Bank 2020-Bnk30 Sample Contracts

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MORTGAGE LOAN PURCHASE AGREEMENT
Mortgage Loan Purchase Agreement • December 22nd, 2020 • Bank 2020-Bnk30 • Asset-backed securities • New York

This Mortgage Loan Purchase Agreement (this “Agreement”), is dated and effective as of December 11, 2020, between Wells Fargo Bank, National Association, as seller (in such capacity, together with its successors and permitted assigns hereunder, the “Mortgage Loan Seller” or “Seller”), and Banc of America Merrill Lynch Commercial Mortgage Inc., as purchaser (in such capacity, together with its successors and permitted assigns hereunder, the “Purchaser”).

Second amended and restated SERVICING AGREEMENT
Servicing Agreement • November 2nd, 2021 • Bank 2020-Bnk30 • Asset-backed securities • New York

This SECOND AMENDED AND RESTATED SERVICING AGREEMENT, effective as of October 31, 2021 (including the Exhibit and Annexes attached hereto, this “Agreement”), among Wells Fargo Bank, N.A. (“Wells Bank”) and Wells Fargo Delaware Trust Company, N.A. (“Wells Trust Company,” and together with Wells Bank, the “Sellers” and each, a “Seller”), Computershare Trust Company, N.A. (the “Bank Assets Purchaser”) and, upon execution of the Joinder Agreement, the Delaware Trust Assets Purchaser (together with the Bank Assets Purchaser, the “Purchasers” and each, a “Purchaser”), and Computershare Limited (“Guarantor”) (solely for purposes of Section 9.5).

AGREEMENT BETWEEN NOTEHOLDERS Dated as of May 21, 2020 by and among GOLDMAN SACHS BANK USA (Initial Note A-1-1 Holder, Initial Note A-1-2 Holder, Initial Note A-1-3 Holder, Initial Note A-1-4 Holder, Initial Note A-1-5 Holder, Initial Note A-1-6...
Agreement Between Noteholders • December 22nd, 2020 • Bank 2020-Bnk30 • Asset-backed securities • New York

THIS AGREEMENT BETWEEN NOTEHOLDERS, dated as of May 21, 2020 by and between GOLDMAN SACHS BANK USA (together with its successors and assigns in interest, “GSBI”), a New York state-chartered bank (in its capacity as initial owner of Note A-1-1, Note A-1-2, Note A-1-3, Note A-1-4, Note A-1-5, Note A-1-6, Note A-1-7, Note A-1-8, Note A-1-9, Note A-1-10, Note A-1-11, Note A-1-12, Note A-1-13, Note A-1-14, Note A-1-15, Note A-1-16 and Note A-1-17, the “Initial Note A-1 Holder”, and in its capacity as the initial agent, the “Initial Agent”), and BANK OF AMERICA, N.A. (together with its successors and assigns in interest, “BANA”), a national banking association (in its capacity as initial owner of Note A-2-1, Note A-2-2, Note A-2-3 and Note A-2-4, the “Initial Note A-2 Holder” and together with the Initial Note A-1 Holder, the “Initial Noteholders”).

CO-LENDER AGREEMENT Dated as of November 18, 2020 by and among BANK OF AMERICA, NATIONAL ASSOCIATION (an Initial Note A Holder), JPMORGAN CHASE BANK, NATIONAL ASSOCIATION (an Initial Note A Holder), COLUMN FINANCIAL, INC. (an Initial Note A Holder),...
Co-Lender Agreement • December 22nd, 2020 • Bank 2020-Bnk30 • Asset-backed securities • New York

This CO-LENDER AGREEMENT (together with the exhibits and schedules hereto and all amendments hereof and supplements hereto, this “Agreement”) is dated as of November 18, 2020, among BANK OF AMERICA, NATIONAL ASSOCIATION (“BANA”) as an Initial Note A Holder, JPMORGAN CHASE BANK, NATIONAL ASSOCIATION (“JPMCB”), as an Initial Note A Holder, as an Initial Note A Holder, COLUMN FINANCIAL, INC. (“Column”), DBR INVESTMENTS CO. LIMITED (“DBRI”), as an Initial Note A Holder, BANA, as Initial Note B-1 Holder, JPMCB, as Initial Note B-2 Holder, Column, as Initial Note B-3 Holder and DBRI, as Initial Note B-4 Holder.

