Welltower Inc. Sample Contracts

BY AND BETWEEN
Supplemental Indenture • September 24th, 2003 • Health Care Reit Inc /De/ • Real estate investment trusts • Delaware
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EXHIBIT 1.1 HEALTH CARE REIT, INC. 8.0% Notes due 2012 UNDERWRITING AGREEMENT ----------------------
Underwriting Agreement • March 14th, 2003 • Health Care Reit Inc /De/ • Real estate investment trusts • New York
Common Stock
Underwriting Agreement • April 7th, 2006 • Health Care Reit Inc /De/ • Real estate investment trusts • New York
Common Stock
Underwriting Agreement • May 9th, 2002 • Health Care Reit Inc /De/ • Real estate investment trusts • Maryland
SUPPLEMENT TO AMENDED AND RESTATED LOAN AGREEMENT BY AND AMONG
Loan Agreement • March 12th, 2004 • Health Care Reit Inc /De/ • Real estate investment trusts • New York
AMONG
Note Purchase Agreement • April 8th, 1997 • Health Care Reit Inc /De/ • Real estate investment trusts • New York
BY AND AMONG
Loan Agreement • August 30th, 2002 • Health Care Reit Inc /De/ • Real estate investment trusts • New York
WITNESSETH:
Restricted Stock Agreement • June 28th, 2005 • Health Care Reit Inc /De/ • Real estate investment trusts • Ohio
Common Stock
Underwriting Agreement • September 24th, 2003 • Health Care Reit Inc /De/ • Real estate investment trusts • New York
COMMON STOCK
Underwriting Agreement • March 26th, 1998 • Health Care Reit Inc /De/ • Real estate investment trusts • Illinois
EXHIBIT 10.1 CREDIT AGREEMENT
Credit Agreement • July 23rd, 2004 • Health Care Reit Inc /De/ • Real estate investment trusts • Ohio
EXHIBIT 10.2 THIRD AMENDED AND RESTATED LOAN AGREEMENT
Loan Agreement • July 28th, 2006 • Health Care Reit Inc /De/ • Real estate investment trusts • New York
Common Stock
Health Care Reit Inc /De/ • October 7th, 1998 • Real estate investment trusts • Maryland
Exhibit 10.2 HEALTH CARE REIT, INC. (a Delaware corporation) PLACEMENT AGENCY AGREEMENT Dated: February 25, 2002
Health Care Reit Inc /De/ • February 26th, 2002 • Real estate investment trusts • New York
EXHIBIT 4.2 SUPPLEMENTAL INDENTURE NO. 1
Health Care Reit Inc /De/ • September 9th, 2002 • Real estate investment trusts • Delaware
by and among HEALTH CARE REIT, INC., AND CERTAIN SUBSIDIARIES as Borrowers, BANK UNITED as Agent and as Lender and
Credit Agreement • March 26th, 2001 • Health Care Reit Inc /De/ • Real estate investment trusts • Texas
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EXHIBIT 4.1 AMENDMENT NO. 1 TO SUPPLEMENTAL INDENTURE NO. 3
Health Care Reit Inc /De/ • September 13th, 2004 • Real estate investment trusts
WITNESSETH:
Stock Option Agreement • March 16th, 2005 • Health Care Reit Inc /De/ • Real estate investment trusts • Ohio
EXHIBIT 4.1 SUPPLEMENTAL INDENTURE NO. 4
Supplemental Indenture • April 28th, 2005 • Health Care Reit Inc /De/ • Real estate investment trusts • Delaware
WELLTOWER INC. UNDERWRITING AGREEMENT
Underwriting Agreement • February 29th, 2016 • Welltower Inc. • Real estate investment trusts • New York

Welltower Inc., a Delaware corporation formerly known as Health Care REIT, Inc. (the “Company”), proposes to sell to the underwriters (the “Underwriters”) named in Schedule I hereto for whom you are acting as representatives (the “Representatives”), $700,000,000 aggregate principal amount of the Company’s 4.25% Notes due 2026 (the “Notes”), to be issued pursuant to the provisions of an indenture dated as of March 15, 2010, between the Company and The Bank of New York Mellon Trust Company, N.A., as trustee (the “Trustee”), as supplemented by a supplemental indenture thereto, to be dated as of March 1, 2016 (the indenture, as so supplemented, the “Indenture”).

AMENDMENT NO. 1 TO
Health Care Reit Inc /De/ • March 14th, 2003 • Real estate investment trusts
WELLTOWER INC. $550,000,000 3.850% Notes due 2032 UNDERWRITING AGREEMENT
Underwriting Agreement • March 31st, 2022 • Welltower Inc. • Real estate investment trusts • New York

Welltower Inc., a Delaware corporation (the “Company”), proposes to sell to the underwriters (the “Underwriters”) named in Schedule I hereto for whom you are acting as representatives (the “Representatives”) $550,000,000 aggregate principal amount of the Company’s 3.850% Notes due 2032 (the “Notes”), to be issued pursuant to the provisions of an indenture dated as of March 15, 2010 (the “Base Indenture”), between the Company and The Bank of New York Mellon Trust Company, N.A., as trustee (the “Trustee”), as supplemented by a supplemental indenture thereto, to be dated as of March 31, 2022 (the “Supplemental Indenture No. 22”). As used herein, the term “Indenture” shall include the Base Indenture, and the Supplemental Indenture No. 22.

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