Agents
|
|
10.3(1)
|
Rights
Agreement dated as of December 19, 2005 between Aventine Renewable
Energy
Holdings, Inc. and American Stock Transfer & Trust Company, as Rights
Agent
|
|
10.4(1)*
|
Aventine
Renewable Energy Holdings, Inc. 2003 Stock Incentive
Plan
|
|
10.5(6)#
|
Design-Builder
Agreement between Fagen, Inc. and Aventine Renewable Energy Holdings,
Inc.
dated as of September 9, 2005
|
Exhibit
Number
|
Description
|
|
10.6(6)#
|
Ethanol
Marketing Agreement, dated October 14, 2002, between Aventine
Renewable
Energy, Inc. (f/k/a Williams Ethanol Services, Inc.) and VeraSun
Aurora
Corporation (f/k/a VeraSun Energy Corporation), as amended on
December 8, 2003 and February 22, 2005
|
|
10.7(6)#
|
Ethanol
Marketing Agreement, dated February 22, 2005, between Aventine
Renewable
Energy, Inc. and VeraSun Fort Dodge, LLC
|
|
10.8(7)*
|
Non-Employee
Director Compensation Schedule
|
|
10.9(7)*
|
Form
of Non-Employee Director Restricted Stock Award Agreement under
the
Aventine Renewable Energy Holdings, Inc. 2003 Stock Incentive
Plan
|
|
10.10(7)*
|
Form
of Stock Option Award Agreement under the Aventine Renewable
Energy
Holdings, Inc. 2003 Stock Incentive Plan
|
|
10.11(7)*
|
Stock
Option Award Agreement for Ajay Sabherwal dated November 14,
2005
|
|
10.12(7)*
|
Amendment
to Stock Option Award Agreement for Ajay Sabherwal dated December 30,
2005
|
|
10.13(8)*
|
Form
of Performance Stock Unit Award Agreement under 2003
Plan
|
|
10.14(8)*
|
Form
of Restricted Stock Award Agreement under 2003 Plan
|
|
10.15(8)*
|
Form
of Non-Employee Director Restricted Stock Unit Award under 2003
Plan
|
|
10.16(2)
|
Indenture,
dated as of March 27, 2007, among Aventine Renewable Energy Holdings,
Inc.
the subsidiary guarantors named therein and Wells Fargo Bank,
N.A. and the
form of note.
|
|
21.1(3)
|
List
of subsidiaries of the Registrant
|
|
23.1
|
Consent
of Ernst & Young, LLP
|
|
24.1(3)
|
Power
of Attorney (included on signature
page)
|
|
(1)
|
Filed
with the registration statement on Form S-1 (333-132860) on
March 30, 2006.
|
|
(2)
|
Filed
with the Current Report on Form 8-K on April 2,
2007.
|
|
(3)
|
Filed
with the registration statement on Form S-1 (333-132881) on March 31,
2006.
|
|
(4)
|
Filed
with the Annual Report on Form 10-K for the year ended December
31,
2006.
|
|
(5)
|
Filed
with the Current Report on Form 8-K on March 23,
2007.
|
|
(6)
|
Filed
with the amended registration statement on Form S-1/A (333-132860)
on May
8, 2006.
|
|
(7)
|
Filed
with the amended registration statement on Form S-1/A (333-132860)
on
June 13, 2006.
|
|
(8)
|
Filed
with the Current Report on Form 8-K filed on February 27,
2007.
|
AVENTINE
RENEWABLE ENERGY HOLDINGS, INC.
|
|||
By:
|
/s/ Ronald H. Miller | ||
|
Name:
Ronald H. Miller
Title:
President and Chief Executive Officer
|
Signature
|
Title
|
Date
|
||
/s/
Ronald H. Miller
|
President,
Chief Executive Officer and Director
|
April
27, 2007
|
||
Ronald
H. Miller
|
||||
*
|
Chief
Financial Officer
|
April
27, 2007
|
||
Ajay
Sabherwal
|
||||
*
|
Chief
Accounting and Compliance Officer
|
April
27, 2007
|
||
William
J. Brennan
|
||||
*
|
Non
Executive Chairman of the Board and Director
|
April
27, 2007
|
||
Bobby
L. Latham
|
||||
*
|
Director
|
April
27, 2007
|
||
Leigh
Abramson
|
|
|
||
|
||||
*
|
Director
|
April
27, 2007
|
||
Richard
A. Derbes
|
|
|
||
|
Director
|
April
27, 2007
|
||
Farokh
S. Hakimi
|
|
|
||
*
|
Director
|
April
27, 2007
|
||
Michael
C. Hoffman
|
|
|
||
*
|
Director
|
April
27, 2007
|
||
Wayne
D. Kuhn
|
|
|
||
Director
|
April
27, 2007
|
|||
Arnold
M. Nemirow
|
|
|
*By:
|
/s/
William J. Brennan
|
|
|
William
J. Brennan
Attorney-in-fact
|
Exhibit
Number
|
Description
|
|
3.1(1)
|
Amended
and Restated Certificate of Incorporation of Aventine Renewable
Energy
Holdings, Inc.
