Multibank Structured Transaction 2009-1 CML-ADC Execution Version PURCHASE MONEY NOTES GUARANTY AGREEMENT BY AND BETWEEN FEDERAL DEPOSIT INSURANCE CORPORATION AND FEDERAL DEPOSIT INSURANCE CORPORATION AS RECEIVER FOR VARIOUS FAILED FINANCIAL...Purchase Money Notes Guaranty Agreement • May 5th, 2020 • New York
Contract Type FiledMay 5th, 2020 JurisdictionTHIS PURCHASE MONEY NOTES GUARANTY AGREEMENT (this “Guaranty Agreement”) is entered into as of February 9, 2010, by and between the Federal Deposit Insurance Corporation (the “Purchase Money Notes Guarantor”) and the Federal Deposit Insurance Corporation as Receiver for various failed financial institutions listed on Schedule 1 hereto (the “Noteholder”). Capitalized terms used in this Guaranty Agreement and not otherwise defined in this Guaranty Agreement shall have the meanings assigned to them in, or by reference in, that certain Custodial and Paying Agency Agreement, dated as of February 9, 2010, among Multibank 2009-1 CML-ADC Venture, LLC, the Federal Deposit Insurance Corporation, in its corporate capacity, as the guarantor of the Purchase Money Notes, the Federal Deposit Insurance Corporation, in its capacity as Receiver for various failed financial institutions listed on Schedule 1 hereto, as Collateral Agent pursuant to the Reimbursement, Guaranty and Security Agreement (as her
PURCHASE MONEY NOTES GUARANTY AGREEMENT BY AND BETWEENPurchase Money Notes Guaranty Agreement • July 2nd, 2010 • New York
Contract Type FiledJuly 2nd, 2010 JurisdictionAgreement”) is entered into as of February 9, 2010, by and between the Federal Deposit Insurance Corporation (the “Purchase Money Notes Guarantor”) and the Federal Deposit Insurance Corporation as Receiver for various failed financial institutions listed on Schedule 1 hereto (the “Noteholder”). Capitalized terms used in this Guaranty Agreement and not otherwise defined in this Guaranty Agreement shall have the meanings assigned to them in, or by reference in, that certain Custodial and Paying Agency Agreement, dated as of February 9, 2010, among Multibank 2009-1 RES-ADC Venture, LLC, the Federal Deposit Insurance Corporation, in its corporate capacity, as the guarantor of the Purchase Money Notes, the Federal Deposit Insurance Corporation, in its capacity as Receiver for various failed financial institutions listed on Schedule 1 hereto, as Collateral Agent pursuant to the Reimbursement, Guaranty and Security Agreement (as hereinafter defined), and Wells Fargo Bank, N.A. (as amended, su
PURCHASE MONEY NOTES GUARANTY AGREEMENT BY AND BETWEENPurchase Money Notes Guaranty Agreement • July 2nd, 2010 • New York
Contract Type FiledJuly 2nd, 2010 JurisdictionAgreement”) is entered into as of February 9, 2010, by and between the Federal Deposit Insurance Corporation (the “Purchase Money Notes Guarantor”) and the Federal Deposit Insurance Corporation as Receiver for various failed financial institutions listed on Schedule 1 hereto (the “Noteholder”). Capitalized terms used in this Guaranty Agreement and not otherwise defined in this Guaranty Agreement shall have the meanings assigned to them in, or by reference in, that certain Custodial and Paying Agency Agreement, dated as of February 9, 2010, among Multibank 2009-1 RES-ADC Venture, LLC, the Federal Deposit Insurance Corporation, in its corporate capacity, as the guarantor of the Purchase Money Notes, the Federal Deposit Insurance Corporation, in its capacity as Receiver for various failed financial institutions listed on Schedule 1 hereto, as Collateral Agent pursuant to the Reimbursement, Guaranty and Security Agreement (as hereinafter defined), and Wells Fargo Bank, N.A. (as amended, su
PURCHASE MONEY NOTES GUARANTY AGREEMENT BY AND BETWEENPurchase Money Notes Guaranty Agreement • June 11th, 2010 • New York
Contract Type FiledJune 11th, 2010 JurisdictionAgreement”) is entered into as of the 7th day of January, 2010, by and between the Federal Deposit Insurance Corporation (the “Purchase Money Notes Guarantor”) and the Federal Deposit Insurance Corporation as Receiver for various failed financial institutions listed on Schedule 1 hereto (the “Noteholder”). Capitalized terms used in this Guaranty Agreement and not otherwise defined in this Guaranty Agreement shall have the meanings assigned to them in, or by reference in, that certain Custodial and Paying Agency Agreement, dated as of the 7th day of January, 2010, among the Multibank 2009-1 CRE Venture, LLC, the Federal Deposit Insurance Corporation, in its corporate capacity, as the guarantor of the Purchase Money Notes, the Federal Deposit Insurance Corporation, in its capacity as Receiver for various failed financial institutions listed on Schedule 1 hereto, as Collateral Agent pursuant to the Reimbursement, Guaranty and Security Agreement (as hereinafter defined), and Wells Fargo Ba