Junior Intercreditor Agreement Sample Contracts

EX-10.5 9 d701009dex105.htm EX-10.5 Execution Version JUNIOR INTERCREDITOR AGREEMENT
Junior Intercreditor Agreement • May 5th, 2020 • New York

JUNIOR INTERCREDITOR AGREEMENT dated as of March 31, 2014, (this “Agreement”), among LEE ENTERPRISES, INCORPORATED, a Delaware corporation (the “Borrower”), the other Grantors party hereto, JPMORGAN CHASE BANK, N.A., as administrative agent with respect to the Revolving Credit Facility (together with its successors and assigns, in such capacity, the “Revolving Agent”) and as collateral agent with respect to the Revolving Credit Facility (together with its successors and assigns, in such capacity, the “Revolving Collateral Agent”), JPMORGAN CHASE BANK, N.A., as administrative agent with respect to the Pari Passu Facility (together with its successors and assigns in such capacity, the “Pari Passu Agent”) and as collateral agent with respect to the Pari Passu Facility (together with its successors and assigns, in such capacity, the “Pari Passu Collateral Agent”), U.S. BANK NATIONAL ASSOCIATION, not in its individual capacity, but solely in its capacity as Trustee under the Notes Indenture

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JUNIOR INTERCREDITOR AGREEMENT dated as of December 10, 2009, among DEUTSCHE BANK TRUST COMPANY AMERICAS, as Series A Collateral Agent, DEUTSCHE BANK TRUST COMPANY AMERICAS, as Series B Collateral Agent, CIT GROUP FUNDING COMPANY OF DELAWARE LLC, as...
Junior Intercreditor Agreement • May 13th, 2010 • Cit Group Inc • Finance lessors • New York

This JUNIOR INTERCREDITOR AGREEMENT (“Agreement”), is dated as of December 10, 2009, and entered into by and among DEUTSCHE BANK TRUST COMPANY AMERICAS, as collateral agent on behalf of the Equal and Ratable Claimholders and the Series A Claimholders (each as defined below) (together with its successors and assigns in such capacity, the “Series A Parent Collateral Agent”), and as collateral agent on behalf of the Series A Claimholders, (together with its successor and assigns in such capacity, the “Series A Subsidiary Collateral Agent” and, together with the Series A Parent Collateral Agent, the “Series A Collateral Agent”), DEUTSCHE BANK TRUST COMPANY AMERICAS, as collateral agent on behalf of the Equal and Ratable Claimholders and the Series B Claimholders (each as defined below) (together with its successors and assigns in such capacity, the “Series B Parent Collateral Agent”), and as collateral agent on behalf of the Series B Claimholders (together with its successors and assigns i

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