0001193125-11-242398 Sample Contracts

PARTICIPATING BROKER AGREEMENT GLOBAL INCOME TRUST, INC.
Participating Broker Agreement • September 7th, 2011 • Global Income Trust, Inc. • Real estate investment trusts • Florida

THIS PARTICIPATING BROKER AGREEMENT (the “Agreement”) is made and entered into as of the day of , 2011, between CNL SECURITIES CORP., a Florida corporation (the “Managing Dealer”), and , a (the “Broker”).

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THIRD AMENDED AND RESTATED ADVISORY AGREEMENT
Advisory Agreement • September 7th, 2011 • Global Income Trust, Inc. • Real estate investment trusts • Florida

THIS THIRD AMENDED AND RESTATED ADVISORY AGREEMENT, dated as of August 11 , 2011, is between Global Income Trust, Inc., a corporation organized under the laws of the State of Maryland (the “Company”), Global Income, LP, a limited partnership organized under the laws of the State of Delaware (the “Operating Partnership”), and CNL Global Income Advisors, LLC, a limited liability company organized under the laws of the State of Delaware (the “Advisor”), and amends and restates in its entirety that certain Second Amended and Restated Advisory Agreement by and among the aforementioned parties, dated August 12, 2010.

THIRD AMENDED AND RESTATED LIMITED PARTNERSHIP AGREEMENT OF GLOBAL INCOME, LP RECITALS
Limited Partnership Agreement • September 7th, 2011 • Global Income Trust, Inc. • Real estate investment trusts • Delaware

This Third Amended and Restated Limited Partnership Agreement (this “Agreement”) is executed as of the 11th day of August, 2011, between Global Income GP, LLC, a Delaware limited liability company (the “General Partner”) and the Limited Partners (as defined below) set forth on Exhibit A attached hereto. Capitalized terms used herein but not otherwise defined shall have the meanings given them in Article 1.

SECOND AMENDED AND RESTATED MASTER PROPERTY MANAGEMENT AND LEASING AGREEMENT
Master Property Management and Leasing Agreement • September 7th, 2011 • Global Income Trust, Inc. • Real estate investment trusts • Florida

The current month’s operating bank statement and account reconciliation for the operating accounts must be included in the monthly reporting package. Bank statements will end on the 20th of each month. Each bank account must have its own reconciliation.

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