Amendment And Restatement Agreement Sample Contracts

Vodafone Group Plc – AMENDMENT AND RESTATEMENT AGREEMENT DATED 11 JANUARY 2018 BETWEEN AMONG OTHERS VODAFONE GROUP PLC AND THE ROYAL BANK OF SCOTLAND PLC as Exiting Agent Relating to a EURO 3,860,000,000 (As Increased to EURO 4,010,000,000) Credit Agreement Dated 28 March 2014 Allen & Overy LLP (June 8th, 2018)
Portfolio Recovery Associates, Inc. – FOURTH AMENDMENT AND RESTATEMENT AGREEMENT Dated 23 January 2018 to the USD 900,000,000 + EUR 267,000,000 TERM AND MULTICURRENCY REVOLVING CREDIT FACILITIES AGREEMENT Originally Dated 23 October 2014 And (May 10th, 2018)

amended by an amendment letter dated 18 December 2014 and an amendment letter dated 13 January 2015, and as further amended and restated by a first amendment and restatement agreement dated 12 June 2015, a second amendment and restatement agreement dated 19 February 2016 and a third amended and restatement agreement dated 2 September 2016

Dated 19 March 2018 MARINA BAY SANDS PTE. LTD. As Borrower and DBS BANK LTD. As Agent SECOND AMENDMENT AND RESTATEMENT AGREEMENT (Relating to the S$5,100,000,000 Facility Agreement Dated 25 June 2012, as Amended by an Amendment Agreement Dated 20 November 2013, and Further Amended and Restated by the Amendment and Restatement Agreement Dated 29 August 2014) (April 27th, 2018)

THIS AGREEMENT is originally dated 25 June 2012 and is amended and restated by the Amendment and Restatement Agreement dated 29 August 2014 and is further amended and restated as of the Second Effective Date and made between:

Amendment and Restatement Agreement (March 14th, 2018)

UNITYMEDIA HESSEN GMBH & CO. KG, a German limited partnership (Kommanditgesellschaft) organised and validly existing under the laws of the Federal Republic of Germany having its registered address at Aachener Strasse 746-750, 50933 Cologne, and which is registered in the commercial register (Handelsregister) of the local court (Amtsgericht) of Cologne under registration number HRA 24116 (the "Original Borrower" or the "Company");

Noble Midstream Partners LP – AMENDMENT AND RESTATEMENT AGREEMENT, Dated as of March 9, 2018 (This Agreement), Among NOBLE MIDSTREAM SERVICES LLC, a Delaware Limited Liability Company (The Borrower), NOBLE MIDSTREAM PARTNERS LP, a Delaware Limited Partnership (The Parent), the GUARANTORS Party Hereto, the LENDERS Party Hereto and JPMORGAN CHASE BANK, N.A., as Administrative Agent. (March 12th, 2018)

CREDIT AGREEMENT dated as of September 20, 2016, as amended and restated as of March 9, 2018, among Noble Midstream Services, LLC, a Delaware limited liability company (the Borrower), Noble Midstream Partners LP, a Delaware limited partnership (the Parent), each Lender from time to time party hereto, JPMorgan Chase Bank, N.A., as Administrative Agent, a Swing Line Lender and an L/C Issuer, and the other L/C Issuers and Swing Line Lenders named herein.

Net 1 UEPS Technologies, Inc. – FIRST AMENDMENT AND RESTATEMENT AGREEMENT DATED 9 MARCH, 2018 Between NET1 APPLIED TECHNOLOGIES SOUTH AFRICA PROPRIETARY LIMITED (As Borrower) With NET1 UEPS TECHNOLOGIES, INC (Holdco) Arranged by FIRSTRAND BANK LIMITED (ACTING THROUGH ITS RAND MERCHANT BANK DIVISION) NEDBANK LIMITED (ACTING THROUGH ITS CORPORATE AND INVESTMENT BANKING DIVISION) (The Arrangers) and FIRSTRAND BANK LIMITED (ACTING THROUGH ITS RAND MERCHANT BANK DIVISION) NEDBANK LIMITED (ACTING THROUGH ITS CORPORATE AND INVESTMENT BANKING DIVISION) (As Original Senior Lenders) With FIRSTRAND BANK LIMITED (ACTING THROUGH ITS RAND (March 9th, 2018)

Clause Page Schedule 1 The Parties 8 Schedule 2 Conditions Precedent 10 Schedule 3 Amended and Restated Common Terms Agreement 13 Signature Page 148

Gnc Holdings Inc. – Amendment and Restatement Agreement (March 1st, 2018)

