June 28th, 2006 · Common Contracts · 1000 similar National Grid PLC – NATIONAL GRID PLC TO THE BANK OF NEW YORK, Trustee INDENTURE Dated as of June [ ], 2006 DEBT SECURITIES *Reconciliation and tie between Trust Indenture Act of 1939, as amended by the Trust Reform Act of 1990, and Indenture, dated as of June [ ], 2006.
*Reconciliation and tie between Trust Indenture Act of 1939, as amended by the Trust Reform Act of 1990, and Indenture, dated as of June [ ], 2006.
May 22nd, 2019 · Common Contracts · 925 similar Citibank,N.A./ADR – DEPOSIT AGREEMENT DEPOSIT AGREEMENT, dated as of ___________, 2019, by and among (i) Bicycle Therapeutics plc, a public limited company incorporated under the laws of England and Wales, and its successors (the “Company”), (ii) CITIBANK, N.A., a national banking association organized under the laws of the United States of America (“Citibank”) acting in its capacity as depositary, and any successor depositary hereunder (Citibank in such capacity, the “Depositary”), and (iii) all Holders and Beneficial Owners of American Depositary Shares issued hereunder (all such capitalized terms as hereinafter defined).
DEPOSIT AGREEMENT, dated as of ___________, 2019, by and among (i) Bicycle Therapeutics plc, a public limited company incorporated under the laws of England and Wales, and its successors (the “Company”), (ii) CITIBANK, N.A., a national banking association organized under the laws of the United States of America (“Citibank”) acting in its capacity as depositary, and any successor depositary hereunder (Citibank in such capacity, the “Depositary”), and (iii) all Holders and Beneficial Owners of American Depositary Shares issued hereunder (all such capitalized terms as hereinafter defined).
July 7th, 2005 · Common Contracts · 374 similar Insignia Solutions PLC – REGISTRATION RIGHTS AGREEMENT REGISTRATION RIGHTS AGREEMENT (this “Agreement”), dated as of June 30, 2005, by and between INSIGNIA SOLUTIONS PLC, a public limited company incorporated under the laws of England and Wales (registered number: 1961960) (the “Company”) and ____ (the “Buyer”). Capitalized terms used herein and not otherwise defined herein shall have the respective meanings set forth in the Securities Subscription Agreement by and among the parties hereto and INSIGNIA SOLUTIONS INC. a company incorporated under the laws of Delaware (the “Issuer”), dated as of the date hereof (as amended, restated, supplemented or otherwise modified from time to time, the “Subscription Agreement”).
REGISTRATION RIGHTS AGREEMENT (this “Agreement”), dated as of June 30, 2005, by and between INSIGNIA SOLUTIONS PLC, a public limited company incorporated under the laws of England and Wales (registered number: 1961960) (the “Company”) and ____ (the “Buyer”). Capitalized terms used herein and not otherwise defined herein shall have the respective meanings set forth in the Securities Subscription Agreement by and among the parties hereto and INSIGNIA SOLUTIONS INC. a company incorporated under the laws of Delaware (the “Issuer”), dated as of the date hereof (as amended, restated, supplemented or otherwise modified from time to time, the “Subscription Agreement”).
April 7th, 2020 · Common Contracts · 305 similar Nevro Corp – April 1, 2020 The purpose of this letter agreement (this “Confirmation”) is to confirm the terms and conditions of the call option transaction entered into between Morgan Stanley & Co. International plc (“Dealer”) and Nevro Corp. (“Counterparty”) as of the Trade Date specified below (the “Transaction”). This letter agreement constitutes a “Confirmation” as referred to in the ISDA Master Agreement specified below. Each party further agrees that this Confirmation together with the Agreement evidence a complete binding agreement between Counterparty and Dealer as to the subject matter and terms of the Transaction to which this Confirmation relates, and shall supersede all prior or contemporaneous written or oral communications with respect thereto.
The purpose of this letter agreement (this “Confirmation”) is to confirm the terms and conditions of the call option transaction entered into between Morgan Stanley & Co. International plc (“Dealer”) and Nevro Corp. (“Counterparty”) as of the Trade Date specified below (the “Transaction”). This letter agreement constitutes a “Confirmation” as referred to in the ISDA Master Agreement specified below. Each party further agrees that this Confirmation together with the Agreement evidence a complete binding agreement between Counterparty and Dealer as to the subject matter and terms of the Transaction to which this Confirmation relates, and shall supersede all prior or contemporaneous written or oral communications with respect thereto.
