Common use of EXCULPATION PROVISIONS Clause in Contracts

EXCULPATION PROVISIONS. 70 ANNEXES, EXHIBITS AND SCHEDULES Annex I - List of Percentage Shares and Revolving Credit Commitments Exhibit A - Form of Borrowing, Continuation and Conversion Request Exhibit B - Form of Compliance Certificate Exhibit C - Form of Assignment Agreement Exhibit D-1 - Restricted Subsidiaries as of the Date Hereof Exhibit D-2 - Unrestricted Subsidiaries as of the Date Hereof Exhibit E - Form of Guaranty Schedule 7.02 - Liabilities Schedule 7.03 - Litigation Schedule 7.10 - Titles, etc. Schedule 7.14 - Subsidiaries and Partnerships Schedule 7.17 - Environmental Matters Schedule 7.22 - Structure and Ownership of Subsidiaries Schedule 9.01 - Debt Schedule 9.02 - Liens Schedule 9.03 - Investments, Loans and Advances THIS CREDIT AGREEMENT (as amended , supplemented and modified from time to time, this "AGREEMENT") is entered into as of September 4, 2002, among BUCKEYE PARTNERS, L.P., a limited partnership formed under the laws of the State of Delaware (the "BORROWER"); each of the lenders that is a signatory hereto or that becomes a signatory hereto as provided in Section 12.06 (together with their successors and assigns, the "LENDERS"); SUNTRUST BANK ("SUNTRUST"), as administrative agent for the Lenders (in such, capacity, together with its successors in such capacity, the "AGENT").

Appears in 1 contract

Samples: Credit Agreement (Buckeye Partners L P)

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EXCULPATION PROVISIONS. 70 ANNEXES, EXHIBITS AND SCHEDULES Annex I - List of Percentage Shares and Revolving Maximum Credit Commitments Amounts Exhibit A A-1 - Form of Note Exhibit A-2 - Form of Swing Note Exhibit B - Form of Borrowing, Continuation and Conversion Request Exhibit B C - Form of Compliance Certificate Exhibit C D - Form List of Assignment Agreement Exhibit D-1 - Restricted Subsidiaries as of the Date Hereof Exhibit D-2 - Unrestricted Subsidiaries as of the Date Hereof Security Instruments Exhibit E - Form of Guaranty Assignment and Acceptance Exhibit F - Form of Borrowing Base Certificate Exhibit G - Form of Acquisition Certificate Schedule 1.01(a) - Eligible Accounts Schedule 1.01(b) - Eligible Inventory Schedule 7.02 - Liabilities Schedule 7.03 - Litigation Schedule 7.09 - Taxes Schedule 7.10 - Titles, etc. Schedule 7.14 - Subsidiaries and Partnerships Schedule 7.17 - Environmental Matters Schedule 7.20 - Hedging Agreements Schedule 7.22 - Structure and Ownership of Subsidiaries Material Agreements Schedule 9.01 - Debt Schedule 9.02 - Liens Schedule 9.03 - Investments, Loans and Advances THIS CREDIT AGREEMENT (as amended , supplemented and modified from time to time, this "AGREEMENT") is entered into dated as of September 4March 13, 20021998 is among: PENTACON, among BUCKEYE PARTNERS, L.P.INC., a limited partnership corporation formed under the laws of the State of Delaware (the "BORROWER"); each of the lenders that is a signatory hereto or that which becomes a signatory hereto as provided in Section 12.06 (individually, together with their its successors and assigns, a "LENDER" and, collectively, the "LENDERS"); SUNTRUST BANK and NATIONSBANK OF TEXAS, N.A., a national banking association (in its individual capacity, "SUNTRUSTNATIONSBANK"), as administrative agent for the Lenders (in such, such capacity, together with its successors in such capacity, the "AGENT").

