Cim Real Estate Finance Trust, Inc. Sample Contracts

AMENDED AND RESTATED CREDIT AGREEMENT Dated as of August 15, 2013 among COLE OPERATING PARTNERSHIP IV, LP, as the Borrower, JPMORGAN CHASE BANK, N.A., as Administrative Agent, Swing Line Lender and L/C Issuer, BANK OF AMERICA, N.A. and U.S. BANK...
Credit Agreement • October 10th, 2013 • Cole Credit Property Trust Iv, Inc. • Real estate investment trusts • New York

Initially, the Applicable Rate shall be determined based upon the Leverage Ratio specified in the certificate delivered pursuant to Section 4.01(b)(viii). Any increase or decrease in the Applicable Rate resulting from a change in the Leverage Ratio shall become effective as of the first Business Day immediately following the date a Compliance Certificate is delivered pursuant to Section 6.02(a); provided, however, that if a Compliance Certificate is not delivered when due in accordance with such Section, then Pricing Level V under this subsection (a) shall apply as of the first Business Day after the date on which such Compliance Certificate was required to have been delivered (until such time as such delinquent Compliance Certificate is delivered).

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SECOND MODIFICATION AGREEMENT AND LIMITED CONSENT
Credit Agreement • March 31st, 2021 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts • New York

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 March 27, 2018, among COLE OPERATING PARTNERSHIP V, 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.

FORM OF INDEMNIFICATION AGREEMENT
Form of Indemnification Agreement • August 14th, 2020 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts • Maryland

THIS INDEMNIFICATION AGREEMENT (“Agreement”) is made and entered into as of the _____ day of _________, 2020, by and between CIM Real Estate Finance Trust, Inc., a Maryland corporation (the “Company”), and ________________________ (“Indemnitee”).

CREDIT AGREEMENT Dated as of December 14, 2012 among COLE OPERATING PARTNERSHIP IV, LP, as the Borrower, JPMORGAN CHASE BANK, N.A., as Administrative Agent, JPMORGAN CHASE BANK, N.A., as Syndication Agent, and THE OTHER LENDERS PARTY HERETO Arranged...
Credit Agreement • January 10th, 2013 • Cole Credit Property Trust Iv, Inc. • Real estate investment trusts • New York

This CREDIT AGREEMENT (“Agreement”) is entered into, as of December 14, 2012, among COLE OPERATING PARTNERSHIP IV, 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.

CREDIT AND SECURITY AGREEMENT
Credit and Security Agreement • January 7th, 2020 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts • New York

CREDIT AND SECURITY AGREEMENT, dated as of December 31, 2019 (this “Agreement”), by and among CMFT CORPORATE CREDIT SECURITIES, LLC, a Delaware limited liability company, as borrower (the “Borrower”), CMFT SECURITIES INVESTMENTS, LLC, a Delaware limited liability company, as Collateral Manager (in such capacity, the “Collateral Manager”) and as Equityholder (in such capacity, the “Equityholder”), the LENDERS from time to time party hereto, CITIBANK, N.A. (“Citibank”), as administrative agent for the Secured Parties (as hereinafter defined) (in such capacity, the “Administrative Agent”), CITIBANK, N.A., acting through its Agency & Trust division (“Citi Agency & Trust”), as collateral agent for the Secured Parties (in such capacity, the “Collateral Agent”) and as collateral custodian for the Secured Parties (in such capacity, the “Custodian”), and VIRTUS GROUP, LP, as collateral administrator (in such capacity, the “Collateral Administrator”).

ADVISORY AGREEMENT
Advisory Agreement • January 24th, 2012 • Cole Credit Property Trust Iv, Inc. • Real estate investment trusts • Arizona

This ADVISORY AGREEMENT (this “Agreement”) is entered into on this the 20th day of January, 2012, by and between COLE CREDIT PROPERTY TRUST IV, INC., a Maryland corporation (the “Company”), and COLE REIT ADVISORS IV, LLC, a Delaware limited liability company (the “Advisor”).

