M&t Bank Corp Sample Contracts

WITNESSETH
Supplemental Indenture • February 25th, 2000 • M&t Bank Corp • State commercial banks
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WITNESSETH
Guarantee Agreement • February 25th, 2000 • M&t Bank Corp • State commercial banks
1 Exhibit 10.1 U.S. $30,000,000 CREDIT AGREEMENT Dated as of December 15, 2000
Credit Agreement • March 9th, 2001 • M&t Bank Corp • State commercial banks • New York
BETWEEN
M&t Bank Corp • January 19th, 2005 • State commercial banks • New York
M&T BANK CORPORATION (a New York corporation) 500,000 Depositary Shares Each Representing a 1/10th Interest in a Share of Perpetual 3.500% Fixed-Rate Reset Non-Cumulative Preferred Stock, Series I UNDERWRITING AGREEMENT
Underwriting Agreement • August 17th, 2021 • M&t Bank Corp • State commercial banks • New York

M&T Bank Corporation, a New York corporation (the “Company”), confirms its agreement with RBC Capital Markets, LLC, Citigroup Global Markets Inc. and Goldman Sachs & Co. LLC, as representatives (in such capacity, the “Representatives”) of the underwriters named in Schedule A hereto (collectively, the “Underwriters”, which term shall also include any underwriter substituted as hereinafter provided in Section 10 hereof), with respect to the sale by the Company and the purchase by the Underwriters, acting severally and not jointly, of the respective numbers of depositary shares (“Depositary Shares”), each representing a 1/10th interest in a share of the Company’s Perpetual 3.500% Fixed-Rate Reset Non-Cumulative Preferred Stock, Series I, par value $1.00 and liquidation preference $10,000 per share (the “Preferred Stock”). The aforesaid 500,000 Depositary Shares to be purchased by the Underwriters are referred to herein as the “Securities.” The shares of Preferred Stock represented by the

INDENTURE
Indenture • February 25th, 2000 • M&t Bank Corp • State commercial banks • New York
EXHIBIT 10.1 U.S. $30,000,000 CREDIT AGREEMENT Dated as of November 19, 1999
Credit Agreement • February 25th, 2000 • M&t Bank Corp • State commercial banks • New York
WITNESSETH
Credit Agreement • February 26th, 2004 • M&t Bank Corp • State commercial banks • New York
Exhibit 4.2 JUNIOR SUBORDINATED INDENTURE
First Empire State Corp • June 16th, 1997 • State commercial banks • New York
RECITALS
M&t Bank Corp • February 26th, 2004 • State commercial banks • New York
M&T CAPITAL TRUST V TRUST AGREEMENT
Trust Agreement • January 19th, 2005 • M&t Bank Corp • State commercial banks • Delaware
WITNESSETH
Trust Agreement • February 25th, 2000 • M&t Bank Corp • State commercial banks
AMONG
Trust Agreement • January 19th, 2005 • M&t Bank Corp • State commercial banks • Delaware
Trust Indenture Trust Agreement Act Section Section --------------- ---------------
First Empire State Corp • June 16th, 1997 • State commercial banks • Delaware
RECITALS
First Supplemental Indenture • February 26th, 2004 • M&t Bank Corp • State commercial banks
among
Trust Agreement • January 17th, 1997 • First Empire State Corp • State commercial banks • Delaware
Net income $35,627 29,098 94,249 85,407 --------------------------------------- ------------------------------------------------------------------------------- ------------- Earnings per common share - fully diluted $4.89 3.93 12.83 11.34 ...
First Empire State Corp • November 14th, 1995 • State commercial banks

* Represents shares of First Empire's common stock issuable upon the assumed exercise of outstanding stock options granted pursuant to the First Empire State Corporation 1983 Stock Option Plan under the "treasury stock" method of accounting.