This AMENDMENT AND RESTATEMENT AGREEMENT (this "Amendment") dated as of February 28, 2018 relates to the Credit Agreement (as defined below) and is by and among GNC CORPORATION, a Delaware corporation ("Parent"), GENERAL NUTRITION CENTERS, INC., a Delaware corporation (the "Borrower"), the other Loan Parties party hereto, the Lenders under the Credit Agreement that have executed and delivered the Lender Consents and Agreements (each, a "Lender Consent" and, collectively, the "Lender Consents") in the form attached hereto as Exhibit F, JPMORGAN CHASE BANK, N.A., as administrative agent (in such capacity, including any permitted successor thereto, the "Administrative Agent") under the Credit Agreement and the Amended Credit Agreement (as defined below) and as an Issuing Bank and Swingline Lender under the Credit Agreement, and GLAS TRUST COMPANY LLC, as collateral agent (in such capacity, including any permitted successor thereto, the "Collateral Agent") under the Amended Credit Agreemen

Second Amendment and Restatement Agreement (February 2nd, 2018)

SECOND AMENDED AND RESTATED CREDIT AGREEMENT, dated as of January 30, 2018 (as it may be further amended, restated, supplemented or modified from time to time, this Agreement), among COTT CORPORATION CORPORATION COTT, a corporation organized under the laws of Canada (the Company); AQUATERRA CORPORATION, a corporation organized under the laws of Canada (Aquaterra); COTT HOLDINGS INC., a Delaware corporation (Cott Holdings); DS SERVICES OF AMERICA, INC., a Delaware corporation (DS Services); S. & D. COFFEE, INC., a North Carolina corporation (S&D Coffee); AIMIA FOODS LIMITED, a company organized under the laws of England and Wales (Aimia); and, on and after the date that it has satisfied the requirements set forth in Section 5.13, EDEN SPRINGS NEDERLAND B.V., a private limited liability company incorporated under the laws of the Netherlands (Eden Netherlands); and certain other Loan Parties from time to time party hereto, as Borrowers, the other Loan Parties party hereto, the Lenders par

AMENDMENT AND RESTATEMENT AGREEMENT Dated as of January 16, 2018 (This Agreement), to the Credit Agreement Dated as of July 14, 2015 (The Existing Credit Agreement), Among NETSCOUT SYSTEMS, INC., a Delaware Corporation (The Borrower), the LENDERS Party Thereto and JPMORGAN CHASE BANK, N.A., as Administrative Agent (In Such Capacity, the Administrative Agent). (January 18th, 2018)

AMENDED AND RESTATED CREDIT AGREEMENT dated as of January 16, 2018 (this Agreement), among NETSCOUT SYSTEMS, INC., as Borrower, the LENDERS from time to time party hereto and JPMORGAN CHASE BANK, N.A., as Administrative Agent.

Hi-Crush Partners LP – Amendment and Restatement Agreement (December 27th, 2017)

This AMENDED AND RESTATED CREDIT AGREEMENT dated as of December 22, 2017 (the Agreement) is among Hi-Crush Partners LP, a Delaware limited partnership (the Borrower), the Lenders (as defined below) and Morgan Stanley Senior Funding, Inc., as Administrative Agent (as defined below) for the Lenders and as Collateral Agent (as defined below) for the Lenders.

TORM plc – Amendment and Restatement Agreement (November 24th, 2017)
Alcoa Upstream Corp – AMENDMENT AND RESTATEMENT AGREEMENT Dated as of November 14, 2017 (This Amendment), Among ALCOA CORPORATION, a Delaware Corporation (Holdings), ALCOA NEDERLAND HOLDING B.V., a Besloten Vennootschap Met Beperkte Aansprakelijkheid Incorporated Under the Laws of the Netherlands (The Borrower), the LENDERS and ISSUERS Party Hereto and JPMORGAN CHASE BANK, N.A. (JPMorgan), as Administrative Agent (In Such Capacity, the Administrative Agent) Under the Revolving Credit Agreement Dated as of September 16, 2016 and as Amended as of October 26, 2016 (As Amended, Supplemented or Otherwise Modified From T (November 16th, 2017)

REVOLVING CREDIT AGREEMENT dated as of September 16, 2016, amended as of October 26, 2016, and amended and restated as of November 14, 2017 (as the same may be amended, modified or supplemented from time to time, the Agreement), among ALCOA CORPORATION, a Delaware corporation (Holdings), ALCOA NEDERLAND HOLDING B.V., a besloten vennootschap met beperkte aansprakelijkheid incorporated under the laws of the Netherlands (the Borrower), the Lenders (such term and each other capitalized term used but not defined herein having the meaning ascribed thereto in Article I), the Issuers, and JPMORGAN CHASE BANK N.A., as Administrative Agent.