|
|
3.2(1)
|
Amended
and Restated Bylaws of Aventine Renewable Energy Holdings,
Inc.
|
|
4.1(1)
|
Registration
Rights Agreement dated as of December 12, 2005 among Aventine
Renewable
Energy Holdings, Inc., the Investor Holders and the Management
Holders
named therein
|
|
4.2(1)
|
Registration
Rights Agreement dated as of December 23, 2005 by and between
Aventine Renewable Energy Holdings, Inc. and Friedman, Billings,
Ramsey & Co., Inc.
|
|
4.3(2)
|
Indenture,
dated as of March 27, 2007, among Aventine Renewable Energy Holdings,
Inc.
the subsidiary guarantors named therein and Wells Fargo Bank,
N.A. and the
form of note.
|
|
4.4(2)
|
Registration
Rights Agreement, dated as of March 27, 2007, among Aventine
Renewable
Energy Holdings, Inc., the subsidiary guarantors named therein
and Wells
Fargo Bank, N.A.
|
|
5.1(3)
|
Opinion
of Davis Polk & Wardwell
|
|
10.1(4)
|
Lease
Agreement, dated as of October 31, 2006 by and between the Indiana
Port
Commission and Aventine Renewable Energy — Mt Vernon,
LLC
|
|
10.2(5)
|
Credit
Agreement, dated as of March 23, 2007, among Aventine Renewable
Energy,
Inc., Aventine Renewable Energy – Mt Vernon, LLC, and Aventine Renewable
Energy – Aurora West, LLC, as Borrowers, The Other Loan Parties Party
Thereto, The Lenders Party Thereto, JPMorgan Chase Bank, N.A.,
as
Administrative Agent, Bank of America, N.A., as Syndication Agent
and UBS
Securities LLC and Wells Fargo Foothill, LLC, as Co-Documentation
Agents
|
|
10.3(1)
|
Rights
Agreement dated as of December 19, 2005 between Aventine Renewable
Energy
Holdings, Inc. and American Stock Transfer & Trust Company, as Rights
Agent
|
|
10.4(1)*
|
Aventine
Renewable Energy Holdings, Inc. 2003 Stock Incentive
Plan
|
|
10.5(6)#
|
Design-Builder
Agreement between Fagen, Inc. and Aventine Renewable Energy Holdings,
Inc.
dated as of September 9, 2005
|
|
10.6(6)#
|
Ethanol
Marketing Agreement, dated October 14, 2002, between Aventine
Renewable
Energy, Inc. (f/k/a Williams Ethanol Services, Inc.) and VeraSun
Aurora
Corporation (f/k/a VeraSun Energy Corporation), as amended on
December 8, 2003 and February 22, 2005
|
|
10.7(6)#
|
Ethanol
Marketing Agreement, dated February 22, 2005, between Aventine
Renewable
Energy, Inc. and VeraSun Fort Dodge, LLC
|
|
10.8(7)*
|
Non-Employee
Director Compensation Schedule
|
|
10.9(7)*
|
Form
of Non-Employee Director Restricted Stock Award Agreement under
the
Aventine Renewable Energy Holdings, Inc. 2003 Stock Incentive
Plan
|
|
10.10(7)*
|
Form
of Stock Option Award Agreement under the Aventine Renewable
Energy
Holdings, Inc. 2003 Stock Incentive Plan
|
|
10.11(7)*
|
Stock
Option Award Agreement for Ajay Sabherwal dated November 14,
2005
|
|
10.12(7)*
|
Amendment
to Stock Option Award Agreement for Ajay Sabherwal dated December 30,
2005
|
|
10.13(8)*
|
Form
of Performance Stock Unit Award Agreement under 2003
Plan
|
|
10.14(8)*
|
Form
of Restricted Stock Award Agreement under 2003 Plan
|
|
10.15(8)*
|
Form
of Non-Employee Director Restricted Stock Unit Award under 2003
Plan
|
|
10.16(2)
|
Indenture,
dated as of March 27, 2007, among Aventine Renewable Energy Holdings,
Inc.
the subsidiary guarantors named therein and Wells Fargo Bank,
N.A. and the
form of note.
|
|
21.1(3)
|
List
of subsidiaries of the Registrant
|
|
23.1
|
Consent
of Ernst & Young, LLP
|
|
24.1(3)
|
Power
of Attorney (included on signature
page)
|
(1)
|
Filed
with the registration statement on Form S-1 (333-132860) on
March 30, 2006.
|
|
(2)
|
Filed
with the Current Report on Form 8-K on April 2, 2007.
|
|
(3)
|
Filed
with the registration statement on Form S-1 (333-132881) on March 31,
2006.
|
(4)
|
Filed
with the Annual Report on Form 10-K for the year ended December
31,
2006.
|
|
(5)
|
Filed
with the Current Report on Form 8-K on March 23, 2007.
|
|
(6)
|
Filed
with the amended registration statement on Form S-1/A (333-132860)
on May
8, 2006.
|
|
(7)
|
Filed
with the amended registration statement on Form S-1/A (333-132860)
on
June 13, 2006.
|
|
(8)
|
Filed
with the Current Report on Form 8-K filed on February 27,
2007
|