Common Contracts

3 similar Agency Agreement contracts by Wells Fargo & Company/Mn

EX-4.7 9 d386517dex47.htm AGENCY AGREEMENT DATED AS OF APRIL 27, 2017 WELLS FARGO & COMPANY And CITIBANK, N.A., LONDON BRANCH As Fiscal Agent, Registrar, Transfer Agent, Calculation Agent and Exchange Agent AGENCY AGREEMENT A$550,000,000 Floating Rate...
Agency Agreement • May 5th, 2020

WHEREAS pursuant to the Underwriting Agreement dated April 19, 2017 between the Issuer and the Underwriters named therein, the Issuer has agreed to issue its A$550,000,000 Floating Rate Notes Due April 27, 2022 (the “Floating Rate Notes”), its A$400,000,000 3.25% Notes Due April 27, 2022 (the “2022 Fixed Rate Notes”) and its A$250,000,000 4.00% Fixed Rate Notes Due April 27, 2027 (the “2027 Fixed Rate Notes” and, together with the Floating Rate Notes and the 2022 Fixed Rate Notes, the “Notes”); and

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WELLS FARGO & COMPANY And CITIBANK, N.A., LONDON BRANCH As Fiscal Agent, Registrar, Transfer Agent, Calculation Agent and Exchange Agent AGENCY AGREEMENT A$550,000,000 Floating Rate Notes Due April 27, 2022 A$400,000,000 3.25% Notes Due April 27, 2022...
Agency Agreement • April 27th, 2017 • Wells Fargo & Company/Mn • National commercial banks

WHEREAS pursuant to the Underwriting Agreement dated April 19, 2017 between the Issuer and the Underwriters named therein, the Issuer has agreed to issue its A$550,000,000 Floating Rate Notes Due April 27, 2022 (the “Floating Rate Notes”), its A$400,000,000 3.25% Notes Due April 27, 2022 (the “2022 Fixed Rate Notes”) and its A$250,000,000 4.00% Fixed Rate Notes Due April 27, 2027 (the “2027 Fixed Rate Notes” and, together with the Floating Rate Notes and the 2022 Fixed Rate Notes, the “Notes”); and

WELLS FARGO & COMPANY And CITIBANK, N.A., LONDON BRANCH As Fiscal Agent, Registrar, Transfer Agent, Calculation Agent and Exchange Agent AGENCY AGREEMENT A$900,000,000 Floating Rate Notes Due July 27, 2021 A$500,000,000 3.00% Notes Due July 27, 2021...
Agency Agreement • July 27th, 2016 • Wells Fargo & Company/Mn • National commercial banks

WHEREAS pursuant to the Underwriting Agreement dated July 20, 2016 between the Issuer and the Underwriters named therein, the Issuer has agreed to issue its A$900,000,000 Floating Rate Notes Due July 27, 2021 (the “Floating Rate Notes”) and its A$500,000,000 3.00% Notes Due July 27, 2021 (the “2021 Fixed Rate Notes”) and pursuant to the Underwriting Agreement dated July 21, 2016 between the Issuer and the Underwriters named therein, the Issuer has agreed to issue its A$250,000,000 3.70% Notes Due July 27, 2026 (the “2026 Fixed Rate Notes” and, together with the Floating Rate Notes and the 2021 Fixed Rate Notes, the “Notes”); and

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