December 22nd, 2020 · Common Contracts · 255 similar Energizer Holdings, Inc. – EXECUTION VERSION J.P.Morgan AMENDED AND RESTATED CREDIT AGREEMENT Dated as of December 22, 2020 among ENERGIZER HOLDINGS, INC., as Borrower THE INSTITUTIONS FROM TIME TO TIME PARTIES HERETO AS LENDERS JPMORGAN CHASE BANK, N.A., as Administrative...
February 14th, 2007 · Common Contracts · 227 similar Morgan Stanley Capital I Trust 2007-Top25 – between MORGAN STANLEY MORTGAGE CAPITAL INC. as Seller and MORGAN STANLEY CAPITAL I INC. as Purchaser
June 30th, 2003 · Common Contracts · 217 similar Tsakos Energy Navigation LTD – ISDA® International Swap Dealers Association, Inc. MASTER AGREEMENT dated as of July 27th, 2001 have entered and/or anticipate entering into one or more transactions (each a “Transaction”) that are or will be governed by this Master Agreement, which includes the schedule (the “Schedule”), and the documents and other confirming evidence (each a “Confirmation”) exchanged between the parties confirming those Transactions.
have entered and/or anticipate entering into one or more transactions (each a “Transaction”) that are or will be governed by this Master Agreement, which includes the schedule (the “Schedule”), and the documents and other confirming evidence (each a “Confirmation”) exchanged between the parties confirming those Transactions.
November 6th, 2001 · Common Contracts · 158 similar Advance Auto Parts Inc – EXHIBIT 4.8 ADVANCE STORES COMPANY, INCORPORATED 10-1/4% SENIOR SUBORDINATED NOTES DUE 2008
April 1st, 2020 · Common Contracts · 154 similar Aon PLC – AON CORPORATION Company the Guarantors party hereto and THE BANK OF NEW YORK MELLON TRUST COMPANY, N.A. Trustee SECOND AMENDED AND RESTATED INDENTURE (Supplemental Indenture Amending and Restating the Amended and Restated Indenture dated as of April... THIS SECOND AMENDED AND RESTATED INDENTURE, dated as of April 1, 2020, among Aon Corporation, a corporation duly organized and existing under the laws of the State of Delaware (hereinafter sometimes referred to as the "Company"), Aon plc (formerly known as Aon Limited), a public limited company duly organized and existing under the laws of Ireland (hereinafter sometimes called "Aon Ireland"), Aon plc, a public limited company duly organized and existing under the laws of England and Wales and to be converted into a limited company and renamed Aon Global Limited (hereinafter sometimes called the "Aon UK"), Aon Global Holdings Limited, a limited company duly organized and existing under the laws of England and Wales and to be converted into a public limited company renamed and Aon Global Holdings plc (hereinafter sometimes called "AGH" and, together with Aon Ireland and Aon UK, the "Guarantors" and each, a "Guarantor"), and The Bank of New York Mellon Trust Company, N.A., a national bank
THIS SECOND AMENDED AND RESTATED INDENTURE, dated as of April 1, 2020, among Aon Corporation, a corporation duly organized and existing under the laws of the State of Delaware (hereinafter sometimes referred to as the "Company"), Aon plc (formerly known as Aon Limited), a public limited company duly organized and existing under the laws of Ireland (hereinafter sometimes called "Aon Ireland"), Aon plc, a public limited company duly organized and existing under the laws of England and Wales and to be converted into a limited company and renamed Aon Global Limited (hereinafter sometimes called the "Aon UK"), Aon Global Holdings Limited, a limited company duly organized and existing under the laws of England and Wales and to be converted into a public limited company renamed and Aon Global Holdings plc (hereinafter sometimes called "AGH" and, together with Aon Ireland and Aon UK, the "Guarantors" and each, a "Guarantor"), and The Bank of New York Mellon Trust Company, N.A., a national bank
September 9th, 2008 · Common Contracts · 154 similar Van Kampen Retirement Strategy Trust – CUSTODIAN CONTRACT Between EACH OF THE PARTIES LISTED ON APPENDIX A and STATE STREET BANK AND TRUST COMPANY
February 5th, 2013 · Common Contracts · 121 similar Lear Corp – AMENDED AND RESTATED CREDIT AGREEMENT among LEAR CORPORATION, THE FOREIGN SUBSIDIARY BORROWERS, The Several Lenders from Time to Time Parties Hereto, BARCLAYS BANK PLC and UBS SECURITIES LLC, as Co-Documentation Agents, CITIBANK, N.A. and ROYAL BANK... AMENDED AND RESTATED CREDIT AGREEMENT (this “Agreement”), dated as of January 30, 2013, among (i) LEAR CORPORATION, a Delaware corporation (the “Company”), (ii) each FOREIGN SUBSIDIARY BORROWER (as defined below) (together with the Company, the “Borrowers”), (iii) the several banks and other financial institutions or entities from time to time parties to this Agreement (the “Lenders”), (iv) BARCLAYS BANK PLC and UBS SECURITIES LLC, as co-documentation agents, (v) CITIBANK, N.A. and ROYAL BANK OF CANADA, as co-syndication agents, and (vi) JPMORGAN CHASE BANK, N.A., as administrative agent (in such capacity, the “Administrative Agent”) and as collateral agent for the Lenders (in such capacity the “Collateral Agent”).
