BLUE OWL CAPITAL CORPORATION Underwriting AgreementUnderwriting Agreement • January 23rd, 2024 • Blue Owl Capital Corp • New York
Contract Type FiledJanuary 23rd, 2024 Company JurisdictionBlue Owl Capital Corporation (f/k/a Owl Rock Capital Corporation), a Maryland corporation (the “Company”), proposes, subject to the terms and conditions stated herein, to issue and sell to the several Underwriters listed in Schedule 1 hereto (collectively, the “Underwriters,” which term shall also include any underwriter substituted as hereinafter provided in Section 11 hereof), for whom you are acting as the representatives (in such capacity, the “Representatives”), $600,000,000 aggregate principal amount of 5.950% Notes due 2029 of the Company (the “Securities”).
NEWMONT CORPORATION as Issuer NEWMONT USA LIMITED as Guarantor 2.600% Sustainability-Linked Senior Notes due 2032 Underwriting AgreementUnderwriting Agreement • December 7th, 2021 • NEWMONT Corp /DE/ • Gold and silver ores • New York
Contract Type FiledDecember 7th, 2021 Company Industry JurisdictionCoupon (Interest Rate): 2.600% per annum (the “Initial Interest Rate”) from December 20, 2021, subject to increase as described in “Interest Rate Step-up” below
OWL ROCK CAPITAL CORPORATION Underwriting AgreementUnderwriting Agreement • August 12th, 2021 • Owl Rock Capital Corp • New York
Contract Type FiledAugust 12th, 2021 Company JurisdictionOwl Rock Capital Corporation, a Maryland corporation (the “Company”), proposes, subject to the terms and conditions stated herein, to issue and sell to the several Underwriters listed in Schedule 1 hereto (collectively, the “Underwriters,” which term shall also include any underwriter substituted as hereinafter provided in Section 11 hereof), for whom you are acting as the representative (in such capacity, the “Representative”), $400,000,000 aggregate principal amount of 2.875% Notes due 2028 of the Company (the “Securities”).
OWL ROCK CAPITAL CORPORATION $450,000,000 Underwriting AgreementUnderwriting Agreement • June 8th, 2021 • Owl Rock Capital Corp • New York
Contract Type FiledJune 8th, 2021 Company JurisdictionOwl Rock Capital Corporation, a Maryland corporation (the “Company”), proposes, subject to the terms and conditions stated herein, to issue and sell to the several Underwriters listed in Schedule 1 hereto (collectively, the “Underwriters,” which term shall also include any underwriter substituted as hereinafter provided in Section 11 hereof), for whom you are acting as the representative (in such capacity, the “Representative”), $450,000,000 aggregate principal amount of 2.875% Notes due 2028 of the Company (the “Securities”).
OWL ROCK CAPITAL CORPORATION Underwriting AgreementUnderwriting Agreement • April 21st, 2021 • Owl Rock Capital Corp • New York
Contract Type FiledApril 21st, 2021 Company JurisdictionOwl Rock Capital Corporation, a Maryland corporation (the “Company”), proposes, subject to the terms and conditions stated herein, to issue and sell to the several Underwriters listed in Schedule 1 hereto (collectively, the “Underwriters,” which term shall also include any underwriter substituted as hereinafter provided in Section 11 hereof), for whom you are acting as the representative (in such capacity, the “Representative”), $500,000,000 aggregate principal amount of 2.625% Notes due 2027 of the Company (the “Securities”).
OWL ROCK CAPITAL CORPORATION Underwriting AgreementUnderwriting Agreement • December 3rd, 2020 • Owl Rock Capital Corp • New York
Contract Type FiledDecember 3rd, 2020 Company JurisdictionOwl Rock Capital Corporation, a Maryland corporation (the “Company”), proposes, subject to the terms and conditions stated herein, to issue and sell to the several Underwriters listed in Schedule 1 hereto (collectively, the “Underwriters,” which term shall also include any underwriter substituted as hereinafter provided in Section 11 hereof), for whom you are acting as the representative (in such capacity, the “Representative”), $1,000,000,000 aggregate principal amount of 3.400% Notes due 2026 of the Company (the “Securities”).
