0000950103-20-022184 Sample Contracts

FORM OF UNDERWRITING AGREEMENT (PREFERRED STOCK, DEPOSITARY SHARES AND COMMON STOCK) MORGAN STANLEY
Underwriting Agreement • November 16th, 2020 • Morgan Stanley Finance LLC • Asset-backed securities • New York
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FORM OF MORGAN STANLEY UNDERWRITING AGREEMENT (DEBT SECURITIES, WARRANTS, PURCHASE CONTRACTS AND UNITS)
Underwriting Agreement • November 16th, 2020 • Morgan Stanley Finance LLC • Asset-backed securities • New York

Company under Rule 433(d) of the Securities Act] 5. [orally communicated pricing information to be included on Schedule I if a final term sheet is not used] [to be discussed]

MORGAN STANLEY Global Medium Term Notes, Series F Global Units, Series F Global Warrants, Series F Global Medium Term Notes, Series I MORGAN STANLEY FINANCE LLC Global Medium Term Notes, Series A Global Units, Series A Global Warrants, Series A Fully...
u.s. Distribution Agreement • November 16th, 2020 • Morgan Stanley Finance LLC • Asset-backed securities • New York

Morgan Stanley, a Delaware corporation (“Morgan Stanley”), confirms its agreement with you with respect to the issue and sale from time to time by Morgan Stanley of up to U.S. $469,788,413,083 (or the equivalent thereof in one or more currencies other than U.S. dollars) aggregate initial public offering price, as such amount may be increased from time to time upon due authorization by Morgan Stanley, of its Global Medium Term Notes, Series F and its Global Medium Term Notes, Series I (together, the “Morgan Stanley Notes”), its Global Units, Series F (the “Morgan Stanley Units”) and its Global Warrants, Series F (the “Morgan Stanley Warrants”), in each case subject to reduction as a result of (A) the prior sale of Program Securities (as defined below) or (B) the prior or future sale of (i) Morgan Stanley’s Global Medium-Term Notes Series G, Series H, Series J and Series K, primarily outside of the United States, (ii) Morgan Stanley’s Global Units, Series G and Series H, primarily outsid

Global Medium-Term Notes, Series J and Series K EURO DISTRIBUTION AGREEMENT
Euro Distribution Agreement • November 16th, 2020 • Morgan Stanley Finance LLC • Asset-backed securities • New York

Morgan Stanley, a Delaware corporation (the “Company”), confirms its agreement with you with respect to the issue and sale from time to time by the Company primarily outside the United States of up to U.S. $469,788,413,083 (or the equivalent thereof in one or more currencies other than U.S. dollars) aggregate initial public offering price, as such amount may be increased from time to time upon due authorization by the Company, of its Global Medium-Term Notes, Series J and Series K, each due more than nine months from the date of issue (the “Notes” and together with any other securities that may be offered by post-effective amendment to the Registration Statement referred to below, the “Program Securities”), in each case subject to reduction as a result of (A) the prior sale of the Company’s Notes and (B) the prior or future sale of (i) the Company’s Global Medium-Term Notes Series A, Series F and Series I, to be sold primarily inside the United States, (ii) Global Units, Series F, to b

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