AGREEMENT BETWEEN NOTE HOLDERS Dated as of April 26, 2019 by and between MORGAN STANLEY BANK, N.A. (Initial Note A-1 Holder) and DEUTSCHE BANK AG, NEW YORK BRANCH (Initial Note A-2 Holder) Central TowerAgreement Between Note Holders • June 17th, 2019 • Benchmark 2019-B11 Mortgage Trust • Asset-backed securities • New York
Contract Type FiledJune 17th, 2019 Company Industry JurisdictionThis AGREEMENT BETWEEN NOTE HOLDERS (this “Agreement”), dated as of April 26, 2019 by and between MORGAN STANLEY BANK, N.A. (“MSBNA” and, together with its successors and assigns in interest, in its capacity as initial owner of Note A-1 described below, the “Initial Note A-1 Holder” and, in its capacity as the initial agent, the “Initial Agent”) and DEUTSCHE BANK AG, NEW YORK BRANCH (“DBNY” and, together with its successors and assigns in interest, in its capacity as initial owner of Note A-2 described below, the “Initial Note A-2 Holder”; the Initial Note A-1 Holder and the Initial Note A-2 Holder are referred to collectively herein as the “Initial Note Holders”).
CO-LENDER AGREEMENT Dated as of May 15, 2019 by and between CITI REAL ESTATE FUNDING INC. (Initial Note A-1 Holder) and CITI REAL ESTATE FUNDING INC. (Initial Note A-2 Holder) and CITI REAL ESTATE FUNDING INC. (Initial Note A-3 Holder)Co-Lender Agreement • June 17th, 2019 • Benchmark 2019-B11 Mortgage Trust • Asset-backed securities • New York
Contract Type FiledJune 17th, 2019 Company Industry JurisdictionTHIS CO-LENDER AGREEMENT (this “Agreement”), dated as of May 15, 2019 is by and between CITI REAL ESTATE FUNDING INC. (“CREFI” and together with its successors and assigns in interest, in its capacity as initial owner of the Note A-1, the “Initial Note A-1 Holder”, and in its capacity as the initial agent, the “Initial Agent”), CREFI (together with its successors and assigns in interest, in its capacity as initial owner of the Note A-2, the “Initial Note A-2 Holder” and CREFI (together with its successors and assigns in interest, in its capacity as initial owner of the Note A-3, the “Initial Note A-3 Holder” and, together with the Initial Note A-1 Holder and the Initial Note A-2 Holder, the “Initial Note Holders”).
Second amended and restated SERVICING AGREEMENTServicing Agreement • November 3rd, 2021 • Benchmark 2019-B11 Mortgage Trust • Asset-backed securities • New York
Contract Type FiledNovember 3rd, 2021 Company Industry JurisdictionThis SECOND AMENDED AND RESTATED SERVICING AGREEMENT, effective as of October 31, 2021 (including the Exhibit and Annexes attached hereto, this “Agreement”), among Wells Fargo Bank, N.A. (“Wells Bank”) and Wells Fargo Delaware Trust Company, N.A. (“Wells Trust Company,” and together with Wells Bank, the “Sellers” and each, a “Seller”), Computershare Trust Company, N.A. (the “Bank Assets Purchaser”) and, upon execution of the Joinder Agreement, the Delaware Trust Assets Purchaser (together with the Bank Assets Purchaser, the “Purchasers” and each, a “Purchaser”), and Computershare Limited (“Guarantor”) (solely for purposes of Section 9.5).
