0001193125-09-178276 Sample Contracts

Exhibit (4)(n) AMENDED AND RESTATED TRUST AGREEMENT Among S&T BANCORP, INC. (as Depositor) (as Property Trustee) and (as Delaware Trustee) dated as of S&T CAPITAL TRUST [I] [II] [III]
Trust Agreement • August 19th, 2009 • S&t Bancorp Inc • State commercial banks • Delaware

AMENDED AND RESTATED TRUST AGREEMENT, dated as of [ ] [ ], [ ], among (a) S&T BANCORP, INC., a Pennsylvania corporation (including any successors or assigns, the “Depositor”), (b) [ ], a [ ] banking corporation, as property trustee (in such capacity, the “Property Trustee” and, in its separate corporate capacity and not in its capacity as Property Trustee, the “Bank”), (c) [ ], a Delaware banking corporation, as Delaware trustee (the “Delaware Trustee”) (the Property Trustee and the Delaware Trustee are referred to collectively herein as the “Issuer Trustees”) and (d) the several Holders, as hereinafter defined.

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Exhibit (1)(b) S&T BANCORP, INC. DEBT SECURITIES UNDERWRITING AGREEMENT
Underwriting Agreement • August 19th, 2009 • S&t Bancorp Inc • State commercial banks • New York

S&T Bancorp, Inc., a Pennsylvania corporation (the “Corporation”) proposes, upon the terms and conditions set forth herein, to issue and sell the principal amount of its debt securities identified in Schedule 1 hereto (the “Debt Securities”) to the underwriters named in Schedule 2 hereto (collectively, the “Underwriters”), for whom the person(s) named in Schedule 3 hereto (the “Representative(s)”) is acting as representative. The Debt Securities are to be issued pursuant to the terms of an indenture dated as of , (the “Indenture”), between the Corporation and , as trustee (the “Trustee”).

Exhibit (4)(i) S&T CAPITAL TRUST I TRUST AGREEMENT
Trust Agreement • August 19th, 2009 • S&t Bancorp Inc • State commercial banks • Delaware

THIS TRUST AGREEMENT, dated as of August 6, 2003, is by and among (i) S&T Bancorp, Inc., a Pennsylvania corporation (the “Depositor”), and (ii) Deutsche Bank Trust Company Delaware, a Delaware banking corporation, as trustee (the “Trustee”). The Depositor and the Trustee hereby agree as follows:

Exhibit (4)(a) DEPOSIT AGREEMENT AMONG S&T BANCORP, INC. as Depositary and the Holders from time to time of the Depository Receipts described herein Dated as of ,
Deposit Agreement • August 19th, 2009 • S&t Bancorp Inc • State commercial banks • New York

DEPOSIT AGREEMENT, dated as of , among S&T BANCORP, INC., a Pennsylvania corporation, [ ], a [ ] corporation, as Depositary, and the holders from time to time of the Receipts described herein.

Exhibit (4)(f) [DEBT] [PREFERRED STOCK] [COMMON STOCK] [DEPOSITARY SHARES] WARRANT AGREEMENT dated as of ___________ __, ____ between S&T BANCORP, INC. and [NAME OF WARRANT AGENT], as Warrant Agent [Debt] [Preferred Stock] [Common Stock] [Depositary...
Warrant Agreement • August 19th, 2009 • S&t Bancorp Inc • State commercial banks • New York

[DEBT] [PREFERRED STOCK] [COMMON STOCK] [DEPOSITARY SHARES] WARRANT AGREEMENT, dated as of ____________ __, ____ (as modified, amended or supplemented, this “Agreement”), between S&T BANCORP, INC., a Pennsylvania corporation (the “Company”) and [NAME OF WARRANT AGENT], a _____________, as Warrant Agent (the “Warrant Agent”).

Exhibit (1)(c) S&T CAPITAL TRUST CAPITAL SECURITIES GUARANTEED TO THE EXTENT SET FORTH IN THE GUARANTEES BY S&T BANCORP, INC. UNDERWRITING AGREEMENT
Underwriting Agreement • August 19th, 2009 • S&t Bancorp Inc • State commercial banks • New York

S&T Capital Trust (the “Trust”), a statutory trust organized under the Delaware Statutory Trust Act (Chapter 38, Title 12, of the Delaware Business Code, 12 Del. C. Section 3801 et seq.) (the “Delaware Act”), and S&T Bancorp, Inc., a Pennsylvania corporation (the “Corporation”), as depositor of the Trust and as guarantor, propose, upon the terms and conditions set forth herein to issue and sell % Capital Securities with an aggregate liquidation amount equal to $ (the “Firm Securities”) to the underwriters named in Schedule 1 hereto (collectively, the “Underwriters”), for whom the person(s) named in Schedule 2 hereto (the “Representative(s)”) is acting as representative. The Trust also proposes to, and the Corporation also proposes to cause the Trust to, issue and sell to the Underwriters, at the Underwriters’ option, up to an additional $ aggregate liquidation amount of Capital Securities (the “Option Securities[,]” [together with the Firm Securities, collectively the “Capital Securiti

Exhibit (4)(p) GUARANTEE AGREEMENT Between S&T BANCORP, INC. (as Guarantor) and (as Guarantee Trustee) dated as of S&T CAPITAL TRUST [I] [II] [III]
Guarantee Agreement • August 19th, 2009 • S&t Bancorp Inc • State commercial banks • New York

This GUARANTEE AGREEMENT, dated as of [ ], [ ] is executed and delivered by S&T BANCORP, INC., a Pennsylvania corporation (the “Guarantor”), having its principal office at 800 Philadelphia Street, Indiana, Pennsylvania 15701 and [ ], a [ ] banking corporation, as trustee (the “Guarantee Trustee”), for the benefit of the Holders (as defined herein) from time to time of the Capital Securities (as defined herein) of S&T Capital Trust [I] [II] [III], a Delaware statutory trust (the “Issuer Trust”).

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