TORM plc – Amendment and Restatement Agreement (November 15th, 2017)
EXECUTION VERSION [[3680588]] AMENDMENT AND RESTATEMENT AGREEMENT Dated as of November 15, 2017 (This "Amendment"), Among VECTRUS, INC., an Indiana Corporation ("Holdings"), VECTRUS SYSTEMS CORPORATION, a Delaware Corporation (The "Borrower"), the Other LOAN PARTIES Party Hereto, the LENDERS and ISSUING BANKS Party Hereto and JPMORGAN CHASE BANK, N.A. ("JPMorgan"), as Administrative Agent (In Such Capacity, the "Administrative Agent") Under the Credit Agreement Dated as of September 17, 2014 (As Amended, Supplemented or Otherwise Modified From Time to Time, the "Existing Credit Agreement"), Am (November 15th, 2017)
Amendment and Restatement Agreement (November 2nd, 2017)
Amendment and Restatement Agreement (October 27th, 2017)

Absa Bank Limited (acting through its Corporate and Investment Banking division) and Nedbank Limited (acting through its Corporate and Investment Banking division) as coordinators under the Original USD Facility Agreement (whether acting individually or together, the USD Facility Coordinators)

Third Amendment and Restatement Agreement (October 27th, 2017)

Nedbank Limited (acting through its Corporate and Investment Banking division) as arranger and lender under the Original ZAR Facility Agreement (the Original ZAR Lender)

Amendment and Restatement Agreement (October 26th, 2017)

THIS AGREEMENT originally dated 25 July 2014 and as amended and restated by an amendment and restatement agreement dated 19 June 2017.

AMENDMENT AND RESTATEMENT AGREEMENT Dated as of October 19, 2017 (This "Agreement"), to the Credit Agreement Dated as of April 1, 2014 (As Amended by Amendment No. 1 Dated as of June 1, 2015, the "Existing Credit Agreement"), Among COSTAR GROUP, INC., a Delaware Corporation (The "Borrower"), COSTAR REALTY INFORMATION, INC., a Delaware Corporation (The "Co-Borrower"), the LENDERS Party Thereto and JPMORGAN CHASE BANK, N.A., as Administrative Agent (In Such Capacity, the "Administrative Agent"). (October 25th, 2017)

AMENDED AND RESTATED CREDIT AGREEMENT dated as of October 19, 2017, among COSTAR GROUP, INC., as Borrower, COSTAR REALTY INFORMATION, INC., as Co-Borrower, the LENDERS from time to time party hereto and JPMORGAN CHASE BANK, N.A., as Administrative Agent.

TORM plc – Amendment and Restatement Agreement (October 13th, 2017)
Seadrill Partners LLC – FIFTH AMENDMENT AND RESTATEMENT AGREEMENT Dated 16 August 2017 to the USD 420,000,000 TERM LOAN AND REVOLVING CREDIT FACILITIES AGREEMENT Originally Dated 28 December 2012 and as Later Amended and Amended and Restated Between Seadrill Polaris Ltd. (Previously SFL West Polaris Limited) as Borrower and Seadrill Limited as Retiring Guarantor and Seadrill Partners LLC as Guarantor With the Banks and Financial Institutions Named Herein as Lenders and DNB Bank ASA and Nordea Bank AB, London Branch as Bookrunners and the Banks and Financial Institutions Named Herein as Mandated Lead Arrangers and DNB (August 17th, 2017)
AMENDMENT AND RESTATEMENT AGREEMENT Dated as of July 13, 2017 (July 14th, 2017)

THIS AMENDMENT AND RESTATEMENT AGREEMENT (this "Agreement") is made as of July 13, 2017 by and among Cimpress N.V. (the "Company"), Vistaprint Limited, Cimpress Schweiz GmbH, Vistaprint B.V. and Cimpress USA Incorporated (collectively, the "Subsidiary Borrowers" and, together with the Company, the "Borrowers"), the financial institutions listed on the signature pages hereof (collectively, the "Lenders") and JPMorgan Chase Bank, N.A., in its capacity as administrative agent for the Lenders (the "Administrative Agent"), under that certain Credit Agreement dated as of October 21, 2011, as amended and restated as of February 8, 2013, by and among the Borrowers, the other Subsidiary Borrowers party thereto from time to time, the lenders party thereto and the Administrative Agent (as in effect on the date hereof, the "Existing Credit Agreement"). Capitalized terms used herein and not otherwise defined herein shall have the respective meanings given to them in the Restated Credit Agreement (

Third Global Amendment and Restatement Agreement (July 7th, 2017)

