Contract Agreement Sample Contracts

FS Credit Real Estate Income Trust, Inc. – FIRST Amendment to UNCOMMITTED Master Repurchase and Securities Contract Agreement (June 11th, 2018)

This FIRST Amendment to UNCOMMITTED Master Repurchase and Securities Contract Agreement (this "Amendment"), dated as of June 6, 2018, is by and between GOLDMAN SACHS BANK USA, a New York state-chartered bank, as buyer ("Buyer"), and FS CREIT FINANCE GS-1 LLC, a Delaware limited liability company, as seller ("Seller"). Capitalized terms used but not otherwise defined herein shall have the meanings given to them in the Master Repurchase Agreement (as defined below).

TPG RE Finance Trust, Inc. – FOURTH Amendment to Master Repurchase and Securities Contract Agreement (May 7th, 2018)

This Fourth Amendment to the Master Repurchase and Securities Contract Agreement (this "Amendment"), dated as of February 14, 2018, is by and between GOLDMAN SACHS BANK USA, a New York state-chartered bank, as buyer ("Buyer"), and TPG RE FINANCE 2, LTD., an exempted company incorporated with limited liability under the laws of the Cayman Islands ("Seller"). Capitalized terms used but not otherwise defined herein shall have the meanings given to them in the Master Repurchase Agreement (as defined below).

TPG RE Finance Trust, Inc. – FOURTH Amendment to Master Repurchase and Securities Contract Agreement (May 7th, 2018)

This FOURTH Amendment to Master Repurchase and Securities Contract Agreement (this "Amendment"), dated as of February 14, 2018, is by and between MORGAN STANLEY BANK, N.A., a national banking association, as buyer ("Buyer"), and TPG RE FINANCE 12, LTD., an exempted company incorporated with limited liability under the laws of the Cayman Islands with registered number 301503, as seller ("Seller").

TPG RE Finance Trust, Inc. – Fifth Amendment to Master Repurchase and Securities Contract Agreement (May 7th, 2018)

This FIFTH AMENDMENT TO MASTER REPURCHASE AND SECURITIES CONTRACT AGREEMENT, dated as of May 4, 2018 (this "Amendment"), is made by and between TPG RE FINANCE 12, LTD., a Cayman Islands exempted company ("Seller"), and MORGAN STANLEY BANK, N.A., a national banking association ("Buyer"). Capitalized terms used but not otherwise defined herein shall have the meanings given to them in the Repurchase Agreement (as defined below).

TPG RE Finance Trust, Inc. – Fifth Amendment to Master Repurchase and Securities Contract Agreement (May 7th, 2018)

This FIFTH AMENDMENT TO MASTER REPURCHASE AND SECURITIES CONTRACT AGREEMENT, dated as of May 4, 2018 (this "Amendment"), is made by and between TPG RE FINANCE 2, LTD., a Cayman Islands exempted company ("Seller"), and GOLDMAN SACHS BANK USA, a New York state-chartered bank ("Buyer"). Capitalized terms used but not otherwise defined herein shall have the meanings given to them in the Repurchase Agreement (as defined below).

Colony NorthStar Credit Real Estate, Inc. – AMENDED AND RESTATED MASTER REPURCHASE AND SECURITIES CONTRACT AGREEMENT Among MORGAN STANLEY BANK, N.A. As Buyer and MS LOAN NT-I, LLC, MS LOAN NT-II, LLC, CLNC CREDIT 1, LLC and CLNC CREDIT 2, LLC (April 25th, 2018)

This Amended and Restated Master Repurchase and Securities Contract Agreement (this "Agreement") is dated as of April 20, 2018 and is made by and among MORGAN STANLEY BANK, N.A., as buyer ("Buyer") and MS LOAN NT-I, LLC, a Delaware limited liability company ("NT-I"), MS LOAN NT-II, LLC, a Delaware limited liability company ("NT-II"), CLNC CREDIT 1, LLC, a Delaware limited liability company ("Credit 1"), and CLNC CREDIT 2, LLC, a Delaware limited liability company ("Credit 2", and together with NT-I, NT-II and Credit 1, individually or collectively, as the context may require, "Seller").