INTERCREDITOR AGREEMENT Dated as of November 23, 2020 by and between MORGAN STANLEY bank, N.A., (Note A-1 Holder, Note A-2- Holder, Note A-3 Holder, Note A-4 Holder and Note A-5 Holder) SUN LIFE ASSURANCE COMPANY OF CANADA, (Note B-1 Holder) SUN LIFE...
Intercreditor Agreement • December 22nd, 2020 • Bank 2020-Bnk30 • Asset-backed securities • New York

This INTERCREDITOR AGREEMENT (this “Agreement”), dated as of November 23, 2020, by and between MORGAN STANLEY BANK, N.A. (“Morgan Stanley Bank”), as holder of Note A-1 (in such capacity, together with its successors and assigns, the “Note A-1 Holder”), Morgan Stanley Bank, as holder of Note A-2 (in such capacity, together with its successors and assigns, the “Note A-2 Holder”), Morgan Stanley Bank, as holder of Note A-3 (in such capacity, together with its successors and assigns, the “Note A-3 Holder”), Morgan Stanley Bank, as holder of Note A-4 (in such capacity, together with its successors and assigns, the “Note A-4 Holder”), Morgan Stanley Bank, as holder of Note A-5 (in such capacity, together with its successors and assigns, the “Note A-5 Holder” and, together with the Note A-1 Holder, the Note A-2 Holder, the Note A-3 Holder and the Note A-4 Holder, the “Note A Holders”), SUN LIFE ASSURANCE COMPANY OF CANADA, as holder of Note B-1 (in such capacity, together with its successors

AMENDED AND RESTATED AGREEMENT BETWEEN NOTEHOLDERS Dated as of May 18, 2021 by and among BANK OF AMERICA, N.A. (as the Holder of each Note A identified as owned by it herein) WILMINGTON TRUST, NATIONAL ASSOCIATION, AS TRUSTEE FOR THE BENEFIT OF THE...
And Restated Agreement • May 19th, 2021 • Bank 2020-Bnk30 • Asset-backed securities • New York

THIS AGREEMENT BETWEEN NOTEHOLDERS (“Agreement”), dated as of May 18, 2021, by and between BANK OF AMERICA, N.A., a national banking association (“BANA” and, together with its successors and assigns in interest, in its capacity as the owner of the Note A-1, the “Note A-1 Holder”, in its capacity as the owner of the Note A-12, the “Note A-12 Holder”, in its capacity as the owner of the Note A-14, the “Note A-14 Holder”, and in its capacity as the owner of the Note A-15, the “Note A-15 Holder”), WILMINGTON TRUST, NATIONAL ASSOCIATION, AS TRUSTEE FOR THE BENEFIT OF THE REGISTERED HOLDERS OF BANK 2020-BNK30, COMMERCIAL MORTGAGE PASS-THROUGH CERTIFICATES, SERIES 2020-BNK30 (“BANK 2020-BNK30” and, together with its successors an assigns in interest, in its capacity as the owner of the Note A-3, the “Note A-3 Holder”, and in its capacity as the owner of the Note A-6, the “Note A-6 Holder”), WILMINGTON TRUST, NATIONAL ASSOCIATION, AS TRUSTEE FOR THE BENEFIT OF THE REGISTERED HOLDERS OF BANK 20

BANK 2020-BNK30 COMMERCIAL MORTGAGE PASS-THROUGH CERTIFICATES, SERIES 2020-BNK30 UNDERWRITING AGREEMENT As of December 11, 2020
Underwriting Agreement • December 22nd, 2020 • Bank 2020-Bnk30 • Asset-backed securities • New York

Banc of America Merrill Lynch Commercial Mortgage Inc., a Delaware corporation (the “Depositor”), intends to issue its BANK 2020-BNK30, Commercial Mortgage Pass-Through Certificates, Series 2020-BNK30 (the “Certificates”), in forty (40) classes and interests (each, a “Class”) as designated in the Prospectus (as defined below). Pursuant to this underwriting agreement (the “Agreement”), the Depositor further proposes to sell to BofA Securities, Inc. (“BofA Securities”), Wells Fargo Securities, LLC (“Wells Fargo Securities”), Morgan Stanley & Co. LLC (“MS&Co.”), Academy Securities, Inc. (“Academy”) and Drexel Hamilton, LLC (“Drexel” and, collectively with BofA Securities, Wells Fargo Securities, MS&Co. and Academy, the “Underwriters” and each, individually, an “Underwriter”) the Certificates set forth in Schedule I hereto (the “Registered Certificates”) in the respective original principal amounts and notional amounts set forth in Schedule I. The Certificates represent in the aggregate th

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