NEWMONT GOLDCORP CORPORATION as Issuer NEWMONT USA LIMITED as Guarantor 2.800% Senior Notes due 2029 Underwriting AgreementUnderwriting Agreement • September 11th, 2019 • Newmont Goldcorp Corp /De/ • Gold and silver ores • New York
Contract Type FiledSeptember 11th, 2019 Company Industry JurisdictionRedemption Provision: Make-Whole Call: US Treasury +20 basis points (at any time prior to July 1, 2029) Par Call: At any time on or after July 1, 2029
E*TRADE FINANCIAL CORPORATIONUnderwriting Agreement • June 20th, 2018 • E Trade Financial Corp • Savings institution, federally chartered • New York
Contract Type FiledJune 20th, 2018 Company Industry JurisdictionE*TRADE Financial Corporation, a Delaware corporation (the “Company”), confirms its agreement with the several underwriters listed in Schedule 1 hereto (the “Underwriters”) for whom Credit Suisse Securities (USA) LLC, J.P. Morgan Securities LLC, Merrill Lynch, Pierce, Fenner & Smith Incorporated and Wells Fargo Securities, LLC are acting as representatives (the “Representatives”) with respect to the issuance and sale by the Company, subject to the terms and conditions described below (this “Agreement”), of (i) $420,000,000 principal amount of its 4.500% Senior Notes due 2028 (the “Securities”). The Securities will be issued pursuant to an indenture (the “Base Indenture”), together with a supplemental indenture with respect to the Securities (the “Supplemental Indenture” and, together with the Base Indenture, the “Indenture”), in each case to be entered into between the Company and The Bank of New York Mellon Trust Company, N.A., as trustee (the “Trustee”) on the Closing Date (as define
SYNOVUS FINANCIAL CORP. Underwriting AgreementUnderwriting Agreement • December 7th, 2015 • Synovus Financial Corp • National commercial banks • New York
Contract Type FiledDecember 7th, 2015 Company Industry JurisdictionSynovus Financial Corp., a Georgia corporation (the “Company”) confirms its agreement with Sandler O’Neill + Partners, L.P. (the “Representative”) on behalf of the several Underwriters listed in Schedule I hereto (together, the “Underwriters”), with respect to the issue and sale by the Company, and the purchase by the Underwriters, acting severally and not jointly, of the respective principal amounts set forth in Schedule I of $250,000,000 in aggregate principal amount of the Company’s 5.75% Fixed-to-Floating Rate Subordinated Notes due December 15, 2025 (the “Securities”). The Securities are to be issued pursuant to an indenture to be dated as of December 7, 2015 between the Company and the Bank of New York Mellon Trust Company, N.A., as trustee (the “Trustee”), as supplemented by a first supplemental indenture, to be dated of December 7, 2015, between the Company and the Trustee (the indenture as so supplemented, the “Indenture”).
PORTLAND GENERAL ELECTRIC COMPANY $300,000,000 First Mortgage Bonds, 6.10% Series, due 2019 Underwriting AgreementUnderwriting Agreement • April 14th, 2009 • Portland General Electric Co /Or/ • Electric services • New York
Contract Type FiledApril 14th, 2009 Company Industry JurisdictionPortland General Electric Company, an Oregon corporation (the “Company”), proposes to issue and sell to the several Underwriters listed in Schedule 1 hereto (the “Underwriters”), for whom you are acting as representatives (the “Representatives”), $300,000,000 aggregate principal amount of the Company’s First Mortgage Bonds, 6.10% Series, due 2019 (the “Bonds”). The Bonds will be issued and secured pursuant to the Indenture of Mortgage and Deed of Trust, dated July 1, 1945 between the Company and, as subsequently amended, HSBC Bank USA, National Association (as successor to The Marine Midland Trust Company of New York), as trustee (the “Trustee”), as amended and supplemented by sixty-one supplemental indentures thereto and as to be amended and supplemented by a sixty-second supplemental indenture thereto (the “Sixty-second Supplemental Indenture”), expected to be dated as of April 1, 2009 (as amended and supplemented, the “Mortgage”).