Globalstar, Inc., a corporation duly organised and validly existing under the laws of the State of Delaware, with its principal office located at 300 Holiday Square Boulevard, Covington, LA 70433, United States of America (the "Borrower");

AMENDMENT AND RESTATEMENT AGREEMENT Related to a Super Senior Facilities Agreement Originally Dated 25 July 2014 Dated 19 June 2017 BETWEEN UNITYMEDIA HESSEN GMBH & CO. KG as Original Borrower UNITYMEDIA GMBH UNITYMEDIA BW GMBH UNITYMEDIA HESSEN GMBH & CO. KG UNITYMEDIA HESSEN VERWALTUNG GMBH UNITYMEDIA MANAGEMENT GMBH UNITYMEDIA NRW GMBH UNITYMEDIA FINANCE LLC as Guarantors THE BANK OF NOVA SCOTIA as Facility Agent and CREDIT SUISSE AG, LONDON BRANCH as Security Trustee (June 23rd, 2017)

THIS AGREEMENT originally dated 25 July 2014 and as amended and restated by an amendment and restatement agreement dated 19 June 2017.

Exhibit (10)a. AMENDMENT AND RESTATEMENT AGREEMENT (June 8th, 2017)

SCHUH GROUP LIMITED, a company incorporated in Scotland with registered number SC379625 and having its registered office at 1 Neilson Square, Deans Industrial Estate, Livingston, West Lothian EH54 8RQ (the "Parent");

National Grid Transco Plc – NATIONAL GRID HOLDINGS ONE PLC and QUADGAS INVESTMENTS BIDCO LIMITED and QUADGAS HOLDCO LIMITED and QUADGAS PLEDGECO LIMITED and QUADGAS MIDCO LIMITED AMENDMENT AND RESTATEMENT AGREEMENT Relating to the Acquisition Agreement Relating to the Subscription of Shares in GasD HoldCo and the Acquisition of GasD OpCo and GasD PropCo (As Defined Therein) Dated 8 December 2016 (June 6th, 2017)
Amendment and Restatement Agreement (June 2nd, 2017)

This AMENDMENT AND RESTATEMENT AGREEMENT, dated as of May 23, 2017 (this "Amendment"), is made by and among Sable International Finance Limited and Coral-US Co-Borrower LLC as borrowers (each an "Initial Borrower" and together, the "Initial Borrowers"), the undersigned Guarantors, The Bank of Nova Scotia as the security trustee (the "Security Trustee"), as the administrative agent (the "Administrative Agent"), as the Swing Line Lender and as the L/C Issuer. Unless otherwise defined herein, terms used in this Amendment shall have the meanings and construction given to them in the Existing Credit Agreement (as defined below), unless the context otherwise requires.

AMENDMENT AND RESTATEMENT AGREEMENT Dated as of May 25, 2017 (This Amendment) to the Credit Agreement Dated as of May 20, 2011 (As Amended by the First Amendment Dated as of May 15, 2012, the Second Amendment Dated as of March 31, 2014 and the Third Amendment Dated as of March 3, 2015, and as Further Amended, Restated, Supplemented or Otherwise Modified From Time to Time Prior to the Date Hereof, the Existing Credit Agreement) Among NEWMONT MINING CORPORATION (The Borrower), the Lenders Party Thereto and JPMORGAN CHASE BANK, N.A., as Administrative Agent (In Such Capacity, the Administrative A (May 26th, 2017)

CREDIT AGREEMENT dated as of May 20, 2011, as amended and restated as of May 25, 2017 (this Agreement), among NEWMONT MINING CORPORATION, a Delaware corporation (the Borrower), the Lenders party hereto and JPMORGAN CHASE BANK, N.A., as Administrative Agent.

AMENDMENT AND RESTATEMENT AGREEMENT Dated as of May 11, 2017, Among L BRANDS, INC. (Formerly LIMITED BRANDS, INC.), a Delaware Corporation (The "Company"), the BORROWING SUBSIDIARIES Party Hereto, the LENDERS Party Hereto, and JPMORGAN CHASE BANK, N.A., (A) in Its Capacity as Administrative Agent (In Such Capacity, the "Administrative Agent") Under the Amended and Restated Five-Year Revolving Credit Agreement Dated as of July 18, 2014, as Amended by Amendment No. 1 Thereto Dated as of April 21, 2015 (The "Existing Revolving Credit Agreement"), Among the Company, the Lenders Party Thereto, and (May 17th, 2017)

AMENDED AND RESTATED FIVE-YEAR REVOLVING CREDIT AGREEMENT (the "Agreement") dated as of May 11, 2017, among L BRANDS, INC., a Delaware corporation, the BORROWING SUBSIDIARIES party hereto, the LENDERS party hereto and JPMORGAN CHASE BANK, N.A., as Administrative Agent.