TPG RE Finance Trust, Inc. – THIRD Amendment to Master Repurchase and Securities Contract Agreement (February 26th, 2018)

This THIRD Amendment to Master Repurchase and Securities Contract Agreement (this "Amendment"), dated as of December 27, 2017, is by and between MORGAN STANLEY BANK, N.A., a national banking association, as buyer ("Buyer"), and TPG RE FINANCE 12, LTD., an exempted company incorporated with limited liability under the laws of the Cayman Islands with registered number 301503, as seller ("Seller").

FS Credit Real Estate Income Trust, Inc. – Uncommitted Master Repurchase and Securities Contract Agreement (February 1st, 2018)

THIS UNCOMMITTED MASTER REPURCHASE AND SECURITIES CONTRACT AGREEMENT (this "Agreement"), dated as of January 26, 2018, by and between GOLDMAN SACHS BANK USA, a New York state-chartered bank ("Buyer") and FS CREIT Finance GS-1 LLC, a Delaware limited liability company ("Seller").

TPG RE Finance Trust, Inc. – SECOND Amendment to Master Repurchase and Securities Contract Agreement (August 24th, 2017)

This SECOND Amendment to Master Repurchase and Securities Contract Agreement (this "Amendment"), dated as of July 21, 2017, is by and between MORGAN STANLEY BANK, N.A., a national banking association, as buyer ("Buyer"), and TPG RE FINANCE 12, LTD., an exempted company incorporated with limited liability under the laws of the Cayman Islands with registered number 301503, as seller ("Seller").

Granite Point Mortgage Trust Inc. – First Amendment to Master Repurchase and Securities Contract Agreement (July 5th, 2017)

THIS FIRST AMENDMENT TO MASTER REPURCHASE AND SECURITIES CONTRACT AGREEMENT (this Amendment), dated as of June 28, 2017, is by and between GOLDMAN SACHS BANK USA, a New York state-chartered bank, as buyer (Buyer), and TH COMMERCIAL GS LLC, a Delaware limited liability company, as seller (Seller).

Granite Point Mortgage Trust Inc. – Third Amendment to Master Repurchase and Securities Contract Agreement (July 5th, 2017)

THIS THIRD AMENDMENT TO MASTER REPURCHASE AND SECURITIES CONTRACT AGREEMENT (this Amendment), dated as of June 28, 2017, is by and between MORGAN STANLEY BANK, N.A., a national banking association, as buyer (Buyer), and TH COMMERCIAL MS II, LLC, a Delaware limited liability company, as seller (Seller).

TPG RE Finance Trust, Inc. – Third Amendment to Master Repurchase and Securities Contract Agreement (June 21st, 2017)

This Third Amendment to the Master Repurchase and Securities Contract Agreement (this Amendment), dated as of June 12, 2017, is by and between GOLDMAN SACHS BANK USA, a New York state-chartered bank, as buyer (Buyer), and TPG RE FINANCE 2, LTD., an exempted company incorporated with limited liability under the laws of the Cayman Islands (Seller). Capitalized terms used but not otherwise defined herein shall have the meanings given to them in the Master Repurchase Agreement (as defined below).

Granite Point Mortgage Trust Inc. – MASTER REPURCHASE AND SECURITIES CONTRACT AGREEMENT Between TH COMMERCIAL GS LLC, as Seller, and GOLDMAN SACHS BANK USA, as Buyer Dated: May 2, 2017 (June 15th, 2017)

THIS MASTER REPURCHASE AND SECURITIES CONTRACT AGREEMENT (this Agreement), dated as of May 2, 2017, by and between GOLDMAN SACHS BANK USA, a New York state-chartered bank (Buyer) and TH COMMERCIAL GS LLC, a Delaware limited liability company (Seller).

