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0001193125-03-036042 Sample Contracts

CREDIT AGREEMENT REVOLVING LINE OF CREDIT OF UP TO $5,000,000 FROM STERLING BANK, TO CHENIERE ENERGY, INC., CHENIERE LNG, INC., CHENIERE ENERGY OPERATING CO., INC., CHENIERE LNG SERVICES, INC. AND CHENIERE-GRYPHON MANAGEMENT, INC. July 25, 2003
Credit Agreement • August 13th, 2003 • Cheniere Energy Inc • Crude petroleum & natural gas • Texas

THIS CREDIT AGREEMENT (this “Agreement”), dated effective July 25, 2003, is by and between CHENIERE ENERGY, INC. (“Parent Borrower”), CHENIERE LNG, INC. (“Cheniere LNG”), CHENIERE ENERGY OPERATING CO., INC., CHENIERE LNG SERVICES, INC. AND CHENIERE-GRYPHON MANAGEMENT, INC. (“Cheniere-Gryphon”), each a Delaware corporation, (each, individually, a “Borrower” and collectively, the “Borrowers”) and STERLING BANK, a Texas chartered banking association (the “Bank”).

Standard Contracts