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MORGAN STANLEY & CO. INCORPORATED UNDERWRITING AGREEMENT
Underwriting Agreement • January 17th, 1997 • First Empire State Corp • State commercial banks • New York
RECITALS
M&t Bank Corp • February 26th, 2004 • State commercial banks • New York
ARTICLE I DEFINITIONS AND OTHER PROVISIONS OF GENERAL APPLICATION
First Empire State Corp • January 17th, 1997 • State commercial banks • New York
RECITALS
Second Supplemental Indenture • February 26th, 2004 • M&t Bank Corp • State commercial banks
M&T Bank Corporation Underwriting Agreement
M&t Bank Corp • May 29th, 2007 • State commercial banks • New York

M&T Bank Corporation, a corporation organized under the laws of New York (the “Company”), proposes to sell to the several underwriters named in Schedule II hereto (the “Underwriters”), for whom you (the “Representatives”) are acting as representatives, $300,000,000 principal amount of its 5.375% Senior Notes due 2012 identified in Schedule I hereto (the “Securities”), to be issued under the Indenture to be dated as of May 24, 2007, between the Company and The Bank of New York, as trustee (the “Trustee”), as supplemented by the First Supplemental Indenture to be dated as of May 24, 2007 (the “First Supplemental Indenture”) between the Company and the Trustee (together, the “Indenture”). To the extent there are no additional Underwriters listed on Schedule I other than you, the term Representatives as used herein shall mean you, as Underwriters, and the terms Representatives and Underwriters shall mean either the singular or plural as the context requires. Any reference herein to the Reg

between
Warrant Agreement • January 19th, 2005 • M&t Bank Corp • State commercial banks • New York
WITNESSETH
Supplemental Indenture • February 25th, 2000 • M&t Bank Corp • State commercial banks
ARTICLE II TRUST INDENTURE ACT
Capital Securities Guarantee Agreement • February 25th, 2000 • M&t Bank Corp • State commercial banks • New York
DEPOSIT AGREEMENT among M&T BANK CORPORATION, as Issuer and COMPUTERSHARE INC. AND COMPUTERSHARE TRUST COMPANY, N.A., jointly as Depositary, and THE HOLDERS FROM TIME TO TIME OF THE DEPOSITARY RECEIPTS DESCRIBED HEREIN Dated as of August 17, 2021
Deposit Agreement • August 17th, 2021 • M&t Bank Corp • State commercial banks • New York

This DEPOSIT AGREEMENT dated as of August 17, 2021, among (i) M&T Bank Corporation, a New York corporation, (ii) Computershare Inc., a Delaware corporation, and its wholly-owned subsidiary, Computershare Trust Company, N.A., a federally chartered trust company, jointly as Depositary (as hereinafter defined), and (iii) the holders from time to time of the Receipts described herein.

WARRANT AGREEMENT Dated as of December 11, 2012 between M&T BANK CORPORATION and REGISTRAR AND TRANSFER COMPANY as Warrant Agent Warrants for Common Stock
Warrant Agreement • December 12th, 2012 • M&t Bank Corp • State commercial banks • New York

WARRANT AGREEMENT dated as of December 11, 2012 (this “Agreement”), between M&T Bank Corporation, a New York corporation (the “Company”) and Registrar and Transfer Company, New Jersey Company as Warrant Agent (the “Warrant Agent”).

1,218,522 Warrants M&T BANK CORPORATION UNDERWRITING AGREEMENT
Underwriting Agreement • December 17th, 2012 • M&t Bank Corp • State commercial banks • New York

The United States Department of the Treasury (the “Selling Security Holder”) proposes to sell to the several underwriters (the “Underwriters”) named in Schedule I hereto, for whom you are acting as representative (the “Representative”), an aggregate of up to 1,218,522 warrants (the “Warrants”) of M&T Bank Corporation, a New York corporation, (the “Company”), representing the right to purchase an aggregate of up to that same number of shares (the “Warrant Shares”) of the Company’s common stock, $0.50 par value (the “Common Stock”). The respective maximum amounts of the Warrants to be so purchased by the several Underwriters are set forth opposite their names in Schedule I hereto.

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