Ryland Group Inc Sample Contracts

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RESTATED LOAN AND SECURITY AGREEMENT
Loan and Security Agreement • August 12th, 1999 • Ryland Group Inc • Operative builders
W I T N E S S E T H
Revolving Credit Agreement • August 14th, 2000 • Ryland Group Inc • Operative builders • Illinois
TERMS AGREEMENT ---------------
Terms Agreement • August 16th, 2001 • Ryland Group Inc • Operative builders • New York
between ASSOCIATES MORTGAGE FUNDING CORPORATION, as a borrower
Loan and Security Agreement • March 26th, 1996 • Ryland Group Inc • Operative builders
3/02 AMENDMENT (THE NINTH AMENDMENT) DATED AS OF MARCH 29, 2002 TO
Loan Agreement • May 15th, 2002 • Ryland Group Inc • Operative builders
REQUIRED-- OFFICE BUILDING LEASE
Work Letter Agreement • March 27th, 2000 • Ryland Group Inc • Operative builders • California
U.S. $300,000,000 CREDIT AGREEMENT Dated as of November 21, 2014 Among THE RYLAND GROUP, INC. as Borrower and THE INITIAL LENDERS NAMED HEREIN as Initial Lenders and CITIBANK, N.A. as Administrative Agent and JPMORGAN CHASE BANK, N.A. as Syndication...
Credit Agreement • November 25th, 2014 • Ryland Group Inc • Operative builders • New York

THE RYLAND GROUP, INC., a Maryland corporation (the “Borrower”), the banks, financial institutions and other institutional lenders (the “Initial Lenders”) and issuers of letters of credit (“Initial Issuing Banks”) listed on Schedule I hereto, and CITIBANK, N.A. (“Citibank”), as agent (the “Agent”) for the Lenders (as hereinafter defined), agree as follows:

RIGHTS AGREEMENT dated as of December 18, 2008 between THE RYLAND GROUP, INC. and AMERICAN STOCK TRANSFER & TRUST COMPANY, LLC as Rights Agent
Rights Agreement • December 29th, 2008 • Ryland Group Inc • Operative builders • Maryland

RIGHTS AGREEMENT, dated as of December 18, 2008 (the “Agreement”), between The Ryland Group, Inc., a Maryland corporation (the “Company”), and American Stock Transfer & Trsut Company, LLC (the “Rights Agent”).

Security Agreement
Security Agreement • April 28th, 2014 • Ryland Group Inc • Operative builders • Michigan

As of April 24, 2014, for value received, the undersigned (“Debtor”) pledges, assigns and grants to Comerica Bank (“Bank”), whose address is 39200 Six Mile Road, Livonia, Michigan 48152, Attention: Commercial Loan Documentation, Mail Code 7578, a continuing security interest and lien (any pledge, assignment, security interest or other lien arising hereunder is sometimes referred to herein as a “security interest”) in the Collateral (as defined below) to secure payment when due, whether by stated maturity, demand, acceleration or otherwise, of all existing and future indebtedness (“Indebtedness”) to the Bank of RMC MORTGAGE CORPORATION, a California corporation (“Borrower”) and/or Debtor. Indebtedness includes without limit any and all obligations or liabilities of the Borrower and/or Debtor to the Bank, whether absolute or contingent, direct or indirect, voluntary or involuntary, liquidated or unliquidated, joint or several, known or unknown; any and all obligations or liabilities for

MASTER REPURCHASE AGREEMENT
Master Repurchase Agreement • December 20th, 2011 • Ryland Group Inc • Operative builders • New York
and
Rights Agreement • October 24th, 1996 • Ryland Group Inc • Operative builders • Maryland
THE RYLAND GROUP, INC. (a Maryland corporation)
Terms Agreement • May 20th, 2013 • Ryland Group Inc • Operative builders • New York

Reference is made to The Ryland Group, Inc. Convertible Debt Securities Fifth Amended and Restated Underwriting Agreement Basic Provisions, dated May 14, 2013 (the “Underwriting Agreement”). This Agreement is the Terms Agreement referred to in the Underwriting Agreement. We offer to purchase, on and subject to the terms and conditions of the Underwriting Agreement, the following securities (“Securities”) on the following terms:

THE RYLAND GROUP, INC. Debt Securities Third Amended and Restated Underwriting Agreement Basic Provisions April 15, 2010
Ryland Group Inc • April 16th, 2010 • Operative builders • New York

The basic provisions set forth herein are intended to be incorporated by reference in a terms agreement (a “Terms Agreement”) of the type referred to in Section 2 hereof. With respect to any particular Terms Agreement, the Terms Agreement, together with the provisions hereof incorporated therein by reference, is herein referred to as this “Agreement” and all references herein to the “Terms Agreement” shall refer to each respective Terms Agreement. Terms defined in the Terms Agreement are used herein as therein defined. The term “Representative,” as used herein, means the Underwriter or Underwriters (as defined below) named in a Terms Agreement as Representative or Representatives. If no Underwriter or Underwriters are named in the Terms Agreement as Representative or Representatives, then the terms “Underwriters” and “Representatives” as used herein shall mean the Underwriter (if only one) or all Underwriters (if more than one) listed in such Terms Agreement.

