Commitment Increase and Joinder Agreement Sample Contracts

EX-10.2 3 d324713dex102.htm COMMITMENT INCREASE AND JOINDER AGREEMENT EXECUTION VERSION COMMITMENT INCREASE AND JOINDER AGREEMENT
Commitment Increase and Joinder Agreement • May 5th, 2020 • New York

THIS COMMITMENT INCREASE AND JOINDER AGREEMENT, dated as of March 30, 2012 (this “Commitment Increase Agreement”), by and among FIDELITY NATIONAL INFORMATION SERVICES, INC., a Georgia corporation (the “Company”), each lender listed on the signature pages hereto (each, an “Increasing/Joinder Lender”), JPMORGAN CHASE BANK, N.A., as Administrative Agent (in such capacity, the “Administrative Agent”), Swing Line Lender and L/C Issuer and BANK OF AMERICA, N.A. and WELLS FARGO BANK, NATIONAL ASSOCIATION, as Swing Line Lenders.

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Commitment Increase and Joinder Agreement • May 5th, 2020

EX-10.1 2 exhibit101commitmentincrea.htm EXHIBIT 10.1 COMMITTMENT INCREASE AND JOINDER AGREEMENT EXHIBIT 10.1 COMMITMENT INCREASE AND JOINDER AGREEMENT (Commitment Increase Pursuant to Section 2.14 of Credit Agreement) This COMMITMENT INCREASE AND JOINDER AGREEMENT (this “Agreement”) dated as of February 18, 2014 (the “Increase Effective Date”), is entered into by and among MARTIN OPERATING PARTNERSHIP L.P., a Delaware limited partnership (“Borrower”), the undersigned Guarantors (as defined in the Credit Agreement referenced below), DEUTSCHE BANK AG NEW YORK BRANCH (the “New Lender”), and ROYAL BANK OF CANADA, as Administrative Agent (in such capacity, the “Administrative Agent”) and L/C Issuer. R E C I T A L S A. Borrower, the Existing Lenders (defined below), and Administrative Agent are parties to that certain Third Amended and Restated Credit Agreement dated as of March 28, 2013, as amended by that certain First Amendment to Third Amended and Restated Credit Agreement dated as of J

COMMITMENT INCREASE AND JOINDER AGREEMENT (Commitment Increase Pursuant to Section 2.16 of Credit Agreement)
Commitment Increase and Joinder Agreement • March 1st, 2010 • Martin Midstream Partners Lp • Wholesale-petroleum bulk stations & terminals • New York

This COMMITMENT INCREASE AND JOINDER AGREEMENT (this “Agreement”) dated as of February 25, 2010 (the “Increase Effective Date”), is entered into by and among MARTIN OPERATING PARTNERSHIP L.P., a Delaware limited partnership (“Borrower”), the undersigned Guarantors (as defined in the Credit Agreement referenced below), THE ROYAL BANK OF SCOTLAND PLC (the “New Lender”), and ROYAL BANK OF CANADA, as Administrative Agent (in such capacity, the “Administrative Agent”) and L/C Issuer.

COMMITMENT INCREASE AND JOINDER AGREEMENT
Commitment Increase and Joinder Agreement • August 4th, 2009 • Patterson Uti Energy Inc • Drilling oil & gas wells • Texas

THIS COMMITMENT INCREASE AND JOINDER AGREEMENT (this “Agreement”) is dated as of June 19, 2009 (the “Increase Effective Date”) and is entered into by and among PATTERSON-UTI ENERGY, INC., a Delaware corporation (the “Borrower”), the undersigned Guarantors, REGIONS BANK, as the New Lender (hereinafter defined), BANK OF AMERICA, N.A., as an L/C Issuer and WELLS FARGO BANK, N.A., as Administrative Agent (in such capacity the “Administrative Agent”), Swing Line Lender, an L/C Issuer and a Lender.

COMMITMENT INCREASE AND JOINDER AGREEMENT (Commitment Increase Pursuant to Section 2.15 of Credit Agreement)
Commitment Increase and Joinder Agreement • May 10th, 2012 • Martin Midstream Partners Lp • Wholesale-petroleum bulk stations & terminals • New York

This COMMITMENT INCREASE AND JOINDER AGREEMENT (this “Agreement”) dated as of May 10, 2012 (the “Increase Effective Date”), is entered into by and among MARTIN OPERATING PARTNERSHIP L.P., a Delaware limited partnership (“Borrower”), the undersigned Guarantors (as defined in the Credit Agreement referenced below), ABN AMRO CAPITAL USA LLC (the “New Lender”), and ROYAL BANK OF CANADA, as Administrative Agent (in such capacity, the “Administrative Agent”) and L/C Issuer.

COMMITMENT INCREASE AND JOINDER AGREEMENT
Commitment Increase and Joinder Agreement • February 18th, 2014 • Martin Midstream Partners Lp • Wholesale-petroleum bulk stations & terminals • New York

This COMMITMENT INCREASE AND JOINDER AGREEMENT (this “Agreement”) dated as of February 18, 2014 (the “Increase Effective Date”), is entered into by and among MARTIN OPERATING PARTNERSHIP L.P., a Delaware limited partnership (“Borrower”), the undersigned Guarantors (as defined in the Credit Agreement referenced below), DEUTSCHE BANK AG NEW YORK BRANCH (the “New Lender”), and ROYAL BANK OF CANADA, as Administrative Agent (in such capacity, the “Administrative Agent”) and L/C Issuer.

COMMITMENT INCREASE AND JOINDER AGREEMENT
Commitment Increase and Joinder Agreement • December 19th, 2011 • Fidelity National Information Services, Inc. • Services-business services, nec • New York

THIS COMMITMENT INCREASE AND JOINDER AGREEMENT, dated as of December 19, 2011 (this “Commitment Increase Agreement”), by and among FIDELITY NATIONAL INFORMATION SERVICES, INC., a Georgia corporation (the “Company”), each lender listed on the signature pages hereto (each, an “Increasing/Joinder Lender”), JPMORGAN CHASE BANK, N.A., as Administrative Agent (in such capacity, the “Administrative Agent”), Swing Line Lender and L/C Issuer and BANK OF AMERICA, N.A., as Swing Line Lender.

COMMITMENT INCREASE AND JOINDER AGREEMENT
Commitment Increase and Joinder Agreement • February 15th, 2019 • Century Communities, Inc. • Operative builders • Texas

This COMMITMENT INCREASE AND JOINDER AGREEMENT (this “Agreement”) is made as of February 12, 2019, by and among (i) CENTURY COMMUNITIES, INC., a Delaware corporation (“Borrower”), (ii) the undersigned Guarantors, (iii) BMO HARRIS BANK N.A. (“BMO”), (iv) CIBC BANK USA (“CIBC”), (v) FLAGSTAR BANK, FSB, a federally chartered savings bank (“Flagstar”), (vi) LEGACYTEXAS BANK (“Legacy”), and (vii) TEXAS CAPITAL BANK, NATIONAL ASSOCIATION, a national banking association, as Administrative Agent (“Administrative Agent”).

COMMITMENT INCREASE AND JOINDER AGREEMENT June 3, 2016
Commitment Increase and Joinder Agreement • June 6th, 2016 • Affiliated Managers Group, Inc. • Investment advice • New York

Please refer to the Term Credit Agreement dated as of September 22, 2015 (as amended or otherwise modified from time to time, the “Credit Agreement”) among Affiliated Managers Group, Inc., as Borrower, various financial institutions and Bank of America, N.A., as Administrative Agent. Capitalized terms used but not defined herein have the respective meanings set forth in the Credit Agreement.

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