Appears in 1 contract

Samples: Credit Agreement (Pentacon Inc)

EXCULPATION PROVISIONS. 70 64 Section 12.18 Arbitration......................................................... 64 ANNEXES, EXHIBITS AND SCHEDULES Annex I - List of Percentage Shares and Revolving Credit Commitments Term Loan Amounts Exhibit A - Form of Borrowing, Continuation and Conversion Request Note Exhibit B - Form of Compliance Certificate Exhibit C - List of Security Instruments Exhibit D - Form of Assignment Agreement Exhibit D-1 E - Restricted Subsidiaries as Form of the Date Hereof Joinder Agreement Exhibit D-2 - Unrestricted Subsidiaries as of the Date Hereof Exhibit E F - Form of Guaranty Schedule 7.02 - Liabilities Schedule 7.03 - Litigation Schedule 7.09 - Taxes Schedule 7.10 - Titles, etc. Schedule 7.14 - Subsidiaries and Partnerships Schedule 7.17 - Environmental Matters Schedule 7.22 7.19 - Structure and Ownership of Subsidiaries Insurance Schedule 7.21 - Hedging Agreements Schedule 7.23 - Material Agreements Schedule 7.24 - Gas Imbalances Schedule 9.01 - Debt Schedule 9.02 - Liens Schedule 9.03 - Investments, Loans and Advances THIS CREDIT TERM LOAN AGREEMENT (as amended , supplemented and modified from time to time, this "AGREEMENT") is entered into dated as of September 4April 8, 2002, 2004 is among BUCKEYE PARTNERS, L.P.MISSION RESOURCES CORPORATION, a limited partnership corporation formed under the laws of the State of Delaware (the "BORROWER"); the subsidiaries of the Borrower, each of which is or becomes a signatory hereto as provided in Section 8.13; each of the lenders that is a signatory hereto or that which becomes a signatory hereto as provided in Section 12.06 (individually, together with their its successors and assigns, a "LENDER" and, collectively, the "LENDERS"); SUNTRUST BANK and Guggenheim Corporate Funding, LLC, (in its individual capacity, "SUNTRUSTGUGGENHEIM"), as administrative collateral agent for the Lenders (in such, such capacity, together with its successors in such capacity, the "COLLATERAL AGENT").

Appears in 1 contract

Samples: Term Loan Agreement (Mission Resources Corp)

EXCULPATION PROVISIONS. 70 80 ANNEXES, EXHIBITS AND SCHEDULES Annex I - List of Percentage Shares and Revolving Credit Commitments Exhibit A - Form of Borrowing, Continuation and Conversion Request Note Exhibit B - Form of Borrowing Notice Exhibit C - Form of Compliance Certificate Exhibit C D - Form of Assignment Agreement Exhibit D-1 Schedule 1.1 - Restricted Subsidiaries as of the Date Hereof Exhibit D-2 Deepwater Oil and Gas Properties Schedule 7.01(b) - Unrestricted Subsidiaries as of the Date Hereof Exhibit E - Form of Guaranty Capitalization Schedule 7.02 - Liabilities Schedule 7.03 - Litigation Schedule 7.09 - Taxes Schedule 7.10 - Titles, etc. Schedule 7.14 - Subsidiaries and Partnerships Schedule 7.17 - Environmental Matters Schedule 7.19 - Insurance Schedule 7.20 - Hedging Agreements Schedule 7.21 - Material Agreements Schedule 7.22 - Structure and Ownership of Subsidiaries Gas Imbalances Schedule 9.01 - Debt Schedule 9.02 - Liens Schedule 9.03 - Investments, Loans and Advances 6 THIS CREDIT AGREEMENT (as amended AGREEMENT, supplemented and modified from time to time, this "AGREEMENT") is entered into dated as of September 4June 29, 20022001, is among BUCKEYE PARTNERS, L.P.CALXXX XXTROLEUM COMPANY, a limited partnership corporation formed under the laws of the State of Delaware (the "BORROWERBorrower"); each of the lenders that is a signatory hereto or that which becomes a signatory hereto as provided in Section 12.06 (individually, together with their its successors and assigns, a "Lender" and, collectively, the "LENDERSLenders"); SUNTRUST BANK and DUKE CAPITAL PARTNERS, LLC, a Delaware limited liability company (in its individual capacity, "SUNTRUSTDCP"), as administrative agent for the Lenders (in such, such capacity, together with its successors in such capacity, the "AGENTAdministrative Agent").

