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Common use of EXHIBITS AND SCHEDULES Exhibits Clause in Contracts

EXHIBITS AND SCHEDULES Exhibits. EXHIBIT A‑1 — Commitments (Definitions) EXHIBIT A‑2 — Issuing Banks EXHIBIT A‑3 — Mandatory Cost EXHIBIT B — Form of Borrowing/Election Notice (Section 2.7 and Section 2.9) EXHIBIT C — Swing Line Loan Notice (Section 2.2) EXHIBIT D — Form of Assignment and Assumption (Sections 2.19 and 14.3) EXHIBIT E‑1 — Form of Company’s US Counsel’s Opinion (Section 5.1(a)) EXHIBIT E‑2 — Form of Company’s Foreign Counsel’s Opinion (Section 5.1(a)) EXHIBIT E‑3 — [RESERVED] EXHIBIT E‑4 — Form of Counsel’s Opinion for Subsidiary Borrowers (Section 5.1(a)) EXHIBIT F — Form of Officer’s Certificate (Sections 5.3 and 7.1(a)(iii)) EXHIBIT G — Form of Compliance Certificate (Sections 5.3 and 7.1(a)(iii)) EXHIBIT H — Form of Subsidiary Guaranty (Definitions) EXHIBIT I — Form of Revolving Loan Note EXHIBIT J — Form of Assumption Letter (Definitions) EXHIBIT K — [RESERVED] EXHIBIT L — Form of Commitment and Acceptance (Section 2.5(b)(i)) Schedule 1.1.1 — Permitted Existing Indebtedness (Definitions) Schedule 1.1.2 — Permitted Existing Investments (Definitions) Schedule 1.1.3 — Permitted Existing Liens (Definitions) Schedule 1.1.4 — Permitted Existing Contingent Obligations (Definitions) Schedule 1.1.5 — Initial Material Subsidiaries and Material Subsidiaries Schedule 3.1 — Existing Letters of Credit (Section 3.1(a)(ii)) Schedule 6.7 — Litigation (Section 6.7) Schedule 6.8 — Subsidiaries (Section 6.8) Schedule 6.9 — Pensions and Post‑Retirement Plans Schedule 6.17 — Environmental Matters (Section 6.17) Schedule 7.3(n) — Subsidiary Covenants (Section 7.3(n)) Schedule 7.3(s) — Permitted Restricted Payments (Section 7.3(s)) This Revolving Credit Agreement dated as of December 21, 2012 is entered into among Chicago Bridge & Iron Company N.V., a corporation organized under the laws of The Kingdom of the Netherlands (the “Company”), Chicago Bridge & Iron Company (Delaware), a Delaware corporation (the “Initial Borrower”), and one or more other Subsidiaries of the Company from time to time parties hereto as Subsidiary Borrowers (as hereinafter defined), the institutions from time to time parties hereto as Lenders, whether by execution of this Agreement or an Assignment and Assumption pursuant to Section 14.1, and Bank of America, N.A. (“BofA”), in its capacity as administrative agent for itself and the other Lenders (in such capacity, together with any successor appointed pursuant to Article XII, the “Administrative Agent”) and as Swing Line Lender. The parties hereto agree as follows:

Appears in 1 contract

Samples: Revolving Credit Agreement (Chicago Bridge & Iron Co N V)