ESCROW AGREEMENT
Escrow Agreement • January 24th, 2012 • Cole Credit Property Trust Iv, Inc. • Real estate investment trusts • Arizona

COLE CREDIT PROPERTY TRUST IV, INC., a Maryland corporation (the “Company”), will issue in a public offering (the “Offering”) shares of its common stock (the “Stock”) pursuant to a registration statement on Form S-11 filed by the Company with the Securities and Exchange Commission. Cole Capital Corporation, an Arizona corporation (the “Dealer Manager”), will act as dealer manager for the offering of the Stock. The Company is entering into this agreement to set forth the terms on which UMB BANK, N.A. (the “Escrow Agent”), will, except as otherwise provided herein, hold and disburse the proceeds from subscriptions for the purchase of the Stock in the Offering until such time as: (i) in the case of subscriptions received from all nonaffiliates of the Company, the Company has received subscriptions for at least $2,500,000 in shares of Stock in the Offering (the “Required Capital”); and (ii) in the case of subscriptions received from residents of Pennsylvania (“Pennsylvania Subscribers”), t

MASTER REPURCHASE AND SECURITIES CONTRACT by and between CMFT RE LENDING RF SUB WF, LLC, as Seller and WELLS FARGO BANK, NATIONAL ASSOCIATION, as Buyer Dated as of May 20, 2021
Master Repurchase and Securities Contract • May 26th, 2021 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts • New York

THIS MASTER REPURCHASE AND SECURITIES CONTRACT, dated as of May 20, 2021 (as amended, modified, restated, replaced, waived, substituted, supplemented or extended from time to time, this “Agreement”), is made by and between CMFT RE LENDING RF SUB WF, LLC, a Delaware limited liability company, as seller (as more specifically defined below, “Seller”), and WELLS FARGO BANK, NATIONAL ASSOCIATION, a national banking association, as buyer (as more specifically defined below, “Buyer”). Seller and Buyer (each a “Party”) hereby agree as follows:

SECOND AMENDED AND RESTATED MANAGEMENT AGREEMENT by and between and
Management Agreement • March 28th, 2023 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts • Delaware

SECOND AMENDED AND RESTATED MANAGEMENT AGREEMENT, dated as of March 24, 2023, by and between CIM Real Estate Finance Trust, Inc. f/k/a Cole Credit Property Trust IV, Inc., a Maryland corporation (the “Company”), and CIM Real Estate Finance Management, LLC f/k/a CIM REIT Management IV, LLC, a Delaware limited liability company (the “Manager”).

LOAN AGREEMENT Dated as of April 15, 2013 Between COLE MT SAN JOSE CA, LP, a Delaware limited partnership as Borrower and WELLS FARGO BANK, NATIONAL ASSOCIATION, as Lender
Loan Agreement • May 14th, 2013 • Cole Credit Property Trust Iv, Inc. • Real estate investment trusts • New York

THIS LOAN AGREEMENT, dated as of April 15, 2013 (as amended, restated, replaced, supplemented or otherwise modified from time to time, this “Agreement”), between WELLS FARGO BANK, NATIONAL ASSOCIATION, having an address at Wells Fargo Center, 1901 Harrison Street, 2nd Floor, Oakland, California 94612 (together with its successors and/or assigns, “Lender”), and COLE MT SAN JOSE CA, LP, a Delaware limited partnership, having an address c/o Cole Real Estate Investments, 2325 East Camelback Road, Suite 1100, Phoenix, Arizona 85016 (together with its successors and/or assigns, “Borrower”).

COLE CREDIT PROPERTY TRUST IV, INC. Up to 300,000,000 Shares of Common Stock DEALER MANAGER AGREEMENT January 26, 2012
Dealer Manager Agreement • July 13th, 2012 • Cole Credit Property Trust Iv, Inc. • Real estate investment trusts • Arizona

Cole Credit Property Trust IV, Inc., a Maryland corporation (the “Company”), is registering for a public sale a maximum of 300,000,000 shares of its common stock, $0.01 par value per share (the “Offering”), of which amount 250,000,000 shares are to be offered to the public for $10.00 per share (collectively the “Shares” or the “Stock”) and an additional up to 50,000,000 shares are to be offered pursuant to the Company’s distribution reinvestment plan at $9.50 per share until such time as the Company’s board of directors determines a reasonable estimate of the value of our shares. Thereafter, the per share offering price under the Company’s distribution reinvestment plan will be the most recent estimated value per share as determined by the Company’s board of directors as described in the “Summary of Distribution Reinvestment Plan” section of the Prospectus (as defined below). The Company reserves the right to reallocate the Shares included in the Offering between those offered to the p