AMENDED AND RESTATED CREDIT AGREEMENT (this “Agreement”), dated as of January 30, 2013, among (i) LEAR CORPORATION, a Delaware corporation (the “Company”), (ii) each FOREIGN SUBSIDIARY BORROWER (as defined below) (together with the Company, the “Borrowers”), (iii) the several banks and other financial institutions or entities from time to time parties to this Agreement (the “Lenders”), (iv) BARCLAYS BANK PLC and UBS SECURITIES LLC, as co-documentation agents, (v) CITIBANK, N.A. and ROYAL BANK OF CANADA, as co-syndication agents, and (vi) JPMORGAN CHASE BANK, N.A., as administrative agent (in such capacity, the “Administrative Agent”) and as collateral agent for the Lenders (in such capacity the “Collateral Agent”).
August 21st, 2013 · Common Contracts · 118 similar Sauer Energy, Inc. – AMENDED AND RESTATED EQUITY PURCHASE AGREEMENT BY AND BETWEEN SAUER ENERGY, INC. AND BEAUFORT VENTURES PLC THIS AMENDED AND RESTATED EQUITY PURCHASE AGREEMENT entered into as of the 8th day of July, 2013 (this "AGREEMENT"), by and between Beaufort Ventures PLC, a United Kingdom corporation ("INVESTOR"), and Sauer Energy, Inc., a Nevada corporation (the "COMPANY").
THIS AMENDED AND RESTATED EQUITY PURCHASE AGREEMENT entered into as of the 8th day of July, 2013 (this "AGREEMENT"), by and between Beaufort Ventures PLC, a United Kingdom corporation ("INVESTOR"), and Sauer Energy, Inc., a Nevada corporation (the "COMPANY").
December 16th, 2019 · Common Contracts · 112 similar Cole Office & Industrial REIT (CCIT II), Inc. – CREDIT AGREEMENT Dated as of December 10, 2019 among COLE CORPORATE INCOME OPERATING PARTNERSHIP II, LP, as the Borrower, JPMORGAN CHASE BANK, N.A., as Administrative Agent and L/C Issuer, THIS CREDIT AGREEMENT (as may be amended, restated, amended and restated, supplemented or otherwise modified from time to time, this “Agreement”) is entered into as of December 10, 2019, among COLE CORPORATE INCOME OPERATING PARTNERSHIP II, LP, a Delaware limited partnership (the “Borrower”), each lender from time to time party hereto (collectively, the “Lenders” and individually, a “Lender”), and JPMORGAN CHASE BANK, N.A., as Administrative Agent.
THIS CREDIT AGREEMENT (as may be amended, restated, amended and restated, supplemented or otherwise modified from time to time, this “Agreement”) is entered into as of December 10, 2019, among COLE CORPORATE INCOME OPERATING PARTNERSHIP II, LP, a Delaware limited partnership (the “Borrower”), each lender from time to time party hereto (collectively, the “Lenders” and individually, a “Lender”), and JPMORGAN CHASE BANK, N.A., as Administrative Agent.
