0000950123-05-013852 Sample Contracts

LETTER OF CREDIT REIMBURSEMENT AND PLEDGE AGREEMENT Dated as of November 15, 2005 among MONTPELIER REINSURANCE LTD., JPMORGAN CHASE BANK, N.A., as Syndication Agent BARCLAYS BANK PLC, ING BANK N.V., LONDON BRANCH THE BANK OF NEW YORK and KEY BANK,...
Letter of Credit Reimbursement and Pledge Agreement • November 18th, 2005 • Montpelier Re Holdings LTD • Fire, marine & casualty insurance • New York

This LETTER OF CREDIT REIMBURSEMENT AND PLEDGE AGREEMENT is made as of November 15, 2005, by and among Montpelier Reinsurance Ltd. (the “Borrower”), a limited liability company duly incorporated as an exempted company under the laws of Bermuda, having its registered office at 8 Par-La-Ville Road, Hamilton, HM 08, Bermuda, the lending institutions party hereto (the “Lenders”), Bank of America, N.A. a national banking association, as fronting bank, letter of credit administrator and as administrative agent for itself and such other lending institutions (the “Administrative Agent”).

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STANDING AGREEMENT FOR LETTERS OF CREDIT
Standing Agreement for Letters of Credit • November 18th, 2005 • Montpelier Re Holdings LTD • Fire, marine & casualty insurance • New York

STANDING AGREEMENT FOR LETTERS OF CREDIT (as amended. supplemented or otherwise modified from time to time, this “Agreement”), dated as of October 7, 2005, by and between MONTPELIER REINSURANCE LTD., a corporation formed under the laws of Bermuda (“Applicant”) and THE BANK OF NEW YORK (“Bank”).

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