SECOND SUPPLEMENTAL AGENCY AGREEMENTSecond Supplemental Agency Agreement • January 25th, 2024
Contract Type FiledJanuary 25th, 2024
Dated [15] December 2014 STANDARD BANK PLC acting as Issuer and GREEN FINANCE PLC acting as New Issuer and THE BANK OF NEW YORK MELLON acting as Principal Paying Agent and ZURICH CANTONALBANK acting as Swiss Paying Agent and THE BANK OF NEW YORK...Second Supplemental Agency Agreement • November 20th, 2014 • First Ukrainian International Bank
Contract Type FiledNovember 20th, 2014 Company
Second Supplemental Agency AgreementSecond Supplemental Agency Agreement • October 20th, 2021
Contract Type FiledOctober 20th, 2021€10,000,000,000 Euro Medium Term Note Programme to issue from time to time medium term notes guaranteed by Autostrade Italia (the “EMTN Programme”). In connection with the EMTN Programme, the Issuer, the Guarantor and the Trustee entered into a trust deed dated 1 June 2004, as amended and restated by a trust deed dated 31 October 2012 (the “Principal Trust Deed”) and an Agency Agreement dated 31 October 2012 (the “Original Agency Agreement”).
SECOND SUPPLEMENTAL AGENCY AGREEMENTSecond Supplemental Agency Agreement • October 15th, 2021
Contract Type FiledOctober 15th, 2021
EXECUTION VERSION SECOND SUPPLEMENTAL AGENCY AGREEMENT DATED 24 MAY 2018 CREDIT SUISSE AG EURO MEDIUM TERM NOTE PROGRAMMESecond Supplemental Agency Agreement • March 12th, 2021 • England
Contract Type FiledMarch 12th, 2021 Jurisdiction
EXECUTION VERSION SECOND SUPPLEMENTAL AGENCY AGREEMENT 2 JULY 2021 COMMONWEALTH BANK OF AUSTRALIA ABN 48 123 123 124 and ASB FINANCE LIMITED, LONDON BRANCH and ASB BANK LIMITEDas Issuers andASB BANK LIMITEDas Guarantor(in the case of Notes issued by...Second Supplemental Agency Agreement • July 2nd, 2021 • England
Contract Type FiledJuly 2nd, 2021 Jurisdiction
Second Supplemental Agency AgreementSecond Supplemental Agency Agreement • October 20th, 2021
Contract Type FiledOctober 20th, 2021avoidance of doubt, this Second Supplemental Agency Agreement does not affect any series of notes issued under the EMTN Programme other than the Notes.
JSC HALYK BANKSecond Supplemental Agency Agreement • July 27th, 2018
Contract Type FiledJuly 27th, 2018
Second Supplemental Agency AgreementSecond Supplemental Agency Agreement • September 11th, 2023
Contract Type FiledSeptember 11th, 2023modifying the provisions of the Amended and Restated Agency Agreement dated 2 October 2015 relating to a £1,500,000,000 Euro Medium Term Note Programme
PORTUGAL TELECOM INTERNATIONAL FINANCE B.V. AS NEW ISSUER PT PORTUGAL SGPS, S.A. AS ORIGINAL ISSUER OI S.A. AS GUARANTOR CITIBANK, N.A. AS PRINCIPAL PAYING AGENT CITIBANK INTERNATIONAL LIMITED, SURCURSAL EM PORTUGAL AS PORTUGUESE PAYING AGENT...Second Supplemental Agency Agreement • April 16th, 2015 • PT Portugal, SGPS, S.A. • England
Contract Type FiledApril 16th, 2015 Company JurisdictionSubject as otherwise provided in this Second Supplemental Agency Agreement and unless there is anything in the subject matter or context inconsistent therewith, all words and expressions defined in the Amended and Restated Agency Agreement (attached as Schedule A hereto) shall have the same meanings in this Second Supplemental Agency Agreement.
SECOND SUPPLEMENTAL AGENCY AGREEMENT relating to the issue of US$[·],000,000 Fixed Rate Resettable Tier 2 Notes due 2027 pursuant to the US$7,000,000,000 GLOBAL MEDIUM TERM NOTE PROGRAMME ofSecond Supplemental Agency Agreement • January 18th, 2017 • Turkiye Vakiflar Bankasi T.A.O. • England
Contract Type FiledJanuary 18th, 2017 Company Jurisdiction