March 22nd, 2012 · Common Contracts · 109 similar HSBC Holdings PLC – HSBC HOLDINGS PLC Issuer TO THE BANK OF NEW YORK Trustee INDENTURE Dated as of Debt Securities INDENTURE dated as of o, between HSBC Holdings plc, a public limited company duly organized and existing under the laws of England and Wales (hereinafter called the “Company”), having its principal office at 8 Canada Square, London E14 5HQ, England, and The Bank of New York, a New York banking corporation, as Trustee (hereinafter called the “Trustee”), on the date hereof having its principal corporate trust office located at 101 Barclay Street, Floor 21 West, New York, New York 10286.
INDENTURE dated as of o, between HSBC Holdings plc, a public limited company duly organized and existing under the laws of England and Wales (hereinafter called the “Company”), having its principal office at 8 Canada Square, London E14 5HQ, England, and The Bank of New York, a New York banking corporation, as Trustee (hereinafter called the “Trustee”), on the date hereof having its principal corporate trust office located at 101 Barclay Street, Floor 21 West, New York, New York 10286.
April 30th, 2014 · Common Contracts · 107 similar Neuberger Berman Advisers Management Trust – CUSTODIAN CONTRACT Between NEUBERGER & BERMAN ADVISERS MANAGEMENT TRUST and STATE STREET BANK AND TRUST COMPANY This Contract between Neuberger & Berman Advisers Management Trust, a Delaware business trust, having its principal place of business at 605 Third Avenue, New York, New York 10158, hereinafter called the "Fund", and State Street Bank and Trust Company, a Massachusetts trust company, having its principal place of business at 225 Franklin Street, Boston, Massachusetts, 02110, hereinafter called the "Custodian"
This Contract between Neuberger & Berman Advisers Management Trust, a Delaware business trust, having its principal place of business at 605 Third Avenue, New York, New York 10158, hereinafter called the "Fund", and State Street Bank and Trust Company, a Massachusetts trust company, having its principal place of business at 225 Franklin Street, Boston, Massachusetts, 02110, hereinafter called the "Custodian"
April 21st, 2006 · Common Contracts · 92 similar Cendant Corp – CREDIT AGREEMENT among AVIS BUDGET HOLDINGS, LLC, AVIS BUDGET CAR RENTAL, LLC, as Borrower, The Subsidiary Borrowers from Time to Time Parties Hereto, The Several Lenders from Time to Time Parties Hereto, JPMORGAN CHASE BANK, N.A., as Administrative...
March 22nd, 2010 · Common Contracts · 83 similar Lear Corp – AMENDED AND RESTATED CREDIT AGREEMENT among LEAR CORPORATION (as reorganized pursuant to and under the Plan of Reorganization) The Several Lenders from Time to Time Parties Hereto, BARCLAYS BANK PLC, as Documentation Agent and JPMORGAN CHASE BANK,... AMENDED AND RESTATED CREDIT AGREEMENT (this “Agreement”), dated as of March 18, 2010, among (i) LEAR CORPORATION, a Delaware corporation, as reorganized pursuant to and under the Plan of Reorganization (as defined below) (the “Borrower”), (ii) the several banks and other financial institutions or entities from time to time parties to this Agreement (the “Lenders”), (iii) BARCLAYS BANK PLC, as documentation agent, and (iv) JPMORGAN CHASE BANK, N.A., as administrative agent (in such capacity, the “Administrative Agent”) and as collateral agent for the Lenders (in such capacity the “Collateral Agent”).
AMENDED AND RESTATED CREDIT AGREEMENT (this “Agreement”), dated as of March 18, 2010, among (i) LEAR CORPORATION, a Delaware corporation, as reorganized pursuant to and under the Plan of Reorganization (as defined below) (the “Borrower”), (ii) the several banks and other financial institutions or entities from time to time parties to this Agreement (the “Lenders”), (iii) BARCLAYS BANK PLC, as documentation agent, and (iv) JPMORGAN CHASE BANK, N.A., as administrative agent (in such capacity, the “Administrative Agent”) and as collateral agent for the Lenders (in such capacity the “Collateral Agent”).
May 12th, 2017 · Common Contracts · 80 similar Sauer Energy, Inc. – REGISTRATION RIGHTS AGREEMENT This Registration Rights Agreement ("Agreement"), dated as of May 9, 2017, is made by and between Sauer Energy, Inc. a Nevada corporation ("Company"), and East Six Opportunity Fund, LLC a Delaware limited liability company (the "Investor").
