Amendment Agreement – Standby Letter of Credit Facility Sample Contracts

May 17, 2017
Amendment Agreement – Standby Letter of Credit Facility • August 9th, 2017 • Everest Re Group LTD • Fire, marine & casualty insurance • New York

This Letter Agreement (the "Amendment Agreement") is made as of May 17, 2017 between Lloyds Bank plc (the "Bank" or "us") and Everest International Reinsurance, Ltd., a company organized under the laws of Bermuda (the "Company", "you" or "your") in connection to that certain: (i) letter agreement dated as of November 9, 2015 between the Bank and the Company (as the same may have been previously amended, modified, supplemented or otherwise restated the "Facility Letter Agreement"), (ii) Master Agreement for Standby Letters of Credit and Demand Guarantees dated as of November 9, 2015 between the Bank and the Company (as the same may have been previously amended, modified, supplemented or otherwise restated the "Master Agreement"), (iii) the Pledge and Security Agreement dated as of November 9, 2015 (as the same may have been previously amended, modified, supplemented or otherwise restated the "Pledge and Security Agreement") and (iv) Account Control Agreement, dated as of November 9, 201

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November 9, 2016
Amendment Agreement – Standby Letter of Credit Facility • March 1st, 2017 • Everest Re Group LTD • Fire, marine & casualty insurance • New York

This Letter Agreement (the "Amendment Agreement") is made as of November 9, 2016 between Lloyds Bank plc (the "Bank" or "us") and Everest International Reinsurance, Ltd., a company organized under the laws of Bermuda (the "Company", "you" or "your") in connection to that certain: (i) letter agreement dated as of November 9, 2015 between the Bank and the Company (as the same may have been amended or restated the "Facility Letter Agreement"), (ii) Master Agreement for Standby Letters of Credit and Demand Guarantees dated as of November 9, 2015 between the Bank and the Company (as the same may have been amended or restated the "Master Agreement"), (iii) the Pledge and Security Agreement dated as of November 9, 2015 (as the same may have been amended or restated the "Pledge and Security Agreement") and (iv) Account Control Agreement, dated as of November 9, 2015 made among the Company, the Bank and The Bank of New York Mellon (as the same may have been amended or restated the "Account Cont

November [5], 2019
Amendment Agreement – Standby Letter of Credit Facility • March 2nd, 2020 • Everest Re Group LTD • Fire, marine & casualty insurance • New York

This Letter Agreement (the “Amendment Agreement”) is made as of November [5], 2019 between Lloyds Bank Corporate Markets plc (successor in interest to Lloyds Bank plc, the “Bank” or “us”) and Everest International Reinsurance, Ltd., a company organized under the laws of Bermuda (the “Company”, “you” or “your”) in connection to that certain: (i) letter agreement dated as of November 9, 2015 between the Bank and the Company (as the same may have been amended or restated the “Facility Letter Agreement”), (ii) Master Agreement for Standby Letters of Credit and Demand Guarantees dated as of November 9, 2015 between the Bank and the Company (as the same may have been amended or restated the “Master Agreement”), (iii) the Pledge and Security Agreement dated as of November 9, 2015 (as the same may have been amended or restated the “Pledge and Security Agreement”) and (iv) Account Control Agreement, dated as of November 9, 2015 made among the Company, the Bank and The Bank of New York Mellon (a

November 9, 2018
Amendment Agreement – Standby Letter of Credit Facility • March 1st, 2019 • Everest Re Group LTD • Fire, marine & casualty insurance • New York

This Letter Agreement (the “Amendment Agreement”) is made as of November 9, 2018 between Lloyds Bank plc (the “Bank” or “us”) and Everest International Reinsurance, Ltd., a company organized under the laws of Bermuda (the “Company”, “you” or “your”) in connection to that certain: (i) letter agreement dated as of November 9, 2015 between the Bank and the Company (as the same may have been amended or restated the “Facility Letter Agreement”), (ii) Master Agreement for Standby Letters of Credit and Demand Guarantees dated as of November 9, 2015 between the Bank and the Company (as the same may have been amended or restated the “Master Agreement”), (iii) the Pledge and Security Agreement dated as of November 9, 2015 (as the same may have been amended or restated the “Pledge and Security Agreement”) and (iv) Account Control Agreement, dated as of November 9, 2015 made among the Company, the Bank and The Bank of New York Mellon (as the same may have been amended or restated the “Account Cont

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