3/01 AMENDMENT (THE EIGHTH AMENDMENT)
Repurchase Financing Agreement • May 11th, 2001 • Ryland Group Inc • Operative builders
OFFICE LEASE AGREEMENT PERIMETER GATEWAY III
Office Lease Agreement • November 5th, 2012 • Ryland Group Inc • Operative builders • Arizona

THIS OFFICE LEASE AGREEMENT (“Lease”) is entered into and shall be effective as of August 11, 2011 (“Effective Date”), by and between: (i) DTR10, L.L.C., an Arizona limited liability company (“Landlord”); and (ii) THE RYLAND GROUP, INC., a Maryland corporation (“Tenant”).

CREDIT AGREEMENT DATED AS OF JANUARY 12, 2006 AMONG THE RYLAND GROUP, INC., THE LENDERS, JPMORGAN CHASE BANK, N.A., AS AGENT, BANK OF AMERICA, N.A. AND WACHOVIA BANK, NATIONAL ASSOCIATION, AS SYNDICATION AGENTS AND SUNTRUST BANK, AND THE ROYAL BANK OF...
Credit Agreement • August 4th, 2009 • Ryland Group Inc • Operative builders • New York

This Agreement, dated as of January 12, 2006, is among The Ryland Group, Inc., a Maryland corporation, the Lenders and JPMorgan Chase Bank, N.A., as Agent. The parties hereto agree as follows:

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OPERATING AGREEMENT OF A DELAWARE LIMITED LIABILITY COMPANY
Operating Agreement • December 20th, 2004 • Ryland Group Inc • Operative builders • Delaware

This Operating Agreement (the “Agreement”) is made effective as of, by and among and those Persons (the “Members”) identified in Exhibit A.

AGREEMENT, dated 3/1/2012, between THE RYLAND GROUP, INC. (the “Corporation”) and (the “Optionee”).
Qualified Stock Option Agreement • October 2nd, 2012 • Ryland Group Inc • Operative builders

WHEREAS, pursuant to The Ryland Group, Inc. 2011 Equity and Incentive Plan (the “Plan”), which is amended effective October 1, 2012, the Board of Directors wishes to provide participation in the appreciated equity value of the Corporation by providing the Optionee with a grant of non-qualified stock options related to Ryland Common Stock (“Common Stock”), and thereby increase the Optionee’s proprietary interest in the success of the Corporation; and

as Trustee SIXTH SUPPLEMENTAL INDENTURE DATED AS OF APRIL 29, 2010 TO INDENTURE DATED AS OF JUNE 28, 1996 Relating To
Indenture • April 29th, 2010 • Ryland Group Inc • Operative builders • New York

SIXTH SUPPLEMENTAL INDENTURE, dated as of April 29, 2010 (the “Supplemental Indenture”), to the Indenture (defined below) among The Ryland Group, Inc. (the “Company”), a Maryland corporation, each of the Subsidiary Guarantors named herein (the “Subsidiary Guarantors”), and The Bank of New York Mellon Trust Company, N.A. (as successor to JPMorgan Chase Bank, N.A. f/k/a Chemical Bank), as trustee (the “Trustee”).

THE RYLAND GROUP, INC., as Issuer, THE SUBSIDIARY GUARANTORS NAMED HEREIN and THE BANK OF NEW YORK MELLON TRUST COMPANY, N.A. (as successor to JPMorgan Chase Bank, N.A. f/k/a Chemical Bank), as Trustee NINTH SUPPLEMENTAL INDENTURE DATED AS OF MAY 20,...
Indenture • May 20th, 2013 • Ryland Group Inc • Operative builders • New York

NINTH SUPPLEMENTAL INDENTURE, dated as of May 20, 2013 (the “Supplemental Indenture”), to the Indenture (defined below) among The Ryland Group, Inc. (the “Company”), a Maryland corporation, each of the Subsidiary Guarantors named herein (the “Subsidiary Guarantors”), and The Bank of New York Mellon Trust Company, N.A. (as successor to JPMorgan Chase Bank, N.A. f/k/a Chemical Bank), as trustee (the “Trustee”).