This Registration Rights Agreement ("Agreement"), dated as of May 9, 2017, is made by and between Sauer Energy, Inc. a Nevada corporation ("Company"), and East Six Opportunity Fund, LLC a Delaware limited liability company (the "Investor").
November 9th, 2018 · Common Contracts · 80 similar SMTC Corp – FINANCING AGREEMENT Dated as of November 8, 2018 by and among SMTC CORPORATION, as the Parent EACH SUBSIDIARY OF THE PARENT LISTED AS A BORROWER ON THE SIGNATURE PAGES HERETO, as Borrowers, THE PARENT AND EACH SUBSIDIARY OF THE PARENT LISTED AS A... Financing Agreement, dated as of November __, 2018, by and among SMTC Corporation, a Delaware corporation (the "Parent"), each subsidiary of the Parent listed as a "Borrower" on the signature pages hereto (together with each other Person that executes a joinder agreement and becomes a "Borrower" hereunder, each a "Borrower" and collectively, the "Borrowers"), each subsidiary of the Parent listed as a "Guarantor" on the signature pages hereto (together with the Parent and each other Person that executes a joinder agreement and becomes a "Guarantor" hereunder, each a "Guarantor" and collectively, the "Guarantors"), the lenders from time to time party hereto (each a "Lender" and collectively, the "Lenders"), TCW Asset Management Company LLC ("TCW"), as collateral agent for the Lenders (in such capacity, together with its successors and assigns in such capacity, the "Collateral Agent"), and TCW Asset Management Company LLC, as administrative agent for the Lenders (in such capacity, togethe
Financing Agreement, dated as of November __, 2018, by and among SMTC Corporation, a Delaware corporation (the "Parent"), each subsidiary of the Parent listed as a "Borrower" on the signature pages hereto (together with each other Person that executes a joinder agreement and becomes a "Borrower" hereunder, each a "Borrower" and collectively, the "Borrowers"), each subsidiary of the Parent listed as a "Guarantor" on the signature pages hereto (together with the Parent and each other Person that executes a joinder agreement and becomes a "Guarantor" hereunder, each a "Guarantor" and collectively, the "Guarantors"), the lenders from time to time party hereto (each a "Lender" and collectively, the "Lenders"), TCW Asset Management Company LLC ("TCW"), as collateral agent for the Lenders (in such capacity, together with its successors and assigns in such capacity, the "Collateral Agent"), and TCW Asset Management Company LLC, as administrative agent for the Lenders (in such capacity, togethe
August 6th, 2013 · Common Contracts · 77 similar Avis Budget Group, Inc. – SECOND AMENDED AND RESTATED CREDIT AGREEMENT among AVIS BUDGET HOLDINGS, LLC, SECOND AMENDED AND RESTATED CREDIT AGREEMENT (this “Agreement”), dated as of August 2, 2013, among AVIS BUDGET HOLDINGS, LLC, a Delaware limited liability company (“Holdings”), AVIS BUDGET CAR RENTAL, LLC, a Delaware limited liability company (the “Borrower”), AVIS BUDGET GROUP, INC., a Delaware corporation, the Subsidiary Borrowers (as defined herein) from time to time parties hereto, the several banks and other financial institutions or entities from time to time parties hereto (the “Lenders”), DEUTSCHE BANK SECURITIES INC., as syndication agent (in such capacity, the “Syndication Agent”), CITICORP USA, INC., BANK OF AMERICA, N.A., CREDIT AGRICOLE CORPORATE AND INVESTMENT BANK, BARCLAYS BANK PLC and THE ROYAL BANK OF SCOTLAND PLC, as co-documentation agents (in such capacity, the “Co-Documentation Agents”), and JPMORGAN CHASE BANK, N.A., as administrative agent.
SECOND AMENDED AND RESTATED CREDIT AGREEMENT (this “Agreement”), dated as of August 2, 2013, among AVIS BUDGET HOLDINGS, LLC, a Delaware limited liability company (“Holdings”), AVIS BUDGET CAR RENTAL, LLC, a Delaware limited liability company (the “Borrower”), AVIS BUDGET GROUP, INC., a Delaware corporation, the Subsidiary Borrowers (as defined herein) from time to time parties hereto, the several banks and other financial institutions or entities from time to time parties hereto (the “Lenders”), DEUTSCHE BANK SECURITIES INC., as syndication agent (in such capacity, the “Syndication Agent”), CITICORP USA, INC., BANK OF AMERICA, N.A., CREDIT AGRICOLE CORPORATE AND INVESTMENT BANK, BARCLAYS BANK PLC and THE ROYAL BANK OF SCOTLAND PLC, as co-documentation agents (in such capacity, the “Co-Documentation Agents”), and JPMORGAN CHASE BANK, N.A., as administrative agent.