MASTER INDENTURE Dated as of July 28, 2021 among CMFT NET LEASE MASTER ISSUER LLC as Issuer, and CITIBANK, N.A., as Indenture Trustee NET-LEASE MORTGAGE NOTES
Master Indenture • August 3rd, 2021 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts • New York

MASTER INDENTURE, dated as of July 28, 2021 (as amended, modified or supplemented from time to time as permitted hereby, the “Indenture”), between CMFT Net Lease Master Issuer LLC (the “Issuer”) and CITIBANK, N.A., a national banking association duly organized and existing under the laws of the United States of America, not in its individual capacity, but solely as Indenture Trustee (the “Indenture Trustee”) under this Indenture.

MASTER REPURCHASE AGREEMENT
Master Repurchase Agreement • December 8th, 2023 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts • New York

MASTER REPURCHASE AGREEMENT, dated as of December 4, 2023 (as amended, restated, supplemented or otherwise modified and in effect from time to time, this “Agreement”), by and between BARCLAYS BANK PLC, a public limited company organized under the laws of England and Wales (including any successor thereto, “Purchaser”) and CLR RE LENDING RF SUB BB, LLC, a Delaware limited liability company (“Seller”), and acknowledged by CIM REAL ESTATE FINANCE TRUST, INC., a Maryland corporation (“Initial Guarantor”), and CIM COMMERCIAL LENDING REIT, a Maryland statutory trust (“Replacement Guarantor”).

PURCHASE AND SALE AGREEMENT (Membership Interest)
Purchase and Sale Agreement • May 15th, 2012 • Cole Credit Property Trust Iv, Inc. • Real estate investment trusts • Arizona

THIS PURCHASE AND SALE AGREEMENT (this “Agreement”), dated as of April 13, 2012, between SERIES C, LLC, an Arizona limited liability company (“Seller”) having an address at 2325 East Camelback Road, Suite 1100, Phoenix, AZ 85016, and COLE OPERATING PARTNERSHIP IV, LP, a Delaware limited partnership (“Purchaser”), having an address at 2325 East Camelback Road, Suite 1100, Phoenix, AZ 85016.

AMENDED AND RESTATED MASTER REPURCHASE AGREEMENT
Master Repurchase Agreement • December 26th, 2023 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts • New York

This Agreement amends, restates and replaces in its entirety that certain Master Repurchase Agreement, dated as of June 4, 2020 (the “Original Closing Date”), by and between Buyer and Seller, as amended by that certain First Amendment to Master Repurchase Agreement, dated as of August 17, 2021, and that certain Second Amendment to Master Repurchase Agreement and Other Transaction Documents, dated as of January 27, 2022 (collectively, the “Original Agreement”). Seller and Buyer acknowledge and agree that the Original Agreement shall be void and of no force or effect from and after the date hereof. All Transactions (as defined in the Original Agreement) outstanding under the Original Agreement as of the First Amendment and Restatement Date (as defined herein) shall be deemed to be Transactions (as defined in this Agreement) outstanding under this Agreement and all Confirmations (as defined in the Original Agreement) under the Original Agreement as of the First Amendment and Restatement D

AMENDMENT TO AGREEMENT AND PLAN OF MERGER
Agreement and Plan of Merger • October 28th, 2020 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts

This Amendment to Agreement and Plan of Merger (this “Amendment”), dated as of October 24, 2020, is entered into by and among CIM Real Estate Finance Trust, Inc., a Maryland corporation (“CMFT”), Thor II Merger Sub, LLC, a Maryland limited liability company and wholly owned subsidiary of CMFT (“Merger Sub”), and Cole Office & Industrial REIT (CCIT II), Inc., a Maryland corporation (“CCIT II”). Capitalized terms used but not defined herein shall have the meanings ascribed to them in the Agreement (as defined below).