Granite Point Mortgage Trust Inc. – MASTER REPURCHASE AND SECURITIES CONTRACT AGREEMENT Among MORGAN STANLEY BANK, N.A. As Buyer and TH COMMERCIAL MS II, LLC as Seller (June 15th, 2017)

This Master Repurchase and Securities Contract Agreement (this Agreement) is dated as of February 18, 2016, and is made by and among MORGAN STANLEY BANK, N.A., as buyer (together with its successors and assigns, Buyer) and TH COMMERCIAL MS II, LLC, a Delaware limited liability company, as seller (Seller).

TPG RE Finance Trust, Inc. – MASTER REPURCHASE AND SECURITIES CONTRACT AGREEMENT Between TPG RE FINANCE 2, LTD., as Seller, and GOLDMAN SACHS BANK USA, as Buyer Paul Hastings LLP 75 East 55th Street New York, NY 10022 Dated: August 19, 2015 (April 25th, 2017)

THIS MASTER REPURCHASE AND SECURITIES CONTRACT AGREEMENT (this Agreement), dated as of August 19, 2015, by and between GOLDMAN SACHS BANK USA, a New York state-chartered bank (Buyer) and TPG RE FINANCE 2, LTD., an exempted company incorporated with limited liability under the laws of the Cayman Islands with registered number ###### (Seller).

KKR Real Estate Finance Trust Inc. – MASTER REPURCHASE AND SECURITIES CONTRACT AGREEMENT Among MORGAN STANLEY BANK, N.A. As Buyer and KREF LENDING IV LLC as Seller (April 3rd, 2017)

This Master Repurchase and Securities Contract Agreement (this Agreement) is dated as of December 6, 2016, and is made between MORGAN STANLEY BANK, N.A., as buyer (together with its successors and assigns, Buyer) and KREF Lending IV LLC, a Delaware limited liability company, as seller (Seller).

KKR Real Estate Finance Trust Inc. – MASTER REPURCHASE AND SECURITIES CONTRACT AGREEMENT Among MORGAN STANLEY BANK, N.A. As Buyer and KREF LENDING IV LLC as Seller (March 10th, 2017)

This Master Repurchase and Securities Contract Agreement (this Agreement) is dated as of December 6, 2016, and is made between MORGAN STANLEY BANK, N.A., as buyer (together with its successors and assigns, Buyer) and KREF Lending IV LLC, a Delaware limited liability company, as seller (Seller).

Glolex, Inc. – Marketing Consulting and Independent Contract Agreement (January 12th, 2017)

AGREEMENT (this "Agreement"), made us of this 5 day of January of 2017 by and between GLOLEX INC. Unit 9647, 13 Freeland Park Wareham Road, Poole BH16 6F, United Kingdom and OOO HAMURABI of Karla Marksa St. 6, Unit 48, Minsk 223022, Republic of Belarus.

NorthStar Real Estate Income Trust, Inc. – MASTER REPURCHASE AND SECURITIES CONTRACT AGREEMENT Among (October 19th, 2015)

This Master Repurchase and Securities Contract Agreement (this "Agreement") is dated as of October 13, 2015 and is made by and among MORGAN STANLEY BANK, N.A., as buyer ("Buyer") and MS LOAN NT-I, LLC, a Delaware limited liability company, as seller ("Seller").

MASTER REPURCHASE AND SECURITIES CONTRACT AGREEMENT Among MORGAN STANLEY BANK, N.A. As Buyer and RCC REAL ESTATE SPE 6, LLC as Seller (September 16th, 2015)

This Master Repurchase and Securities Contract Agreement (this Agreement) is dated as of September 10, 2015, and is made by and among MORGAN STANLEY BANK, N.A., as buyer (together with its successors and assigns, Buyer) and RCC REAL ESTATE SPE 6, LLC, a Delaware limited liability company, as seller (Seller).