Appears in 1 contract

Samples: Credit Agreement (Callon Petroleum Co)

EXCULPATION PROVISIONS. 70 ANNEXES, EXHIBITS AND SCHEDULES 72 Annex I - List of Percentage Shares and Revolving Maximum Credit Commitments Amounts Exhibit A - Form of Note Exhibit B - Form of Borrowing, Continuation and Conversion Request Exhibit B C - Form of Compliance Certificate Exhibit C D - Form of Legal Opinion of Xxxxxxx Xxxxxx L.L.P. Exhibit E - List of Security Instruments Exhibit F - Form of Assignment Agreement Exhibit D-1 - Restricted Subsidiaries as of the Date Hereof Exhibit D-2 - Unrestricted Subsidiaries as of the Date Hereof Exhibit E - Form of Guaranty Schedule 7.02 - Liabilities Schedule 7.03 - Litigation Schedule 7.09 - Taxes Schedule 7.10 - Titles, etc. Schedule 7.14 - Subsidiaries and Partnerships Schedule 7.17 - Environmental Matters Schedule 7.19 - Insurance Schedule 7.20 - Hedging Agreements Schedule 7.22 - Structure and Ownership of Subsidiaries Material Agreements Schedule 7.23 - Gas Imbalances Schedule 9.01 - Debt Schedule 9.02 - Liens Schedule 9.03 - Investments, Loans and Advances THIS AMENDED AND RESTATED CREDIT AGREEMENT (as amended , supplemented and modified from time to time, this "AGREEMENT") is entered into dated as of September 421, 2002, among BUCKEYE PARTNERS, L.P.1999 is among: ATP OIL & GAS CORPORATION, a limited partnership corporation formed under the laws of the State of Delaware Texas (the "BORROWERBorrower"); each of the lenders that is a signatory hereto or that which becomes a signatory hereto as provided in Section 12.06 (individually, together with their its successors and assigns, a "Lender" and, collectively, the "LENDERSLenders"); SUNTRUST and CHASE BANK OF TEXAS, NATIONAL ASSOCIATION, a national banking association (in its individual capacity, "SUNTRUSTChase"), as administrative agent for the Lenders (in such, such capacity, together with its successors in such capacity, the "AGENTAgent").

Appears in 1 contract

Samples: Credit Agreement (Atp Oil & Gas Corp)

EXCULPATION PROVISIONS. 70 69 ANNEXES, EXHIBITS AND SCHEDULES Annex I - List of Percentage Shares and Maximum Revolving Credit Commitments Amounts and Term Loans Exhibit A A-1 - Form of Revolving Credit Note Exhibit A-2 - Form of Term Note Exhibit B - Form of Borrowing, Continuation and Conversion Request Exhibit B C - Form of Compliance Certificate Exhibit C D - Form List of Assignment Agreement Exhibit D-1 - Restricted Subsidiaries as of the Date Hereof Exhibit D-2 - Unrestricted Subsidiaries as of the Date Hereof Security Instruments Exhibit E - Form of Guaranty Borrowing Base Report Exhibit F - Form of Officer's Certificate Exhibit G - Due Diligence Items Exhibit H - Form of Subordination Agreement Schedule 3.01 - Term Loan Amortization Schedule Schedule 7.02 - Liabilities Schedule 7.03 - Litigation Schedule 7.10 - Titles, etc. Schedule 7.14 - Subsidiaries and Partnerships Schedule 7.17 7.19 - Environmental Matters Insurance Schedule 7.22 - Structure and Ownership of Subsidiaries Material Agreements Schedule 7.23 - Hedging Agreements Schedule 9.01 - Debt Schedule 9.02 - Liens Schedule 9.03 - Investments, Loans and Advances THIS CREDIT AGREEMENT (as amended , supplemented and modified from time to time, this "AGREEMENT") is entered into dated as of September 4November 7, 20021997 is among Castle Dental Centers, among BUCKEYE PARTNERS, L.P.Inc., a limited partnership corporation formed under the laws of the State of Delaware (the "BORROWER"); each of the lenders that is a signatory hereto or that which becomes a signatory hereto as provided in Section 12.06 (individually, together with their its successors and assigns, a "LENDER" and, collectively, the "LENDERS"); SUNTRUST BANK and NationsBank of Texas N.A., a national banking association (in its individual capacity, "SUNTRUSTNATIONSBANK"), as administrative agent for the Lenders (in such, such capacity, together with its successors in such capacity, the "AGENT").