U.S. $300,000,000 LOAN AND SECURITY AGREEMENT by and among CMFT CL LENDING SUB AB, LLC, as the Borrower EACH OF THE LENDERS FROM TIME TO TIME PARTY HERETO, as the Lenders ALLY BANK, as the Administrative Agent and the Arranger U.S. BANK TRUST COMPANY,...
Loan and Security Agreement • March 28th, 2024 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts • New York

THIS LOAN AND SECURITY AGREEMENT (as amended, modified, waived, supplemented, restated or replaced from time to time, this “Agreement”) is made as of February 10, 2023, by and among:

COLE CREDIT PROPERTY TRUST IV, INC. Up to 300,000,000 Shares of Common Stock DEALER MANAGER AGREEMENT
Dealer Manager Agreement • January 24th, 2012 • Cole Credit Property Trust Iv, Inc. • Real estate investment trusts • Arizona

Cole Credit Property Trust IV, Inc., a Maryland corporation (the “Company”), is registering for a public sale a maximum of 300,000,000 shares of its common stock, $0.01 par value per share (the “Offering”), of which amount 250,000,000 shares are to be offered to the public for $10.00 per share (collectively the “Shares” or the “Stock”) and an additional up to 50,000,000 shares are to be offered pursuant to the Company’s distribution reinvestment plan at $9.50 per share until such time as the Company’s board of directors determines a reasonable estimate of the value of our shares. Thereafter, the per share offering price under the Company’s distribution reinvestment plan will be the most recent estimated value per share as determined by the Company’s board of directors as described in the “Summary of Distribution Reinvestment Plan” section of the Prospectus (as defined below). The Company reserves the right to reallocate the Shares included in the Offering between those offered to the p

AMENDED AND RESTATED AGREEMENT OF LIMITED PARTNERSHIP OF COLE OPERATING PARTNERSHIP IV, LP January 20, 2012
Agreement • January 24th, 2012 • Cole Credit Property Trust Iv, Inc. • Real estate investment trusts • Delaware

This Amended and Restated Agreement of Limited Partnership is effective as of the 20th day of January, 2012, by and among Cole Credit Property Trust IV, Inc., a Maryland corporation f/k/a Cole Advisor Retail Income REIT, Inc. and Cole Retail Property Trust, Inc., Cole REIT Advisors IV, LLC a Delaware limited liability company f/k/a Cole Advisors: Retail Income, LLC and Cole Retail Advisors, LLC (the “ Original Limited Partner ”), and the Limited Partner(s) set forth or which may, in the future, be set forth on Exhibit A hereto, as amended from time to time, with respect to Cole Operating Partnership IV, LP, a limited partnership formed under the laws of the State of Delaware f/k/a Cole Advisor Retail Income Operating Partnership, LP and Cole Retail Operating Partnership, LP (the “ Partnership ”), pursuant to a Certificate of Limited Partnership filed with the Office of the Secretary of State of the State of Delaware on July 27, 2010.

PURCHASE AND SALE AGREEMENT BY AND BETWEEN LINCOLN WAXAHACHIE, LTD., a Texas limited partnership as Seller, and SERIES C, LLC, an Arizona limited liability company as Purchaser Dated: May 17, 2012
Purchase and Sale Agreement • July 13th, 2012 • Cole Credit Property Trust Iv, Inc. • Real estate investment trusts • Texas

PURCHASE AND SALE AGREEMENT (“Agreement”) made this 17th day of May, 2012 (“Effective Date”), between LINCOLN WAXAHACHIE, LTD., a Texas limited partnership, having an address at 2000 McKinney Avenue, Suite 1000, Dallas, Texas 75201 (“Seller”), and SERIES C, LLC, an Arizona limited liability company, having an address at c/o Cole Real Estate Investments, 2325 East Camelback Road, Suite 1100, Phoenix, Arizona 85016 (Series C, LLC or its permitted assignee pursuant to Section 18.7 below is hereinafter referred to as “Purchaser”).

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LOAN AND SECURITY AGREEMENT
Loan and Security Agreement • March 28th, 2024 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts • New York

LOAN AND SECURITY AGREEMENT, dated as of June 16, 2023 (as amended, restated, supplemented or otherwise modified and in effect from time to time, this “Agreement”), by and among CMFT RE LENDING SUB CBSQ, LLC, a Delaware limited liability company (“Borrower”), CITIBANK, N.A., a national banking association (including any successor thereto, “Class A Lender”) and CMFT RE LENDING SUB CBSQ HOLDCO, LLC, a Delaware limited liability company (“Subordinated Lender”, together with Class A Lender, as applicable, together with their respective successors and permitted assigns, “Lender”).

