CUSTODY AND SECURITIES ACCOUNT CONTROL AGREEMENTCustody and Securities Account Control Agreement • July 1st, 2010 • Green Equity Investors V, L.P. • Retail-variety stores • New York
Contract Type FiledJuly 1st, 2010 Company Industry JurisdictionThis Custody and Securities Account Control Agreement (this “Agreement”) is dated as of June 23, 2010 and is by and among Credit Suisse International (“Party A”), as a Pledgor (as defined in the Collateral Agreement) with respect to the Party A Collateral Subaccount (as defined below) numbered 80435601 and as a Secured Party (as defined in the Collateral Agreement) with respect to the Party B Collateral Subaccount (as defined below) numbered 80435602, Green Equity Investors Side V, L.P. (“Party B”), as a Pledgor (as defined in the Collateral Agreement) with respect the Party B Collateral Subaccount (as defined below) numbered 80435602 and as a Secured Party (as defined in the Collateral Agreement) with respect to the Party A Collateral Subaccount (as defined below) numbered 80435601, Credit Suisse International, in its capacity as valuation agent (“Valuation Agent”), and Wells Fargo Bank, National Association (“Wells Fargo”), in its capacity as custodian and securities intermediary (th