EXHIBITS AND SCHEDULES Exhibits. EXHIBIT A‑1 — A -- Revolving Loan Commitments (Definitions) EXHIBIT A‑2 — Issuing Banks EXHIBIT A‑3 — Mandatory Cost A-1 -- Eurocurrency Payment Offices (Definitions) EXHIBIT B -- Form of Borrowing/Election Notice (Section 2.2, Section 2.7 and Section 2.9) EXHIBIT C — Swing Line Loan Notice -- Form of Request for Letter of Credit (Section 2.23.4) EXHIBIT D _ Form of Assignment Agreement (Definitions and Assumption (Sections 2.19 and 14.3Section 13.3) EXHIBIT E‑1 — E -- Form of CompanyBorrower’s US Counsel’s Opinion (Section 5.1(a)) EXHIBIT E‑2 — Form of Company’s Foreign Counsel’s Opinion (Section 5.1(a)) EXHIBIT E‑3 — [RESERVED] EXHIBIT E‑4 — Form of Counsel’s Opinion for Subsidiary Borrowers (Section 5.1(a)5.1) EXHIBIT F -- List of Closing Documents (Section 5.1) EXHIBIT G -- Form of Officer’s Certificate (Sections 5.3 5.2 and 7.1(a)(iii7.1(A)(iii)) EXHIBIT G — H -- Form of Compliance Certificate (Sections 5.3 5.2 and 7.1(a)(iii7.1(A)(iii)) EXHIBIT H — Form of I-1 -- Domestic Subsidiary Guaranty (Definitions) EXHIBIT I — I-2 -- Form of Foreign Subsidiary Guaranty (Definitions) EXHIBIT I-3 Foreign Subsidiary Guaranty (Definitions) EXHIBIT J -- Form of Revolving Loan Note (If Requested) (Section 2.12(D)) EXHIBIT J — Form of Assumption Letter K -- Intercreditor Agreement (Definitions) EXHIBIT K — [RESERVED] EXHIBIT L -- Form of Commitment and Acceptance Designation Agreement (Section 2.5(b)(i13.1(B)) Schedule 1.1.1 — Permitted Existing Indebtedness (Definitions) Schedule 1.1.2 — Permitted Existing Investments (Definitions) Schedule 1.1.3 — Permitted Existing Liens (Definitions) Schedule 1.1.4 — Permitted Existing Contingent Obligations (Definitions) Schedule 1.1.5 — Initial Material Subsidiaries and Material Subsidiaries Schedule 3.1 — Existing Letters EXHIBIT M-1 -- Form of Credit Increasing Lender Supplement (Section 3.1(a)(ii)2.22) Schedule 6.7 — Litigation EXHIBIT M-2 -- Form of Augmenting Lender Supplement (Section 6.72.22) Schedule 6.8 — Subsidiaries EXHIBIT N-1 -- Form of Borrowing Subsidiary Agreement (Section 6.82.23) Schedule 6.9 — Pensions and Post‑Retirement Plans Schedule 6.17 — Environmental Matters EXHIBIT N-2 -- Form of Borrowing Subsidiary Termination (Section 6.17) Schedule 7.3(n) — Subsidiary Covenants (Section 7.3(n2.23)) Schedule 7.3(s) — Permitted Restricted Payments (Section 7.3(s)) This Revolving Credit Agreement dated as of December 21, 2012 is entered into among Chicago Bridge & Iron Company N.V., a corporation organized under the laws of The Kingdom of the Netherlands (the “Company”), Chicago Bridge & Iron Company (Delaware), a Delaware corporation (the “Initial Borrower”), and one or more other Subsidiaries of the Company from time to time parties hereto as Subsidiary Borrowers (as hereinafter defined), the institutions from time to time parties hereto as Lenders, whether by execution of this Agreement or an Assignment and Assumption pursuant to Section 14.1, and Bank of America, N.A. (“BofA”), in its capacity as administrative agent for itself and the other Lenders (in such capacity, together with any successor appointed pursuant to Article XII, the “Administrative Agent”) and as Swing Line Lender. The parties hereto agree as follows:

Appears in 1 contract

Samples: Credit Agreement (Woodward, Inc.)

