Second Amended and Restated Put Agreement United States Department of Education, Straight-A Funding, LLC As Conduit and The Bank of New York Mellon, As Conduit Administrator And Eligible Lender Trustee July 31, 2009 Straight-A Funding, LLC Conduit ProgramPut Agreement • April 23rd, 2021 • New York
Contract Type FiledApril 23rd, 2021 JurisdictionThis is a Second Amended and Restated Put Agreement, dated July 31, 2009 (this “Agreement”), among the United States Department of Education (the “Department”), Straight-A Funding, LLC (the “Conduit”) and The Bank of New York Mellon, acting (i) as agent on behalf of the Conduit in its capacity as conduit administrator (the “Conduit Administrator”) and as Eligible Lender Trustee and (ii) as agent for each Funding Note Issuer (as defined below) for the sole purposes of accepting the Put Option (as defined below).
Second Amended and Restated Put AgreementPut Agreement • April 23rd, 2021 • New York
Contract Type FiledApril 23rd, 2021 JurisdictionThis is a Second Amended and Restated Put Agreement, dated January 19July 31, 2009 (this “Agreement”), among the United States Department of Education (the “Department”), Straight-A Funding, LLC (the “Conduit”) and The Bank of New York Mellon, acting (i) as agent on behalf of the Conduit in its capacity as conduit administrator (the “Conduit Administrator”) and as Eligible Lender Trustee and (ii) as agent for each Funding Note Issuer (as defined below) for the sole purposes of accepting the Put Option (as defined below).
THIRD AMENDED AND RESTATED PUT AGREEMENTPut Agreement • May 5th, 2020 • New York
Contract Type FiledMay 5th, 2020 JurisdictionThis is a Third Amended and Restated Put Agreement, dated April 26, 2010 (this “Agreement”), among the United States Department of Education (the “Department”), Straight- A Funding, LLC (the “Conduit”) and The Bank of New York Mellon, acting (i) as agent on behalf of the Conduit in its capacity as conduit administrator (the “Conduit Administrator”) and as Eligible Lender Trustee and (ii) as agent for each Funding Note Issuer (as defined below) for the sole purposes of accepting the Put Option (as defined below).
THIRD AMENDED AND RESTATED PUT AGREEMENTPut Agreement • May 5th, 2010 • New York
Contract Type FiledMay 5th, 2010 JurisdictionThis is a Third Amended and Restated Put Agreement, dated April 26, 2010 (this “Agreement”), among the United States Department of Education (the “Department”), Straight- A Funding, LLC (the “Conduit”) and The Bank of New York Mellon, acting (i) as agent on behalf of the Conduit in its capacity as conduit administrator (the “Conduit Administrator”) and as Eligible Lender Trustee and (ii) as agent for each Funding Note Issuer (as defined below) for the sole purposes of accepting the Put Option (as defined below).
Third Amended and Restated Put AgreementPut Agreement • April 26th, 2010 • New York
Contract Type FiledApril 26th, 2010 JurisdictionThis is a Third Amended and Restated Put Agreement, dated April 26, 2010 (this “Agreement”), among the United States Department of Education (the “Department”), Straight- A Funding, LLC (the “Conduit”) and The Bank of New York Mellon, acting (i) as agent on behalf of the Conduit in its capacity as conduit administrator (the “Conduit Administrator”) and as Eligible Lender Trustee and (ii) as agent for each Funding Note Issuer (as defined below) for the sole purposes of accepting the Put Option (as defined below).