0001104659-24-076922 Sample Contracts

ESSENT GROUP LTD., Issuer and U.S. BANK TRUST COMPANY, NATIONAL ASSOCIATION, Trustee SENIOR INDENTURE Dated as of July 1, 2024 Senior Debt Securities
Senior Indenture • July 1st, 2024 • Essent Group Ltd. • Surety insurance • New York

SENIOR INDENTURE, dated as of July 1, 2024 (the “Indenture”), by and between Essent Group Ltd., a company duly organized and existing under the laws of Bermuda (hereinafter called the “Company”), having its principal executive office located at Clarendon House 2 Church Street, Hamilton HM 11, Bermuda and U.S. Bank Trust Company, National Association, a national banking association (hereinafter called the “Trustee”), having its Corporate Trust Office located at Two Liberty Place, 50 S. 16th Street, Suite 2000, Mail Station: EX-PA-WBSP, Philadelphia, Pennsylvania 19102.

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ESSENT GROUP LTD., Issuer and FIRST SUPPLEMENTAL INDENTURE Dated as of July 1, 2024
Indenture • July 1st, 2024 • Essent Group Ltd. • Surety insurance • New York

This First Supplemental Indenture, dated as of July 1, 2024 (this “Supplemental Indenture”), to the Senior Indenture, dated as of July 1, 2024 (the “Original Indenture”), by and between Essent Group Ltd., a company duly organized and existing under the laws of Bermuda (the “Company”), having its principal executive office located at Clarendon House, 2 Church Street, Hamilton HM 11, Bermuda, and U.S. Bank Trust Company, National Association, a national banking association organized under the laws of the United States, not in its individual capacity but solely as trustee (the “Trustee”), having its corporate trust office located at Two Liberty Place, 50 S. 16th Street, Suite 2000, Mail Station: EX-PA-WBSP, Philadelphia, PA 19102, is effective upon the execution hereof by the parties hereto.

Essent Group Ltd. Underwriting Agreement
Essent Group Ltd. • July 1st, 2024 • Surety insurance

Essent Group Ltd., a Bermuda exempted company (the “Company”), proposes, subject to the terms and conditions stated herein, to issue and sell to the Underwriters named in Schedule I hereto (collectively, the “Underwriters”) an aggregate of $500 million principal amount of 6.250% Notes due 2029 (the “Securities”). The Securities will be issued pursuant to an Indenture (the "Base Indenture"), to be dated as of July 1, 2024, between the Company and U.S. Bank Trust Company, National Association, as trustee (the “Trustee”), as supplemented by the First Supplemental Indenture (the “Supplemental Indenture”) to be dated as of July 1, 2024, between the Company and the Trustee. The Base Indenture, together with the Supplemental Indenture, are referred to herein as the “Indenture.”

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