GUARANTY
Guaranty • June 9th, 2020 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts • New York

GUARANTY (this “Guaranty”), dated as of June 4, 2020 (the “Effective Date”), made by CIM REAL ESTATE FINANCE TRUST, INC., a Maryland corporation (“Guarantor”), for the benefit of CITIBANK, N.A., a national banking association (“Buyer”).

AGREEMENT AND PLAN OF MERGER BY AND AMONG CIM REAL ESTATE FINANCE TRUST, INC., THOR III MERGER SUB, LLC, AND COLE OFFICE & INDUSTRIAL REIT (CCIT III), INC. DATED AS OF AUGUST 30, 2020
Agreement and Plan of Merger • August 31st, 2020 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts • Maryland

This AGREEMENT AND PLAN OF MERGER, dated as of August 30, 2020 (this “Agreement”), is entered into by and among CIM Real Estate Finance Trust, Inc., a Maryland corporation (“CMFT”), Thor III Merger Sub, LLC, a Maryland limited liability company and a wholly owned subsidiary of CMFT (“Merger Sub”), and Cole Office & Industrial REIT (CCIT III), Inc., a Maryland corporation (“CCIT III”). Each of CMFT, Merger Sub and CCIT III is sometimes referred to herein as a “Party” and collectively as the “Parties.” Capitalized terms used but not otherwise defined herein have the meanings ascribed to them in Article 1.

MASTER PURCHASE AGREEMENT AND ESCROW INSTRUCTIONS Between MGH ACQ LLC as Seller and SERIES C, LLC as Buyer March 1, 2012
Master Purchase Agreement • July 13th, 2012 • Cole Credit Property Trust Iv, Inc. • Real estate investment trusts • Arizona

WHEREAS, as of the Effective Date, Seller is the fee title owner of those certain parcels of improved property listed by address on Exhibit A attached hereto, and legally described on Exhibit A-1 attached hereto (collectively, the “Real Property”);

AGREEMENT OF PURCHASE AND SALE
Agreement of Purchase and Sale • December 20th, 2021 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts • Arizona

THIS AGREEMENT OF PURCHASE AND SALE (this “Agreement”) is dated as of December 17, 2021 (the “Effective Date”) between each entity identified as a Seller on Schedule A attached to this Agreement (each a “Selling Entity” and jointly and severally, “Seller”) and each of American Finance Operating Partnership, L.P., a Delaware limited partnership (“AFIN Buyer”), and, solely with respect to the acquisition of (i) the Site known as “Shoppes at Straud”, ARG SSSTRPA001, LLC, (ii) the Site known as “Shippensburg Marketplace”, ARG SMSHPPA001, LLC and (iii) the Site known as “Carlisle Crossing”, ARG CCCARPA001, LLC, each a Delaware limited liability company, as buyer (individually or collectively, as the context may require, “Buyer”), and, solely for purposes of Section 1.2(d) and Article 4 hereof, American Finance Trust, Inc. (“AFIN”).

THIRD MODIFICATION AGREEMENT
Third Modification Agreement • August 4th, 2016 • Cole Credit Property Trust Iv, Inc. • Real estate investment trusts • New York
AMENDMENT NO. 3 TO CREDIT AND SECURITY AGREEMENT, dated
Credit and Security Agreement • June 29th, 2022 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts • New York

WHEREAS, the Borrower, the Collateral Manager, the Equityholder, the Lender and the other lenders from time to time parties thereto, the Administrative Agent, the Collateral Agent, the Custodian and the Collateral Administrator, are party to the Credit and Security Agreement, dated as of December 31, 2019 (the “Credit Agreement”);

AMENDED AND RESTATED AGREEMENT OF LIMITED PARTNERSHIP OF COLE OPERATING PARTNERSHIP IV, LP
Cole Credit Property Trust Iv, Inc. • August 30th, 2011 • Real estate investment trusts • Delaware

This Amended and Restated Agreement of Limited Partnership is effective as of the ____ day of _________, 20__, by and among Cole Credit Property Trust IV, Inc., a Maryland corporation f/k/a Cole Advisor Retail Income REIT, Inc. and Cole Retail Property Trust, Inc., Cole REIT Advisors IV, LLC a Delaware limited liability company f/k/a Cole Advisors: Retail Income, LLC and Cole Retail Advisors, LLC (the “Original Limited Partner”), and the Limited Partner(s) set forth or which may, in the future, be set forth on Exhibit A hereto, as amended from time to time, with respect to Cole Operating Partnership IV, LP, a limited partnership formed under the laws of the State of Delaware f/k/a Cole Advisor Retail Income Operating Partnership, LP and Cole Retail Operating Partnership, LP (the “Partnership”), pursuant to a Certificate of Limited Partnership filed with the Office of the Secretary of State of the State of Delaware on July 27, 2010.