July 3rd, 2018 · Common Contracts · 69 similar Navios Maritime Containers Inc. – Dated 25 May 2018 NEFELI NAVIGATION S.A. as Borrower and THE BANKS AND FINANCIAL INSTITUTIONS listed in Schedule 1 as Lenders and BNP PARIBAS as Agent and Security Trustee LOAN AGREEMENT relating to a $25,000,000 term loan facility to finance the...
October 1st, 2007 · Common Contracts · 67 similar Sulphco Inc – SECURITIES PURCHASE AGREEMENT This Securities Purchase Agreement (this “Agreement”) is dated as of March 29, 2006, by and between SulphCo, Inc., a Nevada, U.S.A. corporation (the “Company”), and the purchasers identified on the signature pages hereto or a counterpart thereof (each, a “Purchaser” and collectively, the “Purchasers”).
This Securities Purchase Agreement (this “Agreement”) is dated as of March 29, 2006, by and between SulphCo, Inc., a Nevada, U.S.A. corporation (the “Company”), and the purchasers identified on the signature pages hereto or a counterpart thereof (each, a “Purchaser” and collectively, the “Purchasers”).
September 1st, 2000 · Common Contracts · 64 similar Master U S High Yield Trust – Exhibit 7 Custodian Contract This Contract between Master U.S. High Yield Trust, a business trust organized and existing under the laws of Delaware, having its principal place of business at 800 Scudders Mill Road, Plainsboro, New Jersey 08536 (the...
July 6th, 2005 · Common Contracts · 57 similar Alliancebernstein Blended Style Series Inc – FORM OF CUSTODIAN CONTRACT Between [__________________________________] and STATE STREET BANK AND TRUST COMPANY
November 12th, 2014 · Common Contracts · 56 similar Walgreen Co – TERM LOAN CREDIT AGREEMENT DATED AS OF NOVEMBER 10, 2014 AMONG WALGREEN CO., WALGREENS BOOTS ALLIANCE, INC., THE LENDERS FROM TIME TO TIME PARTIES HERETO, and BANK OF AMERICA, N.A., as Administrative Agent MERRILL LYNCH, PIERCE, FENNER & SMITH... This Term Loan Credit Agreement, dated as of November 10, 2014, is among WALGREEN CO., an Illinois corporation (“Walgreens”), WALGREENS BOOTS ALLIANCE, INC., a Delaware corporation (“Walgreens Boots Alliance”), the institutions from time to time parties hereto as Lenders (whether by execution of this Agreement or an assignment pursuant to Section 12.01) and BANK OF AMERICA, N.A., as Administrative Agent.
This Term Loan Credit Agreement, dated as of November 10, 2014, is among WALGREEN CO., an Illinois corporation (“Walgreens”), WALGREENS BOOTS ALLIANCE, INC., a Delaware corporation (“Walgreens Boots Alliance”), the institutions from time to time parties hereto as Lenders (whether by execution of this Agreement or an assignment pursuant to Section 12.01) and BANK OF AMERICA, N.A., as Administrative Agent.
November 7th, 2014 · Common Contracts · 54 similar Amsurg Corp – CREDIT AGREEMENT Dated as of July 16, 2014 among AMSURG CORP., as the Borrower, The Several Lenders from Time to Time Parties Hereto, and CITIBANK, N.A., as Administrative Agent, Collateral Agent, a Letter of Credit Issuer and Swingline Lender... CREDIT AGREEMENT, dated as of July 16, 2014, among AMSURG CORP., a Tennessee corporation (the “Borrower”), the banks, financial institutions and other investors from time to time parties hereto (each a “Lender” and, collectively, the “Lenders”; each as hereinafter further defined) and CITIBANK, N.A., as the Administrative Agent, Collateral Agent, a Letter of Credit Issuer and Swingline Lender.
CREDIT AGREEMENT, dated as of July 16, 2014, among AMSURG CORP., a Tennessee corporation (the “Borrower”), the banks, financial institutions and other investors from time to time parties hereto (each a “Lender” and, collectively, the “Lenders”; each as hereinafter further defined) and CITIBANK, N.A., as the Administrative Agent, Collateral Agent, a Letter of Credit Issuer and Swingline Lender.