EXHIBITS AND SCHEDULES Exhibits. EXHIBIT A‑1 — A -- Revolving Loan Commitments (Definitions) EXHIBIT A‑2 — Issuing Banks EXHIBIT A‑3 — Mandatory Cost EXHIBIT B -- Form of Borrowing/Election Notice (Section 2.2, Section 2.7 and Section 2.9) EXHIBIT C — Swing Line Loan Notice -- Form of Request for Letter of Credit (Section 2.23.4) EXHIBIT D -- Form of Assignment Agreement (Definitions and Assumption (Sections 2.19 and 14.3Section 13.3) EXHIBIT E‑1 — E -- Form of Company’s US Counsel’s Opinion (Section 5.1(a)) EXHIBIT E‑2 — Form of Company’s Foreign Counsel’s Opinion (Section 5.1(a)) EXHIBIT E‑3 — [RESERVED] EXHIBIT E‑4 — Form of Counsel’s Opinion for Subsidiary Borrowers (Section 5.1(a)Sections 5.1 and 5.3) EXHIBIT F -- List of Closing Documents (Section 5.1) EXHIBIT G -- Form of Officer’s Certificate (Sections 5.3 5.2 and 7.1(a)(iii7.1(A)(iii)) EXHIBIT G — H -- Form of Compliance Certificate (Sections 5.3 5.2 and 7.1(a)(iii7.1(A)(iii)) EXHIBIT H — I -- Form of Subsidiary Guaranty (Definitions) EXHIBIT I — J -- Form of Revolving Loan Note (If Requested) (Section 2.12(D)) EXHIBIT J — K -- Form of Assumption Letter (Definitions) EXHIBIT K — [RESERVED] EXHIBIT L -- Form of Commitment and Acceptance (Section 2.5(b)(i2.22) Pricing Schedule Schedule 7.3(A)(i) -- Permitted Existing Non-Guarantor Subsidiary Indebtedness (Definitions, Section 7.3(A)(i)) Schedule 1.1.1 — 7.3(B) -- Permitted Existing Indebtedness Asset Sales (DefinitionsSection 7.3(B)) Schedule 1.1.2 — Permitted Existing Investments (Definitions7.3(C)(ii) Schedule 1.1.3 — -- Permitted Existing Liens (Definitions) Schedule 1.1.4 — Permitted Existing Contingent Obligations (Definitions) Schedule 1.1.5 — Initial Material Subsidiaries and Material Subsidiaries Schedule 3.1 — Existing Letters of Credit (Section 3.1(a)(ii7.3(C)(ii)) Schedule 6.7 — Litigation 7.3(D)(v) -- Permitted Existing Non-Obligor Subsidiary Investments (Section 6.7) Schedule 6.8 — Subsidiaries (Section 6.8) Schedule 6.9 — Pensions and Post‑Retirement Plans Schedule 6.17 — Environmental Matters (Section 6.17) Schedule 7.3(n) — Subsidiary Covenants (Section 7.3(n7.3(D)(v)) Schedule 7.3(s7.3(D)(viii) -- Permitted Restricted Payments Existing Additional Investments (Section 7.3(s7.3(D)(viii)) This Revolving Credit Agreement SECOND AMENDED AND RESTATED CREDIT AGREEMENT, dated as of December 21September 23, 2012 2016, is entered into by and among Chicago Bridge & Iron Company N.V.Steelcase Inc., a corporation organized under Michigan corporation, as the laws of The Kingdom of Company, the Netherlands (the “Company”), Chicago Bridge & Iron Company (Delaware), a Delaware corporation (the “Initial Borrower”), and one or more other Subsidiaries of the Company Subsidiary Borrowers from time to time parties hereto as Subsidiary Borrowers (as hereinafter defined)hereto, the institutions from time to time parties hereto as Lenders, whether by execution of this Agreement or an Assignment JPMorgan Chase Bank, N.A., as Administrative Agent for itself and Assumption pursuant to Section 14.1the other Lenders, and Bank of America, N.A. (“BofA”)and Xxxxx Fargo Bank, in its capacity National Association, as administrative agent for itself Co-Syndication Agents, and the other Lenders (in such capacityHSBC Bank USA, together with any successor appointed pursuant to Article XIINational Association, the “Administrative as Documentation Agent”) and as Swing Line Lender. The parties hereto agree as follows:.

Appears in 1 contract

Samples: Credit Agreement (Steelcase Inc)