Appears in 1 contract

Samples: Credit Agreement (Castle Dental Centers Inc)

EXCULPATION PROVISIONS. 70 83 ANNEXES, EXHIBITS AND SCHEDULES Annex I - List of Percentage Shares and Revolving Credit Commitments Exhibit A - Form of Borrowing, Continuation and Conversion Request Note Exhibit B - Form of Compliance Certificate Exhibit C - Form of Responsible Officer's Certificate Exhibit D - Form of Assignment Agreement Exhibit D-1 - Restricted Subsidiaries as of the Date Hereof Exhibit D-2 - Unrestricted Subsidiaries as of the Date Hereof Exhibit E E-1 - Form of Guaranty Maximum Credit Amount Increase Certificate Exhibit E-2 - Form of Additional Lender Certificate Schedule 7.01(b) - Capitalization Schedule 7.02 - Liabilities Schedule 7.03 - Litigation Schedule 7.09 - Taxes Schedule 7.10 - Titles, Property, etc. Schedule 7.14 - Subsidiaries and Partnerships Schedule 7.17 - Environmental Matters Schedule 7.19 - Insurance Schedule 7.20 - Hedging Agreements Schedule 7.21 - Material Agreements Schedule 7.22 - Structure and Ownership of Subsidiaries Gas Imbalances Schedule 9.01 - Debt Schedule 9.02 - Liens Schedule 9.03 - Investments, Loans and Advances THIS CREDIT AGREEMENT (as amended AGREEMENT, supplemented and modified from time to time, this "AGREEMENT") is entered into dated as of September 4December 8, 20022003, and amended and restated as of December 23, 2003, is made by and among BUCKEYE PARTNERS, L.P.XXXXXX PETROLEUM COMPANY, a limited partnership formed under the laws of the State of Delaware corporation (the "BORROWER"); each of the lenders that is a signatory hereto or which becomes a signatory hereto pursuant to Section 2.02 or as provided in SECTION 12.06 (individually, together with its successors and assigns, a "LENDER" and, collectively, the "LENDERS"); each of the new lenders that is a signatory hereto or which becomes a signatory hereto as provided in Section SECTION 12.06 (individually, together with their its successors and assigns, a "NEW LENDER" and, collectively, the "NEW LENDERS"); SUNTRUST BANK ("SUNTRUST")and Xxxxx Fargo Bank, National Association, a national banking association, as administrative agent for the Lenders (in such, such capacity, together with its successors in such capacity, the "ADMINISTRATIVE AGENT").

Appears in 1 contract

Samples: Senior Unsecured Credit Agreement (Callon Petroleum Co)

EXCULPATION PROVISIONS. 70 68 ANNEXES, EXHIBITS AND SCHEDULES Annex I - List of Percentage Shares and Revolving Credit Commitments Exhibit A A-1 - Form of Revolving Credit Note Exhibit A-2 - Form of Swing Line Note Exhibit B - Form of Borrowing, Continuation and Conversion Request Exhibit B C - Form of Compliance Certificate Exhibit C D - Form of Assignment Agreement Exhibit D-1 - Restricted Subsidiaries as of the Date Hereof Exhibit D-2 E - Unrestricted Subsidiaries as of designated on the Closing Date Hereof Exhibit E - Form of Guaranty Schedule 7.02 - Liabilities Schedule 7.03 - Litigation Schedule 7.10 - Titles, etc. Schedule 7.14 - Subsidiaries and Partnerships Schedule 7.17 - Environmental Matters Schedule 7.22 7.21 - Structure and Ownership of Subsidiaries Material Agreements Schedule 9.01 - Debt Schedule 9.02 - Liens Schedule 9.03 - Investments, Loans and Advances THIS CREDIT AGREEMENT (as amended , supplemented and modified from time to time, this "AGREEMENT") is entered into dated as of September 4December 16, 20021998 is among: BUCKEYE PIPE LINE COMPANY, among L.P., a limited partnership formed under the laws of the State of Delaware (the "Borrower"); BUCKEYE PARTNERS, L.P., a limited partnership formed under the laws of the State of Delaware (the "BORROWERBuckeye Partners"); each of the lenders that is a signatory hereto or that which becomes a signatory hereto as provided in Section 12.06 (individually, together with their its successors and assigns, a "Lender" and, collectively, the "LENDERSLenders"); SUNTRUST BANK FIRST UNION NATIONAL BANK, a national banking association (in its individual capacity, "SUNTRUSTFirst Union"), as administrative agent for the Lenders (in such, such capacity, together with its successors in such capacity, the "AGENTAgent"); and THE FIRST NATIONAL BANK OF CHICAGO, a national banking association, as documentation agent.

