SM&A

Credit Agreements Filter

EX-10.1
from 8-K 20 pages This Credit Agreement (The “Agreement”), Dated as of the 1st Day of May, 2008 (“Loan Date”) Is Between City National Bank, a National Banking Association (“Cnb”) and SM&A, a Delaware Corporation (“Borrower”). 1. Definitions. as Used in This Agreement, These Terms Have the Following Meanings
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EX-10.31
from 10-Q 5 pages On May 1, 2008 (“Termination Date”), SM&A, a Delaware Corporation (“Borrower”), Promises to Pay to the Order of City National Bank, a National Banking Association (“Cnb”), at Its Office in This City, in United States Dollars and in Immediately Available Funds, the Principal Sum of Ten Million Dollars ($10,000,000.00) (“Revolving Credit Commitment”) or So Much Thereof as May Be Advanced and Then Outstanding, Plus Interest on the Unpaid Balance, Until Fully Repaid, at a Rate Computed on the Basis of a 360-Day Year, Actual Days Elapsed, at the Rates, Times and in Accordance With the Terms Set Forth Below
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EX-10.25
from 10-Q 4 pages Revolving Note
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EX-10.20
from 10-Q 5 pages Revolving Note
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EX-10.16
from 10-Q 3 pages Revolving Note
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EX-10.1
from 10-Q ~5 pages Credit and Security Agreement Dated August 9, 2000
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EX-10.2
from 10-Q ~10 pages Amd #2 to Amended & Restated Credit & Security Agreement
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EX-10.1
from 10-Q ~5 pages Amd #1 to Amended & Restated Credit & Security Agreement
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EX-10.1
from 10-Q >50 pages Amended & Restated Credit & Security Agreement
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EX-10.19
from 10-K >50 pages Credit and Security Agreement
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EX-10.14
from S-1/A 1 page Security and Loan Agreement
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EX-10.7
from S-1 ~20 pages Security and Loan Agreement Dated 1/2/97
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