EX-4.36 23 dex436.htm CONSOLIDATED AMENDED AND RESTATED NOTE PURCHASE AGREEMENT EXECUTION VERSION CEMEX ESPAÑA FINANCE LLC $882,407,495.57 8.91% Senior Notes, Series A, due 2014 ¥1,185,389,696.06 6.625% Senior Notes, Series B, due 2014 CONSOLIDATED...Note Purchase Agreement • May 5th, 2020 • New York
Contract Type FiledMay 5th, 2020 Jurisdiction
CEMEX ESPAÑA FINANCE LLC $882,407,495.57 8.91% Senior Notes, Series A, due 2014 ¥1,185,389,696.06 6.625% Senior Notes, Series B, due 2014 CONSOLIDATED AMENDED AND RESTATED NOTE PURCHASE AGREEMENT Dated as of August 14, 2009Note Purchase Agreement • June 30th, 2010 • Cemex Sab De Cv • Cement, hydraulic • New York
Contract Type FiledJune 30th, 2010 Company Industry JurisdictionWHEREAS, pursuant to a Note Purchase Agreement dated as of June 23, 2003 (as amended, the “2003 Note Purchase Agreement”), the Company issued $103,000,000 aggregate principal amount of its 4.77% Senior Notes, Series 2003, Tranche 1, due 2010 (the “2003 Tranche 1 Notes”), $96,000,000 aggregate principal amount of its 5.36% Senior Notes, Series 2003, Tranche 2, due 2013 (the “2003 Tranche 2 Notes”), and $201,000,000 aggregate principal amount of its 5.51% Senior Notes, Series 2003, Tranche 3, due 2015 (the “2003 Tranche 3 Notes” and together with the 2003 Tranche 1 Notes and 2003 Tranche 2 Notes, the “2003 Notes”), to the purchasers named on Schedule A thereto;