Appears in 1 contract

Samples: Credit Agreement (Buckeye Partners L P)

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EXCULPATION PROVISIONS. 70 75 ANNEXES, EXHIBITS AND SCHEDULES Annex I - List of Percentage Shares and Revolving Maximum Credit Commitments Amounts Exhibit A - Form of Note Exhibit B - Form of Borrowing, Continuation and Conversion Request Exhibit B C - Form of Compliance Certificate Exhibit C D - Form List of Assignment Agreement Exhibit D-1 - Restricted Subsidiaries as of the Date Hereof Exhibit D-2 - Unrestricted Subsidiaries as of the Date Hereof Security Instruments Exhibit E - Form of Guaranty Borrowing Base Report Exhibit F - Form of Officer's Certificate Exhibit G - Due Diligence Items Exhibit H - Form of Subordination Agreement Schedule 1.1 - Acquired Entities and Existing PC's Schedule 7.02 - Liabilities Schedule 7.03 - Litigation Schedule 7.10 - Titles, etc. Schedule 7.14 - Subsidiaries Schedule 7.19 - Insurance Schedule 7.20 - Management Services Agreements and Partnerships Schedule 7.17 - Environmental Matters Accounts Receivable Purchase Agreements Schedule 7.22 - Structure and Ownership of Subsidiaries Material Agreements Schedule 7.23 - Hedging Agreements Schedule 9.01 - Debt Schedule 9.02 - Liens Schedule 9.03 - Investments, Loans and Advances THIS AMENDED AND RESTATED CREDIT AGREEMENT (as amended , supplemented and modified from time to time, this "AGREEMENT") is entered into dated as of September 4December 18, 20021998 is among CASTLE DENTAL CENTERS, among BUCKEYE PARTNERS, L.P.INC., a limited partnership corporation formed under the laws of the State of Delaware (the "BORROWER"); each of the lenders that is a signatory hereto or that which becomes a signatory hereto as provided in Section 12.06 (individually, together with their its successors and assigns, a "LENDER" and, collectively, the "LENDERS"); SUNTRUST BANK and NATIONSBANK, N.A., a national banking association (in its individual capacity, "SUNTRUSTNATIONSBANK"), as administrative agent for the Lenders (in such, such capacity, together with its successors in such capacity, the "AGENT").

Appears in 1 contract

Samples: Credit Agreement (Castle Dental Centers Inc)

EXCULPATION PROVISIONS. 70 78 SECTION 12.17. Separateness............................................................................. 79 ANNEXES, EXHIBITS AND SCHEDULES Annex I - List of Percentage Shares and Revolving Credit Commitments Exhibit A - Form of Borrowing, Continuation and Conversion Request Exhibit B - Form of Compliance Certificate Exhibit C - Form of Assignment Agreement Exhibit D-1 - Restricted Subsidiaries as of the Date Hereof Exhibit D-2 - Unrestricted Subsidiaries as of the Date Hereof Exhibit E - Form of Guaranty Schedule 2.02 - Existing Letters of Credit Schedule 7.02 - Liabilities Schedule 7.03 - Litigation Schedule 7.10 - Titles, etc. Schedule 7.14 - Subsidiaries and Partnerships Schedule 7.17 - Environmental Matters Schedule 7.22 - Structure and Ownership of Subsidiaries Schedule 9.01 - Debt Schedule 9.02 - Liens Schedule 9.03 - Investments, Loans and Advances THIS CREDIT AGREEMENT (as amended , supplemented and modified from time to time, this "AGREEMENT") is entered into as of September 4August 6, 20022004, among BUCKEYE PARTNERS, L.P., a limited partnership formed under the laws of the State of Delaware (the "BORROWER"); each of the lenders that is a signatory hereto or that becomes a signatory hereto as provided in Section 12.06 (together with their successors and assigns, the "LENDERS"); ) and SUNTRUST BANK ("SUNTRUST"), as administrative agent for the Lenders (in such, capacity, together with its successors in such capacity, the "AGENT") and as Issuing Bank (as defined below).

