Form of] Underwriting Agreement American Express Issuance Trust II $[•] Class A Series 201[•]-[•] [Floating][Fixed] Rate Asset Backed Notes $[•] Class B Series 201[•]-[•] [Floating][Fixed] Rate Asset Backed Notes $[•] Class C Series 201[•]-[•]...Underwriting Agreement • December 10th, 2015 • American Express Receivables Financing Corp VIII LLC • Asset-backed securities • New York
Contract Type FiledDecember 10th, 2015 Company Industry Jurisdiction
Form of Underwriting Agreement American Express Issuance Trust II $[ ] Class A Series 201[ ]-[ ] Floating Rate Asset Backed Notes $[ ] Class B Series 201[ ]-[ ] Floating Rate Asset Backed Notes $[ ] Class C Series 201[ ]-[ ] Floating Rate Asset Backed...Underwriting Agreement • February 27th, 2013 • American Express Receivables Financing Corp VIII LLC • Finance services • New York
Contract Type FiledFebruary 27th, 2013 Company Industry Jurisdiction
Form of Underwriting Agreement American Express Issuance Trust $[ ] Class A Series 200[_]-[_] Floating Rate Asset Backed Notes $[ ] Class B Series 200[_]-[_] Floating Rate Asset Backed Notes $[ ] Class C Series 200[_]-[_] Floating Rate Asset Backed...Underwriting Agreement • December 18th, 2009 • American Express Issuance Trust • Asset-backed securities • New York
Contract Type FiledDecember 18th, 2009 Company Industry JurisdictionThe undersigned, AMERICAN EXPRESS RECEIVABLES FINANCING CORPORATION V LLC (the “Transferor”), proposes to cause the American Express Issuance Trust (the “Issuer” or the “Trust”) to issue $[ ] (stated principal amount) Class A Series 200[_]-[_] Floating Rate Asset Backed Notes (the “Series 200[_]-[_] Class A Notes”), $[ ] (stated principal amount) Class B Series 200[_]-[_] Floating Rate Asset Backed Notes (the “Series 200[_]-[_] Class B Notes”) and $[ ] (stated principal amount) Class C Series 200[_]-[_] Floating Rate Asset Backed Notes (the “Series 200[_]-[_] Class C Notes” and, together with the Series 200[_]-[_] Class A Notes and the Series 200[_]-[_] Class B Notes, the “Notes”) and to sell the Notes to you and to the underwriters named in Schedule A hereto (the “Underwriters”). The Issuer is a Delaware statutory trust created pursuant to (a) an Amended and Restated Trust Agreement, dated as of November 1, 2007 (as amended from time to time, the “Trust Agreement”), between the Transf