Common Contracts

6 similar null contracts by Smith Barney Diversified Futures Fund Lp, Hutton Investors Futures Fund L P Ii, Ibm Credit Corp, others

Form of Renewal Agreement Smith Barney Futures Management LLC 388 Greenwich Street, 7th Floor New York, New York 10013-2396 June 22, 1997 Campbell & Company, Inc. Court Tower Building, Towson 210 West Pennsylvania Avenue Suite 770 Baltimore, MD 212104...
Smith Barney Potomac Futures Fund Lp • June 1st, 2004 • Commodity contracts brokers & dealers

We are writing with respect to your management agreement concerning the commodity pool to which reference is made above (the "Management Agreement"). We would like to extend the term of the Management Agreement through June 30, 1997 and all other provisions of the Management Agreement will remain unchanged.

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Smith Barney Futures Management LLC 388 Greenwich Street, 7th Floor New York, New York 10013-2396 June 11, 2002 Eckhardt Trading Company 53 West Jackson Boulevard Suite 1240 Chicago, Illinois 60604 Attention: Ms. Audrey L. Gale Re: Management...
Salomon Smith Barney Global Diversified Futures Fund L P • April 11th, 2003 • Commodity contracts brokers & dealers

We are writing with respect to your management agreement concerning the commodity pool to which reference is made below (the "Management Agreement"). We are extending the term of the Management Agreement through June 30, 2003 and all other provisions of the Management Agreement will remain unchanged.

Smith Barney Futures Management LLC 388 Greenwich Street, 7th Floor New York, New York 10013-2396 June 11, 2001 Winton Capital Management 1a. St. Mary Abbot's Place Kensington, London W86LS, U.K. Attention: Mr. Martin Hunt Re: Management Agreement...
Smith Barney Diversified Futures Fund Lp • March 27th, 2003 • Patent owners & lessors

We are writing with respect to your management agreements concerning the commodity pools to which reference is made below (the "Management Agreements"). We are extending the term of the Management Agreements through June 30, 2002 and all other provisions of the Management Agreements will remain unchanged.

Smith Barney Futures Management LLC 388 Greenwich Street, 7th Floor New York, New York 10013-2396 June 11, 2001 John W. Henry & Company, Inc. 301 Yamato Road, Suite 2200 Boca Raton, Fl. 33431-4931 Attn: Mr. Ken Webster Re: Management Agreement...
Hutton Investors Futures Fund L P Ii • March 28th, 2002 • Real estate investment trusts

We are writing with respect to your management agreements concerning the commodity pools to which reference is made below (the "Management Agreements"). We are extending the term of the Management Agreements through June 30, 2002 and all other provisions of the Management Agreements will remain unchanged.

Smith Barney Futures Management LLC 388 Greenwich Street, 7th Floor New York, New York 10013-2396 June 11, 2001 Dominion Capital Management, Inc. 310 West Front Street - Suite 200 Traverse City, Michigan 49684 Attention: Ms. Tracy Wills-Zapata Re:...
Smith Barney Diversified Futures Fund Lp • March 27th, 2002 • Patent owners & lessors

We are writing with respect to your management agreements concerning the commodity pools to which reference is made below (the "Management Agreements"). We are extending the term of the Management Agreements through June 30, 2002 and all other provisions of the Management Agreements will remain unchanged.

Exhibit 1 IBM CREDIT CORPORATION 1133 Westchester Avenue White Plains, NY 10604 IBM Credit Corporation Medium-Term Notes AMENDMENT TO AGENCY AGREEMENT June 27, 1997 Credit Suisse First Boston Corporation Park Avenue Plaza New York, New York 10055...
Ibm Credit Corp • July 8th, 1997 • Finance lessors

The Agency Agreement dated March 13, 1992, as amended August 12, 1992, April 13, 1993, June 11, 1993, August 17, 1993, January 6, 1994, November 17, 1994 and August 8, 1996 (the "Agency Agreement") contemplates the issuance from time to time by IBM Credit Corporation (the "Company") of up to $10,400,000,000 aggregate principal amount of the Company's Medium-Term Notes, of which the Company has issued and sold approximately $10,111,000 aggregate principal amount of Medium-Term Notes. The Agency Agreement is hereby amended to increase the aggregate principal amount of the Company's Medium-Term Notes which may be issued and sold from time to time by the Company thereunder to $13,900,000,000 and the aggregate principal amount of Medium-Term Notes which may be issued and sold from time to time thereunder on or after the date hereof to $3,788,900,000.

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