EXHIBITS AND SCHEDULES Exhibits. EXHIBIT A‑1 — A-1 -- Revolving Loan Commitments (Definitions) EXHIBIT A‑2 — Issuing Banks EXHIBIT A‑3 — Mandatory Cost A-2 -- Term Loan Commitments (Definitions) EXHIBIT B -- Form of Borrowing/Election Notice (Section 2.2, Section 2.7 and Section 2.9) EXHIBIT C — Swing Line Loan Notice -- Form of Request for Letter of Credit (Section 2.23.4) EXHIBIT D -- Form of Assignment Agreement (Definitions and Assumption (Sections 2.19 and 14.3Section 13.3) EXHIBIT E‑1 — Form E -- List of Company’s US Counsel’s Opinion Closing Documents (Section 5.1(a)) EXHIBIT E‑2 — Form of Company’s Foreign Counsel’s Opinion (Section 5.1(a)) EXHIBIT E‑3 — [RESERVED] EXHIBIT E‑4 — Form of Counsel’s Opinion for Subsidiary Borrowers (Section 5.1(a)5.1) EXHIBIT F — Form of Officer’s Certificate (Sections 5.3 and 7.1(a)(iii)) EXHIBIT G — -- Form of Compliance Certificate (Sections 5.3 5.2 and 7.1(a)(iii7.1(C)(i)) EXHIBIT H — Form of Subsidiary Guaranty (Definitions) EXHIBIT I — G-1 -- Form of Revolving Loan Note (If Requested) (Section 2.12(B)) EXHIBIT J — G-2 Form of Assumption Letter Term Loan Note (DefinitionsIf Requested) (Section 2.12(B)) EXHIBIT K — [RESERVED] H -- Form of Collateral Value Certificate (Definitions and Section 7.1(C)(ii)) EXHIBIT L — I -- Form of Commitment and Acceptance (Definitions and Section 2.5(b)(i)2.23) Schedule 1.1.1 -- Assets for Sale as of the Closing Date Schedule 1.1.2 Initial Mortgaged Properties Schedule 1.1.3 -- Mandatory Cost Schedule 1.1.4 -- Permitted Existing Indebtedness (Definitions) Schedule 1.1.2 — Permitted Existing Investments (Definitions) Schedule 1.1.3 — Permitted Existing Liens (Definitions) Schedule 1.1.4 — Permitted Existing Contingent Obligations (Definitions) Schedule 1.1.5 — Initial Material Subsidiaries and Material Subsidiaries Schedule 3.1 — Existing 3.2 -- Transitional Letters of Credit (Section 3.1(a)(ii)) Schedule 6.7 -- Litigation (Section 6.7) Schedule 6.8 -- Subsidiaries (Section 6.8Schedule 7.3(E) -- Existing Investments Schedule 6.9 — Pensions and Post‑Retirement Plans 7.3(E)(ii) -- Certain Investments in Foreign Subsidiaries Schedule 6.17 — Environmental Matters (Section 6.177.3(E)(viii) -- Certain General Investments Schedule 7.3(n7.3(F) — Subsidiary Covenants (Section 7.3(n)) -- Existing Liens Schedule 7.3(s) — Permitted Restricted Payments (Section 7.3(s)) 7.5 -- Tax Restructuring This Revolving Credit Agreement CREDIT AGREEMENT, dated as of June 23, 2006 (as amended by Amendment No. 1 dated as of February 23, 2007, Amendment No. 2 dated as of October 2, 2007, Amendment No. 3 dated as of October 26, 2007, Amendment No. 4 thereto as of December 2110, 2012 2007, and Amendment No. 5 dated as of February 5, 2010) is entered into by and among Chicago Bridge & Iron Company N.V.ArvinMeritor, Inc., an Indiana corporation, as the Company, ArvinMeritor Finance Ireland, a corporation organized private unlimited liability company incorporated under the laws of The Kingdom of Ireland, as the Netherlands (the “Company”), Chicago Bridge & Iron Company (Delaware), a Delaware corporation (the “Initial Subsidiary Borrower”), and one or more other Subsidiaries of the Company from time to time parties hereto as Subsidiary Borrowers (as hereinafter defined), the institutions from time to time parties hereto as Lenders, whether by execution of this Agreement or an Assignment and Assumption Agreement pursuant to Section 14.113.3, and Bank of AmericaJPMorgan Chase Bank, N.A. (“BofA”)National Association, in its capacity as administrative agent Administrative Agent for itself and the other Lenders (in such capacityLenders, together with any successor appointed pursuant to Article XIICiticorp North America, the “Administrative Inc., as Syndication Agent”) , and UBS Loan Finance LLC and The Royal Bank of Scotland plc, as Swing Line LenderDocumentation Agents. The parties hereto agree as follows:

Appears in 1 contract

Samples: Credit Agreement (Arvinmeritor Inc)