Appears in 1 contract

Samples: Credit Agreement (Buckeye Partners L P)

EXCULPATION PROVISIONS. 70 74 ANNEXES, EXHIBITS AND SCHEDULES Annex I - List of Percentage Shares Facility A Maximum Credit Amounts and Revolving Credit Commitments Facility B Loans Exhibit A-1 - Form of Facility A Note Exhibit A-2 - Form of Facility B Note Exhibit B - Form of Borrowing, Continuation and Conversion Request Exhibit B C - Form of Compliance Certificate Exhibit C D - List of Loan Documents Exhibit E - Form of Assignment Agreement Exhibit D-1 - Restricted Subsidiaries as of the Date Hereof Exhibit D-2 - Unrestricted Subsidiaries as of the Date Hereof Exhibit E F - Form of Guaranty Letter of Credit Agreement Schedule 7.02 - Liabilities Schedule 7.03 - Litigation Schedule 7.09 - Taxes Schedule 7.10 - Titles, etc. Schedule 7.14 - Subsidiaries and Partnerships Schedule 7.17 - Environmental Matters Schedule 7.19 - Insurance Schedule 7.20 - Hedging Agreements Schedule 7.22 - Structure and Ownership of Subsidiaries Material Agreements Schedule 9.01 - Debt Schedule 9.02 - Liens Schedule 9.03 - Investments, Loans and Advances THIS CREDIT AGREEMENT (as amended , supplemented and modified from time to time, this "AGREEMENT") is entered into dated as of September 4, 2002, among BUCKEYE PARTNERS, L.P.December 17 1997 is among: XXXXXX PETROLEUM CORPORATION, a limited partnership corporation formed under the laws of the State of Delaware (the "BORROWERBorrower"); each of the lenders that is a signatory hereto or that which becomes a signatory hereto as provided in Section 12.06 (individually, together with their its successors and assigns, a "Lender" and, collectively, the "LENDERSLenders"); SUNTRUST and BANK OF MONTREAL, a Canadian bank (in its individual capacity, "SUNTRUSTBMO"), as administrative agent for the Lenders (in such, such capacity, together with its successors in such capacity, the "AGENTAgent").

Appears in 1 contract

Samples: Credit Agreement (Howell Corp /De/)

EXCULPATION PROVISIONS. 70 68 ANNEXES, EXHIBITS AND SCHEDULES Annex I - List of Percentage Shares and Revolving Credit Commitments Exhibit A - Form of Borrowing, Notice of Borrowing Exhibit B - Form of Continuation and Conversion Request Exhibit B C - Form of Compliance Certificate Exhibit C D - Form of Assignment Agreement Exhibit D-1 E-1 - Restricted Subsidiaries as of the Date Hereof Exhibit D-2 E-2 - Unrestricted Subsidiaries as of the Date Hereof Exhibit E F - Form of Guaranty Schedule 7.02 - Liabilities Schedule 7.03 - Litigation Schedule 7.10 - Titles, etc. Schedule 7.14 - Subsidiaries and Partnerships Schedule 7.17 - Environmental Matters Schedule 7.22 - Structure and Ownership of Subsidiaries Schedule 9.01 - Debt Schedule 9.02 - Liens Schedule 9.03 - Investments, Loans and Advances THIS CREDIT BRIDGE LOAN AGREEMENT (as amended amended, supplemented and modified from time to time, this "AGREEMENT") is entered into as of September 4October 1, 20022004, among BUCKEYE PARTNERS, L.P., a limited partnership formed under the laws of the State of Delaware (the "BORROWER"); each of the lenders that is a signatory hereto or that becomes a signatory hereto as provided in Section 12.06 (together with their successors and assigns, the "LENDERS"); SUNTRUST BANK ("SUNTRUST"), as administrative agent for the Lenders (in such, capacity, together with its successors in such capacity, the "AGENT").

Appears in 1 contract

Samples: Bridge Loan Agreement (Buckeye Partners L P)

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