939,691,000 (approximate) Benchmark 2019-B11 Mortgage Trust Commercial Mortgage Pass-Through Certificates, 2019-B11 Class A-1, Class A-2, Class A-3, Class A-4, Class A-5, Class A-SB, Class X-A, Class X-B, Class A-S, Class B and Class C Certificates...Underwriting Agreement • June 17th, 2019 • Benchmark 2019-B11 Mortgage Trust • Asset-backed securities • New York
Contract Type FiledJune 17th, 2019 Company Industry JurisdictionDeutsche Bank Securities Inc. 60 Wall Street New York, New York 10005 Academy Securities, Inc. 140 East 45th Street, 5th Floor New York, New York 10017
WELLS FARGO BANK, NATIONAL ASSOCIATION, Master Servicer and MIDLAND LOAN SERVICES, A DIVISION OF PNC BANK, NATIONAL ASSOCIATION, Primary Servicer PRIMARY SERVICING AGREEMENT Dated as of May 1, 2019 Wells Fargo Commercial Mortgage Trust 2019-C50,...Primary Servicing Agreement • February 11th, 2020 • Benchmark 2019-B11 Mortgage Trust • Asset-backed securities • New York
Contract Type FiledFebruary 11th, 2020 Company Industry JurisdictionThis is a Primary Servicing Agreement (the “Agreement”), dated as of May 1, 2019, by and between MIDLAND LOAN SERVICES, A DIVISION OF PNC BANK, NATIONAL ASSOCIATION, having an office at 10851 Mastin Street, Suite 700, Overland Park, Kansas 66210, and its successors and assigns (the “Primary Servicer”), and WELLS FARGO BANK, NATIONAL ASSOCIATION, having an office at Three Wells Fargo, 401 South Tryon Street, 8th Floor, MAC 1050-084, Charlotte, North Carolina 28202, and its successors and assigns (the “Master Servicer”).
AGREEMENT BETWEEN NOTEHOLDERS Dated as of March 13, 2019 by and between JPMORGAN CHASE BANK, NATIONAL ASSOCIATION (Initial Note A-1-1 Holder, Initial Note A-1-2 Holder, Initial Note A-1-3 Holder, Initial Note A-1-4 Holder, Initial Note A-1-5 Holder,...Agreement Between Noteholders • June 17th, 2019 • Benchmark 2019-B11 Mortgage Trust • Asset-backed securities • New York
Contract Type FiledJune 17th, 2019 Company Industry Jurisdiction
AGREEMENT BETWEEN NOTE HOLDERS Dated as of December 12, 2018 by and between UBS AG, by and through its branch office at 1285 Avenue of the Americas, New York, New York, (Initial Note A-1 Holder, Initial Note A-2 Holder, Initial Note A-3 Holder,...Agreement Between Note Holders • June 17th, 2019 • Benchmark 2019-B11 Mortgage Trust • Asset-backed securities • New York
Contract Type FiledJune 17th, 2019 Company Industry JurisdictionThis AGREEMENT BETWEEN NOTE HOLDERS (this “Agreement”), dated as of December 12, 2018 by and between UBS AG, by and through its branch office at 1285 Avenue of the Americas, New York, New York (“UBS AG, New York Branch” (together with its successors and assigns in interest, as initial owner of Note A-1 described below, in its capacity as the “Initial Note A-1 Holder” and, in its capacity as the initial agent, the “Initial Agent”)), UBS AG, New York Branch (together with its successors and assigns in interest, as initial owner of Note A-2 described below, in its capacity as the “Initial Note A-2 Holder”), UBS AG, New York Branch (together with its successors and assigns in interest, as initial owner of Note A-3 described below, in its capacity as the “Initial Note A-3 Holder”), UBS AG, New York Branch (together with its successors and assigns in interest, as initial owner of Note A-4 described below, in its capacity as the “Initial Note A-4 Holder”), UBS AG, New York Branch (together wi
CO-LENDER AGREEMENT Dated as of March 1, 2019 by and between CITI REAL ESTATE FUNDING INC. (Initial Note A-1 Holder) and CITI REAL ESTATE FUNDING INC. (Initial Note A-2 Holder)Co-Lender Agreement • June 17th, 2019 • Benchmark 2019-B11 Mortgage Trust • Asset-backed securities • New York
Contract Type FiledJune 17th, 2019 Company Industry JurisdictionTHIS CO-LENDER AGREEMENT (this “Agreement”), dated as of March 1, 2019 is by and between CITI REAL ESTATE FUNDING INC. (“CREFI” and together with its successors and assigns in interest, in its capacity as initial owner of the Note A-1, the “Initial Note A-1 Holder”, and in its capacity as the initial agent, the “Initial Agent”) and CREFI (together with its successors and assigns in interest, in its capacity as initial owner of the Note A-2, the “Initial Note A-2 Holder” and, together with the Initial Note A-1 Holder, the “Initial Note Holders”).