LoanCore Realty Trust, Inc. – MASTER REPURCHASE and Securities Contract AGREEMENT (June 22nd, 2015)

This Master Repurchase and Securities Contract Agreement (this Agreement) is dated as of June 15, 2015 and is made by and among MORGAN STANLEY BANK, N.A., as buyer (together with its successors and permitted assigns, Buyer) and LCRT Warehouse II LLC, a Delaware limited liability company, as seller (Seller).

NorthStar Real Estate Income II, Inc. – MASTER REPURCHASE AND SECURITIES CONTRACT AGREEMENT Among MORGAN STANLEY BANK, N.A. As Buyer and MS LOAN NT-II, LLC as Seller (June 11th, 2015)

This Master Repurchase and Securities Contract Agreement (this "Agreement") is dated as of June 5, 2015 and is made by and among MORGAN STANLEY BANK, N.A., as buyer ("Buyer") and MS LOAN NT-II, LLC, a Delaware limited liability company, as seller ("Seller").

Green Meadow Products, Inc. – Contract (January 12th, 2015)
Green Meadow Products, Inc. – Contract Agreement (January 12th, 2015)

A] EWH Desires to contract with GM for the non exclusive sub-licensing rights for the Green Meadow pet pain relief formula for dogs and cats for the territory of the United States with the exception of Virginia and North Carolina..

Green Meadow Products, Inc. – Contract (January 12th, 2015)
Green Meadow Products, Inc. – Contract Agreement (January 12th, 2015)

A] SE Desires to contract with GM for the Distribution rights to the Green Meadow pet pain relief formula for the states of Virginia and North Carolina.

Green Meadow Products, Inc. – Contract Agreement (January 12th, 2015)

A] MH Desires to contract with GM for the International Licensing Rights (exclusive of Central America and South America) for GM's product, "The PawPal" and to GM's pain relief formula for pets.

Green Meadow Products, Inc. – Contract (January 12th, 2015)
Green Meadow Products, Inc. – Contract (January 12th, 2015)
Green Meadow Products, Inc. – Contract Agreement (January 12th, 2015)

A] W4Y Desires to contract with GM for the Licensing Rights in Central America and South America to GM's pain relief formula for pets.

Contract Agreement (December 15th, 2014)

BETWEEN Quotient Suisse SA whose registered office is at Business Park Terre Bonne, Route de Crassier 13, 1262 Eysins, Switzerland (the Employer)

Green Meadow Products, Inc. – Contract (December 5th, 2014)
Blue Sky Media – Contract Agreement (November 14th, 2014)

NOW THEREFORE WITNESSETH that in consideration of the recitals and mutual promises, covenants and conditions, representations and warranties outlined herein, the parties by their signatures attached herewith agree to the following:

Blue Sky Media – Contract Agreement (November 14th, 2014)

NOW THEREFORE WITNESSETH that in consideration of the recitals and mutual promises, covenants and conditions, representations and warranties outlined herein, the parties by their signatures attached herewith agree to the following:

PURCHASE CONTRACT AGREEMENT Dated as of August 5, 2014 Between TYSON FOODS, INC. And THE BANK OF NEW YORK MELLON TRUST COMPANY, N.A., as Purchase Contract Agent, as Attorney-In-Fact for the Holders From Time to Time as Provided Herein and as Trustee Under the Indenture Referred to Herein (August 5th, 2014)

PURCHASE CONTRACT AGREEMENT, dated as of August 5, 2014 between TYSON FOODS, INC., a Delaware corporation (the Company) and The Bank of New York Mellon Trust Company, N.A., a national banking association acting as purchase contract agent and attorney-in-fact for the Holders of Purchase Contracts (as defined herein) from time to time (the Purchase Contract Agent) and as trustee under the Indenture (as defined herein).