0000950123-11-078245 Sample Contracts

INDENTURE AND SECURITY AGREEMENT ([Reg. No.]) Dated as of ____________ ___, 20__1 between DELTA AIR LINES, INC., and U.S. BANK TRUST NATIONAL ASSOCIATION, as Loan Trustee One Boeing [Model] (Generic Manufacturer and Model BOEING [Generic Model])...
Indenture and Security Agreement • August 17th, 2011 • Delta Air Lines Inc /De/ • Air transportation, scheduled • New York

This INDENTURE AND SECURITY AGREEMENT ([REG. NO.]), dated as of _______________ ___, 20__2, is made by and between DELTA AIR LINES, INC., a Delaware corporation (together with its successors and permitted assigns, “Company”), and U.S. BANK TRUST NATIONAL ASSOCIATION, a national banking association, not in its individual capacity, except as expressly stated herein, but solely as Loan Trustee hereunder (together with its permitted successors hereunder, “Loan Trustee”).

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ESCROW AND PAYING AGENT AGREEMENT (Class B) Dated as of August 17, 2011 among U.S. BANK NATIONAL ASSOCIATION as Escrow Agent CITIGROUP GLOBAL MARKETS INC., as Underwriter U.S. BANK TRUST NATIONAL ASSOCIATION, not in its individual capacity, but solely...
Escrow and Paying Agent Agreement • August 17th, 2011 • Delta Air Lines Inc /De/ • Air transportation, scheduled • New York

This ESCROW AND PAYING AGENT AGREEMENT (Class B), dated as of August 17, 2011 (as amended, modified or supplemented from time to time, this “Agreement”), is made by and among U.S. BANK NATIONAL ASSOCIATION, a national banking association, as Escrow Agent (in such capacity, together with its successors in such capacity, the “Escrow Agent”); CITIGROUP GLOBAL MARKETS INC., as underwriter of the Certificates referred to below (the “Underwriter” and together with its transferees and assigns as registered owners, and any future registered owners from time to time, of the Certificates, the “Investors”) under the Underwriting Agreement referred to below; U.S. BANK TRUST NATIONAL ASSOCIATION, a national banking association, not in its individual capacity except as otherwise expressly provided herein, but solely as trustee (in such capacity, together with its successors in such capacity, the “Pass Through Trustee”) under the Pass Through Trust Agreement referred to below; and U.S. BANK TRUST NAT

PARTICIPATION AGREEMENT ([Reg. No.]) Dated as of __________, 20__1 among DELTA AIR LINES, INC., U.S. BANK TRUST NATIONAL ASSOCIATION, as Pass Through Trustee under each of the Pass Through Trust Agreements, U.S. BANK TRUST NATIONAL ASSOCIATION, as...
Participation Agreement • August 17th, 2011 • Delta Air Lines Inc /De/ • Air transportation, scheduled • New York

This PARTICIPATION AGREEMENT ([REG. NO.]), dated as of __________, 20__2, is made by and among DELTA AIR LINES, INC., a Delaware corporation (together with its successors and permitted assigns, “Company”), U.S. BANK TRUST NATIONAL ASSOCIATION, a national banking association (in its individual capacity, together with its successors and permitted assigns, “U.S. Bank”), not in its individual capacity except as otherwise expressly provided in any of the Operative Documents or the Pass Through Documents, but solely as Pass Through Trustee under each of the Pass Through Trust Agreements (such terms and other capitalized terms used herein without definition being defined as provided in Section 1.01), U.S. BANK TRUST NATIONAL ASSOCIATION, a national banking association, as subordination agent and trustee (in such capacity, together with any successor trustee in such capacity, “Subordination Agent”) under the Intercreditor Agreement, and U.S. BANK TRUST NATIONAL ASSOCIATION, as loan trustee (in

DELTA AIR LINES, INC. Pass Through Certificates, Series 2011-1B UNDERWRITING AGREEMENT
Underwriting Agreement • August 17th, 2011 • Delta Air Lines Inc /De/ • Air transportation, scheduled • New York

Delta Air Lines, Inc., a Delaware corporation (the “Company”), proposes that U.S. Bank Trust National Association (“U.S. Bank Trust”) (as successor in interest to State Street Bank and Trust Company of Connecticut, National Association), acting not in its individual capacity but solely as pass through trustee (the “Trustee”) under the Pass Through Trust Agreement, dated as of November 16, 2000 (the “Basic Agreement”), and supplemented by the Trust Supplement (as defined below), as amended, between the Company and the Trustee, issue and sell to Citigroup Global Markets Inc. (the “Underwriter”), $102,000,000 in aggregate amount of Delta Air Lines 7.125% Pass Through Certificates, Series 2011-1B (the “Certificates”), with a final expected distribution date of October 15, 2014 on the terms and conditions stated herein.