As Amended and Restated by an Amendment and Restatement Agreement Dated 28 June 2013, as Amended by an Amendment Agreement Dated 25 July 2014, as Amended and Restated by an Amendment and Restatement Agreement Dated 5 February 2015, as Amended and Restated by an Amendment and Restatement Agreement Dated 11 November 2015, as Amended by an Amendment Letter Dated 6 June 2016, as Amended by an Amendment Agreement Dated 6 October 2016 and as Amended and Restated by an Amendment and Restatement Agreement Dated 31 March 2017 (May 4th, 2017)

CABOT FINANCIAL LIMITED, a private limited liability company incorporated under the laws of England and Wales with company registration number 5714535 and with its registered office at 1 Kings Hill Avenue, Kings Hill, West Malling, Kent, ME19 4UA (the "Parent");

DATED 21 November 2016 CEMEX, S.A.B. De C.V. As Borrower and Acting as Obligors Agent With CITIBANK EUROPE PLC, UK BRANCH Acting as Agent Amendment and Restatement Agreement in Relation to the Facilities Agreement Dated 29 September 2014, as Amended and Restated on 23 July 2015, 17 March 2016, (April 28th, 2017)
Kenon Holdings Ltd. – Amendment and Restatement Agreement Relating to the Loan Agreement Dated 22 April 2016 (April 19th, 2017)
THIRD AMENDMENT AND RESTATEMENT AGREEMENT Dated as of March 31, 2017 (April 4th, 2017)

This THIRD AMENDED AND RESTATED CREDIT AGREEMENT, dated as of March 31, 2017 is entered into by and among Meritor, Inc. (formerly known as ArvinMeritor, Inc.), an Indiana corporation, as the Company, ArvinMeritor Finance Ireland Unlimited Company, a private unlimited liability company incorporated under the laws of Ireland, as the Subsidiary Borrower, the institutions from time to time parties hereto as Lenders, whether by execution of this Agreement or an Assignment Agreement pursuant to Section 13.3, JPMorgan Chase Bank, N.A., as Administrative Agent for itself and the other Lenders and Bank of America, N.A., Royal Bank of Canada and PNC Bank, National Association, as Co-Syndication Agents.

Net 1 UEPS Technologies, Inc. – FIRST AMENDMENT AND RESTATEMENT AGREEMENT DATED 15 MARCH, 2017 Between NET1 APPLIED TECHNOLOGIES SOUTH AFRICA PROPRIETARY LIMITED (As Borrower) With NET1 UEPS TECHNOLOGIES, INC (As Parent) Arranged by FIRSTRAND BANK LIMITED (ACTING THROUGH ITS RAND MERCHANT BANK DIVISION) (As Mandated Lead Arranger) and FIRSTRAND BANK LIMITED (ACTING THROUGH ITS RAND MERCHANT BANK DIVISION) (As Original Senior Lender) With FIRSTRAND BANK LIMITED (ACTING THROUGH ITS RAND MERCHANT BANK DIVISION) (As Facility Agent) Relating to the Common Terms Agreement, Originally Dated 20 October, 2016 (March 20th, 2017)

Clause Page 1. Interpretation 3 2. Effective Date 5 3. Amendments 5 4. Representations and Warranties 6 5. Guarantees 7 6. Security 7 7. Miscellaneous 8 8. Governing Law 8 9. Counterparts 8 Schedule 1 The Parties 9 Schedule 2 Conditions Precedent 11 Schedule 3

Knot Offshore Partners Lp Commo – DATED 23 OCTOBER 2015 AMENDMENT AND RESTATEMENT AGREEMENT Related to a USD 353,000,000 FACILITIES AGREEMENT Dated 27 April 2015 for KNOT SHUTTLE TANKERS 24 AS KNOT SHUTTLE TANKERS 25 AS KNOT SHUTTLE TANKERS 26 AS as Joint and Several Borrowers With KNUTSEN NYK OFFSHORE TANKERS AS as Guarantor Arranged by ABN AMRO BANK N.V., OSLO BRANCH THE BANK OF TOKYO-MITSUBISHI UFJ, LTD. COMMBANK EUROPE LIMITED DNB BANK ASA MIZUHO BANK, LTD. NORDEA BANK NORGE ASA Acting as Mandated Lead Arrangers and Bookrunners With THE FINANCIAL INSTITUTIONS Listed in Schedule 1 (The Original Lenders) Acting as Original L (March 17th, 2017)