AGREEMENT BETWEEN NOTEHOLDERS Dated as of May 16, 2019 by and between DEUTSCHE BANK AG, NEW YORK BRANCH (Initial Note A-1-A Holder, Initial Note A-1-B Holder, Initial Note A-1-C Holder, Initial Note B- 1-A Holder, Initial Note B-1-B Holder, Initial...Agreement Between Noteholders • June 17th, 2019 • Benchmark 2019-B11 Mortgage Trust • Asset-backed securities • New York
Contract Type FiledJune 17th, 2019 Company Industry JurisdictionReference is hereby made to the Agreement Between Noteholders, dated as of May 16, 2019 (as amended, supplemented or otherwise modified from time to time, the “Agreement”), by and between Deutsche Bank AG, New York Branch, and Wells Fargo Bank, National Association, and each lender from time to time party thereto.
AGREEMENT BETWEEN NOTEHOLDERS Dated as of March 8, 2019 by and among GOLDMAN SACHS BANK USA (Initial Note A-2 Holder, Initial Note A-3 Holder, Initial Note A-4 Holder, Initial Note B-2 Holder and Initial Note C-2 Holder) DEUTSCHE BANK AG, NEW YORK...Agreement Between Noteholders • June 17th, 2019 • Benchmark 2019-B11 Mortgage Trust • Asset-backed securities • New York
Contract Type FiledJune 17th, 2019 Company Industry JurisdictionTHIS AGREEMENT BETWEEN NOTEHOLDERS, dated as of March 8, 2019 by and between Goldman Sachs Bank USA (together with its successors and assigns in interest, “Goldman”), a New York limited partnership, having an address of 200 West Street, New York, New York 10282 (in its capacity as initial owner of Note A-2, Note A-3, Note A-4, Note B-2 and Note C-2, the “Initial Goldman Note Holder”, and in its capacity as the initial agent, the “Initial Agent”) and Deutsche Bank AG, New York Branch (“DBNY”), having an address at 60 Wall Street, 10th Floor, New York, New York 10005 (in its capacity as initial owner of the Note A-1, Note B-1 and Note C-1, the “Initial DBNY Note Holder” and together with the Initial Goldman Note Holder, the “Initial Noteholders”).
J.P. MORGAN CHASE COMMERCIAL MORTGAGE SECURITIES CORP., PURCHASER, and CITI REAL ESTATE FUNDING INC.,Mortgage Loan Purchase Agreement • June 17th, 2019 • Benchmark 2019-B11 Mortgage Trust • Asset-backed securities • New York
Contract Type FiledJune 17th, 2019 Company Industry Jurisdictionagreement) in the event of a proposed transfer of (i) the respective mortgaged property, or (ii) an ownership interest in the related borrower or in an affiliate of the borrower that controls the borrower, in each case, to a “competitor” of the franchisor as defined in the respective franchise agreement.
CO-LENDER AGREEMENT Dated as of April 17, 2019 by and between CITI REAL ESTATE FUNDING INC. (Initial Note A-1 Holder) and CITI REAL ESTATE FUNDING INC. (Initial Note A-2 Holder)Co-Lender Agreement • June 17th, 2019 • Benchmark 2019-B11 Mortgage Trust • Asset-backed securities • New York
Contract Type FiledJune 17th, 2019 Company Industry JurisdictionTHIS CO-LENDER AGREEMENT (this “Agreement”), dated as of April 17, 2019 is by and between CITI REAL ESTATE FUNDING INC. (“CREFI” and together with its successors and assigns in interest, in its capacity as initial owner of the Note A-1, the “Initial Note A-1 Holder”, and in its capacity as the initial agent, the “Initial Agent”) and CREFI (together with its successors and assigns in interest, in its capacity as initial owner of the Note A-2, the “Initial Note A-2 Holder” and, together with the Initial Note A-1 Holder, the “Initial Note Holders”).
J.P. MORGAN CHASE COMMERCIAL MORTGAGE SECURITIES CORP., PURCHASER, and GERMAN AMERICAN CAPITAL CORPORATION, SELLER MORTGAGE LOAN PURCHASE AGREEMENT Dated as of June 17, 2019 $552,248,251 Fixed Rate Mortgage LoansMortgage Loan Purchase Agreement • June 17th, 2019 • Benchmark 2019-B11 Mortgage Trust • Asset-backed securities • New York
Contract Type FiledJune 17th, 2019 Company Industry Jurisdictionmonetary default under its lease or (ii) has assigned the lease to a non-affiliate. The right of first refusal does not apply in the context of a foreclosure, deed-in-lieu or other exercise of remedies under the Mortgage Loan documents, but does apply to any subsequent transfer.