FOURTH AMENDMENT TO CREDIT AGREEMENT
Credit Agreement • February 25th, 2009 • Ryland Group Inc • Operative builders • New York

This FOURTH AMENDMENT TO CREDIT AGREEMENT (“Amendment”), dated as of January 22, 2009, among THE RYLAND GROUP, INC., a Maryland corporation (the “Borrower”), the Lenders that are identified on the signature pages hereto and JPMORGAN CHASE BANK, N.A., as Agent (the “Agent”).

Amended and Restated STOCK UNIT AGREEMENT
Stock Unit Agreement • April 18th, 2006 • Ryland Group Inc • Operative builders

This Amended and Restated STOCK UNIT AGREEMENT (the “Agreement”), is dated as of April 20, 2006, by and between The Ryland Group, Inc. (the “Corporation”), and (the “Executive”), and amends and restates in its entirety the Stock Unit Agreement, dated as of May 1, 2005, between the Corporation and the Executive.

AMENDMENT NO. 1 TO THE AMENDED AND RESTATED EMPLOYMENT AGREEMENT BY AND BETWEEN THE RYLAND GROUP, INC. AND R. CHAD DREIER.
Employment Agreement • February 25th, 2009 • Ryland Group Inc • Operative builders

The Ryland Group, Inc. (the “Company”) and R. Chad Dreier (the “Executive”) wish to amend the Employment Agreement originally dated as of July 1, 2002, and subsequently amended and restated as of April 20, 2005, in order to comply with the final Regulations issued under Internal Revenue Code section 409A.

OFFICE LEASE for Scottsdale Technology Center 14455, 14555, 14505 North Hayden Road Scottsdale, Arizona 85260 IDS LIFE INSURANCE COMPANY A MINNESOTA CORPORATION Landlord and RYLAND MORTGAGE COMPANY AN OHIO CORPORATION Dated March 18, 1999
Office Lease • February 24th, 2006 • Ryland Group Inc • Operative builders

THIS OFFICE LEASE (the "Lease") is entered into by Landlord and Tenant as described in the following Basic Lease Information as of the Date which is set forth for reference only in the following Basic Lease Information.

AMENDMENT NO. 1 TO STOCK UNIT AGREEMENT
Stock Unit Agreement • February 25th, 2009 • Ryland Group Inc • Operative builders

The STOCK UNIT AGREEMENT (the “Agreement”), dated as of [________________], by and between The Ryland Group, Inc. (the “Corporation”), and [__________________] (the “Executive”), is amended to comply with the requirements of Internal Revenue Code section 409A.

THE RYLAND GROUP, INC., as Issuer, THE SUBSIDIARY GUARANTORS NAMED HEREIN and THE BANK OF NEW YORK MELLON TRUST COMPANY, N.A. (as successor to JPMorgan Chase Bank, N.A. f/k/a Chemical Bank), as Trustee EIGHTH SUPPLEMENTAL INDENTURE DATED AS OF...
Eighth Supplemental Indenture • September 21st, 2012 • Ryland Group Inc • Operative builders • New York

EIGHTH SUPPLEMENTAL INDENTURE, dated as of September 21, 2012 (the “Supplemental Indenture”), to the Indenture (defined below) among The Ryland Group, Inc. (the “Company”), a Maryland corporation, each of the Subsidiary Guarantors named herein (the “Subsidiary Guarantors”), and The Bank of New York Mellon Trust Company, N.A. (as successor to JPMorgan Chase Bank, N.A. f/k/a Chemical Bank), as trustee (the “Trustee”).

AMENDED AND RESTATED EMPLOYMENT AGREEMENT (Amended and Restated as of April 20, 2005)
Employment Agreement • May 4th, 2005 • Ryland Group Inc • Operative builders • Maryland

THIS DREIER SUPPLEMENTAL EXECUTIVE RETIREMENT PLAN II (this “Agreement”) is entered into as of January 1, 2005 between the Ryland Group, Inc. (the “Company”) and R. Chad Dreier (the “Participant”).

THE RYLAND GROUP, INC. (a Maryland corporation)
Terms Agreement • January 11th, 2005 • Ryland Group Inc • Operative builders • New York

Reference is made to The Ryland Group, Inc. Amended and Restated Underwriting Agreement Basic Provisions, dated January 6, 2005 (the “Underwriting Agreement”). This Agreement is the Terms Agreement referred to in the Underwriting Agreement. We offer to purchase, on and subject to the terms and conditions of the Underwriting Agreement, the following securities (“Securities”) on the following terms:

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