EXHIBITS AND SCHEDULES Exhibits. EXHIBIT A‑1 — Commitments (Definitions) EXHIBIT A‑2 — Issuing Banks EXHIBIT A‑3 — Mandatory Cost EXHIBIT B — Exhibit A-1: Form of Borrowing/Election Notice Acquired Equity Interests Assignment Agreement (Section 2.7 and Section 2.9Seller) EXHIBIT C — Swing Line Loan Notice (Section 2.2) EXHIBIT D — Exhibit A-2: Form of Acquired Equity Interests Assignment and Assumption Agreement (Sections 2.19 and 14.3GTM) EXHIBIT E‑1 — Exhibit A-3: Form of Company’s US Counsel’s Opinion Acquired Equity Interests Assignment Agreement (Section 5.1(a)GTM - Poseidon) EXHIBIT E‑2 — Exhibit A-4: Form of Company’s Foreign Counsel’s Opinion Acquired Equity Interests Assignment Agreement (Section 5.1(a)DEP) EXHIBIT E‑3 — [RESERVED] EXHIBIT E‑4 — Exhibit B: Business Assets Exhibit C: Form of Counsel’s Opinion for Subsidiary Borrowers (Section 5.1(a)) EXHIBIT F — Closing Tax Certificate Exhibit D: Form of Transition Services Agreement Exhibit E-1: Form of Officer’s Certificate (Sections 5.3 and 7.1(a)(iii)Seller) EXHIBIT G — Exhibit E-2: Form of Compliance Officer’s Certificate (Sections 5.3 and 7.1(a)(iii)Buyer) EXHIBIT H — Exhibit F-1: Form of Subsidiary Guaranty Secretary’s Certificate (DefinitionsSeller) EXHIBIT I — Exhibit F-2: Form of Revolving Loan Note EXHIBIT J — Form of Assumption Letter Secretary’s Certificate (DefinitionsBuyer) EXHIBIT K — [RESERVED] EXHIBIT L — Form of Commitment Exhibit G: Press Releases Schedule 1(a)(i): Buyer’s Knowledge Individuals Schedule 1(a)(ii): Seller’s Knowledge Individuals Schedule 1(b)(i): Permitted Encumbrances - Property Schedule 1(b)(ii): Permitted Encumbrances Schedule 1(c): Non-Current Liabilities Schedule 1(d): Planned Capital Expenditures Schedule 1(e): Reorganization Matters Schedule 1(f): Working Capital Schedule 1(g): Excluded Assets Schedule 1(h): Additional Information Schedule 3(c): Noncontravention, Consents and Acceptance Approvals (Section 2.5(b)(i)Buyer) Schedule 1.1.1 — Permitted Existing Indebtedness 3(d): Brokers’ Fees (DefinitionsBuyer) Schedule 1.1.2 — Permitted Existing Investments 4(c): Noncontravention, Consents and Approvals (DefinitionsSeller) Schedule 1.1.3 — Permitted Existing Liens 4(e)(i): Encumbrances Schedule 4(e)(iii): Condition of Business Assets Schedule 4(f)(i): Capitalization Schedule 4(f)(ii): Encumbrances on Equity Interests Schedule 4(g): Other Subsidiaries or Joint Ventures Schedule 4(h)(i): Damage to Business Assets Schedule 4(h)(vi): Material Changes Schedule 4(j): Tax Matters Schedule 4(k)(i): Business Contracts (DefinitionsScheduled) Schedule 1.1.4 — Permitted Existing Contingent Obligations (Definitions) 4(k)(iii): Transferred Entity Contracts – Enforceability and Performance Schedule 1.1.5 — Initial Material Subsidiaries and Material Subsidiaries 4(l): Permits Schedule 3.1 — Existing Letters of Credit (Section 3.1(a)(ii)) 4(m): Litigation Schedule 6.7 — Litigation (Section 6.7) Schedule 6.8 — Subsidiaries (Section 6.8) Schedule 6.9 — Pensions and Post‑Retirement Plans Schedule 6.17 — 4(n): Environmental Matters (Section 6.17) Schedule 7.3(n) — Subsidiary Covenants (Section 7.3(n)) 4(n)(ii): Environmental Permits Schedule 7.3(s) — Permitted Restricted Payments (Section 7.3(s)) 4(q): Indebtedness and Encumbrances Schedule 4(r): Preferential Rights Schedule 4(t)(i): List of Business Employees Schedule 4(u): Arrangements Schedule 5(c): Operation of Business Schedule 5(i): Certain Associate Contracts Schedule 5(j)(x): Severance Pay and Benefits Schedule 6(g): Surety Bonds Schedule 7(a)(v): Seller Required Consents Schedule 7(b)(v): Buyer Required Consents This Revolving Credit Purchase and Sale Agreement dated as of December 21July 16, 2012 2015 is entered into among Chicago Bridge & Iron Company N.V.between Genesis Energy, L.P., a corporation organized under the laws of The Kingdom of the Netherlands Delaware limited partnership (the “Company”), Chicago Bridge & Iron Company (Delaware), a Delaware corporation (the “Initial BorrowerBuyer”), and one or more other Subsidiaries of Enterprise Products Operating LLC, a Texas limited liability company (the Company from time to time parties hereto as Subsidiary Borrowers (as hereinafter defined), the institutions from time to time parties hereto as Lenders, whether by execution of this Agreement or an Assignment and Assumption pursuant to Section 14.1, and Bank of America, N.A. (BofASeller”), in its capacity as administrative agent for itself and the other Lenders (in such capacity, together with any successor appointed pursuant to Article XII, the “Administrative Agent”) and as Swing Line Lender. The parties hereto agree as follows:.