GUARANTY
Guaranty • October 14th, 2021 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts • New York

This GUARANTY (the “Guaranty”) is made and entered into as of October 8, 2021, by CIM REAL ESTATE FINANCE TRUST, INC., a Maryland corporation (“Guarantor”), having an address at 540 Madison Avenue, 8th Floor, New York, New York 10022, for the benefit of DEUTSCHE BANK AG, NEW YORK BRANCH, a branch of a foreign banking institution, whose address is 60 Wall Street, 10th Floor, New York, New York 10005 (“Buyer”). This Guaranty is made with reference to the following facts:

PURCHASE AGREEMENT
Purchase Agreement • April 10th, 2013 • Cole Credit Property Trust Iv, Inc. • Real estate investment trusts • California

THIS PURCHASE AGREEMENT (this “Agreement”) is made and entered into as of January 18, 2013 (the “Effective Date”), by and between WPV SAN JOSE, LLC, a Delaware limited liability company (“Seller”) and COLE CCPT IV ACQUISITIONS, LLC, a Delaware limited liability company (“Buyer”).

LOAN AGREEMENT Dated as of December 5, 2012 Between COLE MT BROOKLYN NY, LLC, a Delaware limited liability company as Borrower and PNC BANK, NATIONAL ASSOCIATION, as Lender
Loan Agreement • January 10th, 2013 • Cole Credit Property Trust Iv, Inc. • Real estate investment trusts

THIS LOAN AGREEMENT, dated as of December 5, 2012 (as amended, restated, replaced, supplemented or otherwise modified from time to time, this “Agreement”), is made between PNC BANK, NATIONAL ASSOCIATION, a national banking association (together with its successors and assigns, “Lender”) and COLE MT BROOKLYN NY, LLC, a Delaware limited liability company, having its principal place of business at 2325 East Camelback Road, Suite 1100, Phoenix, AZ 85016 (“Borrower”).

CONTINUING GUARANTY Re: CMFT SCF BORROWER, LLC Credit Agreement, dated as of July 15, 2022
Continuing Guaranty • July 21st, 2022 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts • New York

FOR VALUE RECEIVED, the sufficiency of which is hereby acknowledged, and in consideration of credit and/or financial accommodation heretofore or hereafter from time to time made or granted to CMFT SCF BORROWER, LLC, a Delaware limited liability company (the “Borrower”) by the Administrative Agent (as defined below) and the Lenders, as such term is defined in that certain Credit Agreement, dated as of even date herewith, among the Borrower, JPMORGAN CHASE BANK, N.A., in its capacity as the Administrative Agent under the Credit Agreement referenced herein (in such capacity and together with its successors and assigns as permitted under the Credit Agreement, the “Administrative Agent”) and as L/C Issuer, and the Lenders (as the same may be amended, restated, refinanced, supplemented or otherwise modified from time to time, the “Credit Agreement”; capitalized terms used herein and not otherwise defined shall have the meanings set forth in the Credit Agreement), each undersigned Guarantor (

SUPPLEMENTAL INDENTURE No. 1
Master Indenture • August 14th, 2024 • Cim Real Estate Finance Trust, Inc. • Real estate investment trusts • New York

This SUPPLEMENTAL INDENTURE No. 1 (this “Supplement”) is made and is effective as of this 30th day of July, 2024, by and among CMFT Net Lease Master Issuer LLC (the “Issuers”), and Citibank, N.A., not in its individual capacity but solely in its capacity as indenture trustee (the “Indenture Trustee”) in connection with the Master Indenture (the “Master Indenture”), dated as of July 28, 2021, (as amended on or prior to the date hereof, the “Existing Indenture” and, the Existing Indenture as amended by this Supplement, the “Indenture”), by and among the Issuers and the Indenture Trustee.

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