Amendment No. 1 to INTERCREDITOR AGREEMENT Dated as of August 17, 2011 among DELTA AIR LINES, INC., NATIXIS S.A., ACTING VIA ITS NEW YORK BRANCH as Class A Liquidity Provider and Class B Liquidity Provider, and
Intercreditor Agreement • August 17th, 2011 • Delta Air Lines Inc /De/ • Air transportation, scheduled • New York

This AMENDMENT NO. 1 TO INTERCREDITOR AGREEMENT (this “Amendment”), dated as of August 17, 2011, is made by and among DELTA AIR LINES, INC., a Delaware corporation (together with its successors and permitted assigns, “Delta”), U.S. BANK TRUST NATIONAL ASSOCIATION, a national banking association (in its individual capacity, together with its successors and permitted assigns, “U.S. Bank”), not in its individual capacity, except as expressly set forth herein, but solely as Class A Trustee and Class B Trustee (such term and other capitalized terms used herein without definition being defined as provided in Article I of the Intercreditor Agreement, as amended by Section 1.01 hereof); NATIXIS S.A., a société anonyme organized under the laws of France, acting via its New York Branch (“Natixis”), as Class A Liquidity Provider and Class B Liquidity Provider; and U.S. BANK TRUST NATIONAL ASSOCIATION, not in its individual capacity except as expressly set forth herein, but solely as Subordination

DEPOSIT AGREEMENT (Class B) Dated as of August 17, 2011 between U.S. BANK NATIONAL ASSOCIATION as Escrow Agent and THE BANK OF NEW YORK MELLON as Depositary
Deposit Agreement • August 17th, 2011 • Delta Air Lines Inc /De/ • Air transportation, scheduled • New York

This DEPOSIT AGREEMENT (Class B), dated as of August 17, 2011 (as amended, modified or supplemented from time to time, this “Agreement”), is made by and between U.S. BANK NATIONAL ASSOCIATION, a national banking association, as Escrow Agent under the Escrow and Paying Agent Agreement referred to below (in such capacity, together with its successors in such capacity, the “Escrow Agent”), and THE BANK OF NEW YORK MELLON, a New York banking corporation, as depositary bank (the “Depositary”).

TRUST SUPPLEMENT NO. 2011-1B Dated as of August 17, 2011 between DELTA AIR LINES, INC. and as Trustee, To PASS THROUGH TRUST AGREEMENT Dated as of November 16, 2000 Delta Air Lines Pass Through Trust 2011-1B Delta Air Lines Pass Through Certificates,...
Agreement • August 17th, 2011 • Delta Air Lines Inc /De/ • Air transportation, scheduled • New York

This TRUST SUPPLEMENT NO. 2011-1B, dated as of August 17, 2011 (as amended from time to time, the “Trust Supplement”), between DELTA AIR LINES, INC., a Delaware corporation (together with any successor in interest pursuant to Section 5.02 of the Basic Agreement, the “Company” or “Delta”), and U.S. BANK TRUST NATIONAL ASSOCIATION, a national banking association, as successor trustee (together with any successor in interest and any successor or other trustee appointed as provided in the Basic Agreement, the “Trustee”) under the Pass Through Trust Agreement, dated as of November 16, 2000, between the Company and U.S. Bank Trust National Association, as successor in interest to State Street Bank and Trust Company of Connecticut, National Association (the “Basic Agreement”).

AMENDED AND RESTATED NOTE PURCHASE AGREEMENT Dated as of August 17, 2011 among DELTA AIR LINES, INC., and
Note Purchase Agreement • August 17th, 2011 • Delta Air Lines Inc /De/ • Air transportation, scheduled • New York

This AMENDED AND RESTATED NOTE PURCHASE AGREEMENT (this “Note Purchase Agreement” or this “Amended and Restated Note Purchase Agreement”), dated as of August 17, 2011, is made by and among (i) DELTA AIR LINES, INC., a Delaware corporation (together with its successors and permitted assigns, the “Company”), (ii) U.S. BANK TRUST NATIONAL ASSOCIATION (“U.S. Bank”), a national banking association, not in its individual capacity except as otherwise expressly provided herein, but solely as trustee (in such capacity, together with any successor in interest and any successor or other trustee appointed as provided in the applicable Pass Through Trust Agreement (as defined below), the “Pass Through Trustee”) under each of two separate Pass Through Trust Agreements (as defined below), (iii) U.S. BANK TRUST NATIONAL ASSOCIATION, a national banking association, as subordination agent and trustee (in such capacity together with its successors in such capacity, the “Subordination Agent”) under the In

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