Common Contracts

7 similar Underwriting Agreement contracts by Owl Rock Capital Corp, Sixth Street Specialty Lending, Inc., Southwest Gas Corp, others

SIXTH STREET SPECIALTY LENDING, INC. (a Delaware corporation) Underwriting Agreement
Underwriting Agreement • January 16th, 2024 • Sixth Street Specialty Lending, Inc. • New York

Sixth Street Specialty Lending, Inc., a Delaware corporation (the “Company”), proposes, subject to the terms and conditions stated herein, to issue and sell to the several Underwriters listed in Schedule 1 hereto (the “Underwriters”), for whom BofA Securities, Inc. is acting as representative (in such capacity, the “Representative”), $350,000,000 aggregate principal amount of 6.125% Notes due 2029 of the Company (the “Securities”).

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a Delaware corporation)
Underwriting Agreement • August 10th, 2023 • Sixth Street Specialty Lending, Inc. • New York

Sixth Street Specialty Lending, Inc., a Delaware corporation (the “Company”), proposes, subject to the terms and conditions stated herein, to issue and sell to the several Underwriters listed in Schedule 1 hereto (the “Underwriters”), for whom BofA Securities, Inc. is acting as representative (in such capacity, the “Representative”), $300,000,000 aggregate principal amount of 6.950% Notes due 2028 of the Company (the “Securities”).

OWL ROCK CAPITAL CORPORATION $450,000,000 Underwriting Agreement
Underwriting Agreement • June 8th, 2021 • Owl Rock Capital Corp • New York

Owl Rock Capital Corporation, a Maryland corporation (the “Company”), proposes, subject to the terms and conditions stated herein, to issue and sell to the several Underwriters listed in Schedule 1 hereto (collectively, the “Underwriters,” which term shall also include any underwriter substituted as hereinafter provided in Section 11 hereof), for whom you are acting as the representative (in such capacity, the “Representative”), $450,000,000 aggregate principal amount of 2.875% Notes due 2028 of the Company (the “Securities”).

SVB FINANCIAL GROUP
Underwriting Agreement • February 2nd, 2021 • SVB Financial Group • State commercial banks • New York

SVB Financial Group, a Delaware corporation (the “Company”), proposes to issue and sell to the several Underwriters listed in Schedule 1 hereto (the “Underwriters”), for whom you are acting as representatives (the “Representatives”), $500,000,000 principal amount of its 1.800% Senior Notes due 2031 having the terms set forth in Schedule 2 hereto (the “Securities”). The Securities will be issued pursuant to an Indenture dated as of September 20, 2010 (the “Indenture”) between the Company and U.S. Bank National Association, as trustee (the “Trustee”), as supplemented by an Officers’ Certificate to be dated as of the Closing Date (as defined below) establishing the terms of the Securities pursuant to Section 3.01 thereof.

OWL ROCK CAPITAL CORPORATION Underwriting Agreement
Underwriting Agreement • December 3rd, 2020 • Owl Rock Capital Corp • New York

Owl Rock Capital Corporation, a Maryland corporation (the “Company”), proposes, subject to the terms and conditions stated herein, to issue and sell to the several Underwriters listed in Schedule 1 hereto (collectively, the “Underwriters,” which term shall also include any underwriter substituted as hereinafter provided in Section 11 hereof), for whom you are acting as the representative (in such capacity, the “Representative”), $1,000,000,000 aggregate principal amount of 3.400% Notes due 2026 of the Company (the “Securities”).

SOUTHWEST GAS CORPORATION $450,000,000 2.200% Senior Notes due 2030 UNDERWRITING AGREEMENT
Underwriting Agreement • June 4th, 2020 • Southwest Gas Corp • Natural gas transmisison & distribution • New York

Southwest Gas Corporation, a California corporation (the “Company”), proposes to issue and sell to the several underwriters (the “Underwriters”) named in Schedule 1 attached to this agreement (this “Agreement”), acting severally and not jointly, the respective amounts set forth in such Schedule 1 of $450,000,000 aggregate principal amount of its 2.200% Senior Notes due 2030 (the “Securities”). The Securities will be issued pursuant to an Indenture to be dated as of June 4, 2020 (the “Base Indenture”), and a supplemental indenture to be dated as of June 4, 2020 (the “Supplemental Indenture” and together with the Base Indenture, the “Indenture”) between the Company and The Bank of New York Mellon Trust Company, N.A., as trustee (the “Trustee”). This is to confirm the agreement concerning the purchase of the Securities from the Company by the Underwriters.

TPG SPECIALTY LENDING, INC. Underwriting Agreement
Underwriting Agreement • October 31st, 2019 • TPG Specialty Lending, Inc. • New York

TPG Specialty Lending, Inc., a Delaware corporation (the “Company”), proposes, subject to the terms and conditions stated herein, to issue and sell to the several Underwriters listed in Schedule 1 hereto (the “Underwriters”), for whom you are acting as representative (in such capacity, the “Representative”), $300,000,000 aggregate principal amount of 3.875% Notes due 2024 of the Company (the “Securities”).

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