October 12th, 2006 · Common Contracts · 47 similar Alternative Loan Trust 2006-30t1 – EXHIBIT 99.3 ------------
November 2nd, 2020 · Common Contracts · 45 similar California Resources Corp – CREDIT AGREEMENT Dated as of October 27, 2020 among CALIFORNIA RESOURCES CORPORATION as the Borrower, The Several Lenders from Time to Time Parties Hereto, and CITIBANK, N.A., as Administrative Agent, Collateral Agent and an Issuing Bank CITIBANK,... WHEREAS, reference is made to that certain Amended and Restated Restructuring Support Agreement, dated as of July 24, 2020, by and among the Borrower, certain subsidiaries of the Borrower, the Consenting 2016 Term Loan Lenders (as defined in the Restructuring Support Agreement) party thereto, the Consenting 2017 Term Loan Lenders (as defined in the Restructuring Support Agreement) party thereto, the Consenting Second Lien Noteholders (as defined in the Restructuring Support Agreement) party thereto and Ares (as defined in the Restructuring Support Agreement) (as amended, amended and restated, supplemented, restated or otherwise modified, the “Restructuring Support Agreement”). Pursuant to the Restructuring Support Agreement, the Borrower and the other parties thereto agreed to a restructuring of the Borrower and its Subsidiaries;
WHEREAS, reference is made to that certain Amended and Restated Restructuring Support Agreement, dated as of July 24, 2020, by and among the Borrower, certain subsidiaries of the Borrower, the Consenting 2016 Term Loan Lenders (as defined in the Restructuring Support Agreement) party thereto, the Consenting 2017 Term Loan Lenders (as defined in the Restructuring Support Agreement) party thereto, the Consenting Second Lien Noteholders (as defined in the Restructuring Support Agreement) party thereto and Ares (as defined in the Restructuring Support Agreement) (as amended, amended and restated, supplemented, restated or otherwise modified, the “Restructuring Support Agreement”). Pursuant to the Restructuring Support Agreement, the Borrower and the other parties thereto agreed to a restructuring of the Borrower and its Subsidiaries;
April 20th, 2007 · Common Contracts · 44 similar Alpine Global Premier Properties Fund – MASTER AGREEMENT AMONG UNDERWRITERS This Agreement, as amended or supplemented by the Invitation, shall become effective with respect to our participation in an offering of securities if you receive our oral or written acceptance and you do not receive a written communication revoking our acceptance prior to the time and date specified in the Invitation (our unrevoked acceptance after expiration of such time and date being hereinafter referred to as our “Acceptance”). Our Acceptance will constitute our confirmation that, except as otherwise stated in such Acceptance, each statement included in the Master Underwriters’ Questionnaire set forth as Exhibit A hereto (or otherwise furnished to us) is correct. The issuer of the securities in any offering of securities made pursuant to this Agreement is hereinafter referred to as the “Issuer”. If the Purchase Agreement does not provide for an over-allotment option, the securities to be purchased are hereinafter referred to as the “Securities”; if the Purchase Agreement provides
This Agreement, as amended or supplemented by the Invitation, shall become effective with respect to our participation in an offering of securities if you receive our oral or written acceptance and you do not receive a written communication revoking our acceptance prior to the time and date specified in the Invitation (our unrevoked acceptance after expiration of such time and date being hereinafter referred to as our “Acceptance”). Our Acceptance will constitute our confirmation that, except as otherwise stated in such Acceptance, each statement included in the Master Underwriters’ Questionnaire set forth as Exhibit A hereto (or otherwise furnished to us) is correct. The issuer of the securities in any offering of securities made pursuant to this Agreement is hereinafter referred to as the “Issuer”. If the Purchase Agreement does not provide for an over-allotment option, the securities to be purchased are hereinafter referred to as the “Securities”; if the Purchase Agreement provides
July 28th, 2009 · Common Contracts · 43 similar Fedex Corp – CREDIT AGREEMENT Dated as of July 22, 2009 Among FEDEX CORPORATION, as Borrower, BANK OF AMERICA, N.A., as Syndication Agent, THE BANK OF NOVA SCOTIA, REGIONS BANK, and WELLS FARGO BANK, N.A., as Co-Documentation Agents, The Several Lenders Party... THREE-YEAR CREDIT AGREEMENT, dated as of July 22, 2009, among FEDEX CORPORATION, the LENDERS party hereto, JPMORGAN CHASE BANK, N.A., as Administrative Agent, BANK OF AMERICA, N.A., as Syndication Agent, and THE BANK OF NOVA SCOTIA, REGIONS BANK, and WELLS FARGO BANK, N.A., as Co-Documentation Agents.