Appears in 1 contract

Samples: Purchase and Sale Agreement (Genesis Energy Lp)

EXHIBITS AND SCHEDULES Exhibits. EXHIBIT A‑1 — Commitments (Definitions) EXHIBIT A‑2 — Issuing Banks [RESERVED] EXHIBIT A‑3 — Mandatory Cost EXHIBIT B — Form of Borrowing/Election Notice (Section 2.7 and Section 2.9) EXHIBIT C — Swing Line Loan Notice (Section 2.2) [RESERVED] EXHIBIT D — Form of Assignment and Assumption (Sections 2.19 and 14.3) EXHIBIT E‑1 — Form of Company’s US Counsel’s Opinion (Section 5.1(a)) EXHIBIT E‑2 — Form of Company’s Foreign Counsel’s Opinion (Section 5.1(a)) EXHIBIT E‑3 — [RESERVED] EXHIBIT E‑4 — Form of Counsel’s Opinion for Subsidiary Borrowers Guarantors (Section 5.1(a)) EXHIBIT F — Form of Officer’s Certificate (Sections 5.3 and Section 7.1(a)(iii)) EXHIBIT G — Form of Compliance Certificate (Sections 5.3 and Section 7.1(a)(iii)) EXHIBIT H — Form of Subsidiary Guaranty (Definitions) EXHIBIT I — Form of Revolving Term Loan Note EXHIBIT J — Form of Assumption Letter (Definitions) EXHIBIT K — [RESERVED] EXHIBIT L — Form of Commitment and Acceptance (Section 2.5(b)(i)) Schedule 1.1.1 — Permitted Existing Indebtedness (Definitions) Schedule 1.1.2 — Permitted Existing Investments (Definitions) Schedule 1.1.3 — Permitted Existing Liens (Definitions) Schedule 1.1.4 — Permitted Existing Contingent Obligations (Definitions) Schedule 1.1.5 — Initial Material Subsidiaries and Material Subsidiaries Schedule 3.1 — Existing Letters of Credit (Section 3.1(a)(ii)) [RESERVED] Schedule 6.7 — Litigation (Section 6.7) Schedule 6.8 — Subsidiaries (Section 6.8) Schedule 6.9 — Pensions and Post‑Retirement Plans Schedule 6.17 — Environmental Matters (Section 6.17) Schedule 7.3(n) — Subsidiary Covenants (Section 7.3(n)) Schedule 7.3(s) — Permitted Restricted Payments (Section 7.3(s)) This Revolving Credit Term Loan Agreement dated as of December 21, 2012 is entered into among Chicago Bridge & Iron Company N.V., a corporation organized under the laws of The Kingdom of the Netherlands (the “Company” or the “Parent Guarantor”), Chicago Bridge & Iron Company (Delaware), a Delaware corporation (the “Initial Borrower”), and one or more other Subsidiaries of the Company from time to time parties hereto as Subsidiary Borrowers (as hereinafter defined), the institutions from time to time parties hereto as Lenders, whether by execution of this Agreement or an Assignment and Assumption pursuant to Section 14.1, and Bank of America, N.A. (“BofA”), in its capacity as administrative agent for itself and the other Lenders (in such capacity, together with any successor appointed pursuant to Article XII, the “Administrative Agent”) and as Swing Line Lender). The parties hereto agree as follows:

Appears in 1 contract

Samples: Term Loan Agreement (Chicago Bridge & Iron Co N V)