BANK OF MONTREAL Senior Medium-Term Notes Series C Distribution AgreementDistribution Agreement • July 8th, 2014 • Bank of Montreal /Can/ • Commercial banks, nec • New York
Contract Type FiledJuly 8th, 2014 Company Industry JurisdictionBank of Montreal, a Canadian chartered bank (the “Bank”), proposes, subject to the terms and conditions stated herein, to issue and sell, from time to time, its Senior Medium-Term Notes, Series C (the “Securities”), at an aggregate initial offering price of up to U.S. $18,000,000,000 or the equivalent thereof in one or more foreign or composite currencies or currency units, provided that the Bank may increase the amount of Securities it may sell at any time as provided in Section 11(c) hereof, and agrees with each of you (individually, an “Agent” and, collectively, the “Agents”) as set forth in this Distribution Agreement (the “Agreement”).
BANK OF MONTREAL US$18,000,000,000 SENIOR MEDIUM-TERM NOTES, SERIES C EXCHANGE RATE AGENCY AGREEMENT BETWEEN BANK OF MONTREAL AND BMO CAPITAL MARKETS CORP. June 27, 2014Exchange Rate Agency Agreement • July 8th, 2014 • Bank of Montreal /Can/ • Commercial banks, nec • New York
Contract Type FiledJuly 8th, 2014 Company Industry JurisdictionWHEREAS, the Bank has authorized the issuance from time to time of its Senior Medium-Term Notes, Series C (the “Notes”) at an aggregate initial offering price of up to US$18,000,000,000, which may be denominated in U.S. dollars or in other currencies, currency units or composite currencies (the “Foreign-Currency Notes”);
BANK OF MONTREAL CALCULATION AGENCY AGREEMENT BETWEEN BANK OF MONTREAL AND BMO CAPITAL MARKETS CORP. June 27, 2014Calculation Agency Agreement • July 8th, 2014 • Bank of Montreal /Can/ • Commercial banks, nec • New York
Contract Type FiledJuly 8th, 2014 Company Industry JurisdictionBank of Montreal (the “Bank”) proposes to issue and sell from time to time certain of its senior debt securities designated as Senior Medium-Term Notes, Series C (the “Notes”), pursuant to the terms of a Distribution Agreement, dated as of June 27, 2014, between the Bank and the Agents (as defined therein), as agents. The Notes are to be issued under a Senior Indenture, dated as of January 25, 2010 (the “Indenture”) between the Bank and Wells Fargo Bank, National Association, as Trustee (the “Trustee”). Terms used but not defined herein shall have the meanings assigned to them in the form of floating rate Note delivered to you herewith or in the Prospectus, dated June 27, 2014, as supplemented by the Prospectus Supplement, dated June 27, 2014 (together, the “Prospectus”), relating to the Notes.