THREE-YEAR CREDIT AGREEMENT, dated as of July 22, 2009, among FEDEX CORPORATION, the LENDERS party hereto, JPMORGAN CHASE BANK, N.A., as Administrative Agent, BANK OF AMERICA, N.A., as Syndication Agent, and THE BANK OF NOVA SCOTIA, REGIONS BANK, and WELLS FARGO BANK, N.A., as Co-Documentation Agents.
August 23rd, 2017 · Common Contracts · 40 similar Dave & Buster's Entertainment, Inc. – Amended and Restated Credit Agreement Dated as of August 17, 2017, among DAVE & BUSTER’S HOLDINGS, INC., as Holdings and a Guarantor, DAVE & BUSTER’S, INC., as the Borrower The Other Guarantors from time to time parties hereto, The Lenders from time...
May 28th, 2010 · Common Contracts · 40 similar TJX Companies Inc /De/ – PORTIONS OF CERTAIN EXHIBITS TO THIS AGREEMENT HAVE BEEN OMITTED AND WILL BE FILED SEPARATELY WITH THE SECURITIES AND EXCHANGE COMMISSION PURSUANT TO A CONFIDENTIAL TREATMENT REQUEST EMPLOYMENT AGREEMENT DATED AS OF JANUARY 29, 2010 BETWEEN AND AMONG... AGREEMENT dated as of January 29, 2010 between and among Paul Sweetenham (“Executive”), TJX UK (the “Company”), and The TJX Companies, Inc. (“Parent”).
AGREEMENT dated as of January 29, 2010 between and among Paul Sweetenham (“Executive”), TJX UK (the “Company”), and The TJX Companies, Inc. (“Parent”).
June 23rd, 2021 · Common Contracts · 37 similar Torrid Holdings Inc. – AMENDED AND RESTATED CREDIT AGREEMENT Dated as of October 23, 2017 among TORRID LLC, as the Lead Borrower, For The Borrowers Named Herein, The Guarantors Named Herein, BANK OF AMERICA, N.A., as Administrative Agent and Collateral Agent, The Other... This AMENDED AND RESTATED CREDIT AGREEMENT (“Agreement”) is entered into as of October 23, 2017, among TORRID LLC, a California limited liability company (the “Lead Borrower”), the Persons named on Schedule 1.01 hereto (together with the Lead Borrower, each a “Borrower” and collectively, the “Borrowers”), TORRID INC., a Delaware corporation (“Holdings”), and each other Guarantor (as hereinafter defined) from time to time party hereto, each lender from time to time party hereto (collectively, the “Lenders” and individually, a “Lender”), and BANK OF AMERICA, N.A., as Administrative Agent and Collateral Agent.
This AMENDED AND RESTATED CREDIT AGREEMENT (“Agreement”) is entered into as of October 23, 2017, among TORRID LLC, a California limited liability company (the “Lead Borrower”), the Persons named on Schedule 1.01 hereto (together with the Lead Borrower, each a “Borrower” and collectively, the “Borrowers”), TORRID INC., a Delaware corporation (“Holdings”), and each other Guarantor (as hereinafter defined) from time to time party hereto, each lender from time to time party hereto (collectively, the “Lenders” and individually, a “Lender”), and BANK OF AMERICA, N.A., as Administrative Agent and Collateral Agent.
April 18th, 2017 · Common Contracts · 36 similar Forethought Life Insurance Co Separate Account A – BY AND AMONG
June 8th, 2015 · Common Contracts · 35 similar Gener8 Maritime, Inc. – SHIPBUILDING CONTRACT FOR THE CONSTRUCTION OF ONE (1) 300,000 DWT CLASS CRUDE OIL CARRIER HULL NO. S778 BETWEEN STI ESLES SHIPPING COMPANY LIMITED (AS BUYER) AND HYUNDAI SAMHO HEAVY INDUSTRIES CO., LTD. (AS BUILDER)