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Synchrony Card Issuance Trust – Indentures

Indentures Filter

EX-4.2
from 8-K 8 pages Risk Retention Agreement, Dated as of March 20, 2026 (This “Agreement”), by and Among Synchrony Bank, a Federal Savings Association Organized Under the Laws of the United States (“Synchrony Bank”), Synchrony Card Funding, LLC, a Delaware Limited Liability Company (“Synchrony Card Funding”), and Synchrony Card Issuance Trust, a Delaware Statutory Trust (The “Issuer”)
12/34/56
EX-4.1
from 8-K 9 pages Synchrony Card Issuance Trust as Issuer Class A(2026-1) Terms Document Dated as of March 20, 2026 to Synchronyseries Indenture Supplement Dated as of September 26, 2018 to Amended and Restated Master Indenture Dated as of May 1, 2018 the Bank of New York Mellon as Indenture Trustee
12/34/56
EX-4.2
from 8-K 8 pages Risk Retention Agreement, Dated as of March 20, 2026 (This “Agreement”), by and Among Synchrony Bank, a Federal Savings Association Organized Under the Laws of the United States (“Synchrony Bank”), Synchrony Card Funding, LLC, a Delaware Limited Liability Company (“Synchrony Card Funding”), and Synchrony Card Issuance Trust, a Delaware Statutory Trust (The “Issuer”)
12/34/56
EX-4.1
from 8-K 9 pages Synchrony Card Issuance Trust as Issuer Class A(2026-1) Terms Document Dated as of March 20, 2026 to Synchronyseries Indenture Supplement Dated as of September 26, 2018 to Amended and Restated Master Indenture Dated as of May 1, 2018 the Bank of New York Mellon as Indenture Trustee
12/34/56
EX-4.2
from 8-K 7 pages Risk Retention Agreement, Dated as of November 17, 2025 (This “Agreement”), by and Among Synchrony Bank, a Federal Savings Association Organized Under the Laws of the United States (“Synchrony Bank”), Synchrony Card Funding, LLC, a Delaware Limited Liability Company (“Synchrony Card Funding”), and Synchrony Card Issuance Trust, a Delaware Statutory Trust (The “Issuer”)
12/34/56
EX-4.1
from 8-K 9 pages Synchrony Card Issuance Trust as Issuer Class A(2025-3) Terms Document Dated as of November 17, 2025 to Synchronyseries Indenture Supplement Dated as of September 26, 2018 to Amended and Restated Master Indenture Dated as of May 1, 2018 the Bank of New York Mellon as Indenture Trustee
12/34/56
EX-4.2
from 8-K 7 pages Risk Retention Agreement, Dated as of November 17, 2025 (This “Agreement”), by and Among Synchrony Bank, a Federal Savings Association Organized Under the Laws of the United States (“Synchrony Bank”), Synchrony Card Funding, LLC, a Delaware Limited Liability Company (“Synchrony Card Funding”), and Synchrony Card Issuance Trust, a Delaware Statutory Trust (The “Issuer”)
12/34/56
EX-4.1
from 8-K 9 pages Synchrony Card Issuance Trust as Issuer Class A(2025-3) Terms Document Dated as of November 17, 2025 to Synchronyseries Indenture Supplement Dated as of September 26, 2018 to Amended and Restated Master Indenture Dated as of May 1, 2018 the Bank of New York Mellon as Indenture Trustee
12/34/56
EX-4.2
from 8-K 8 pages Risk Retention Agreement, Dated as of June 9, 2025 (This “Agreement”), by and Among Synchrony Bank, a Federal Savings Association Organized Under the Laws of the United States (“Synchrony Bank”), Synchrony Card Funding, LLC, a Delaware Limited Liability Company (“Synchrony Card Funding”), and Synchrony Card Issuance Trust, a Delaware Statutory Trust (The “Issuer”)
12/34/56
EX-4.1
from 8-K 9 pages Synchrony Card Issuance Trust as Issuer Class A(2025-2) Terms Document Dated as of June 9, 2025 to Synchronyseries Indenture Supplement Dated as of September 26, 2018 to Amended and Restated Master Indenture Dated as of May 1, 2018 the Bank of New York Mellon as Indenture Trustee
12/34/56
EX-4.2
from 8-K 8 pages Risk Retention Agreement, Dated as of June 9, 2025 (This “Agreement”), by and Among Synchrony Bank, a Federal Savings Association Organized Under the Laws of the United States (“Synchrony Bank”), Synchrony Card Funding, LLC, a Delaware Limited Liability Company (“Synchrony Card Funding”), and Synchrony Card Issuance Trust, a Delaware Statutory Trust (The “Issuer”)
12/34/56
EX-4.1
from 8-K 9 pages Synchrony Card Issuance Trust as Issuer Class A(2025-2) Terms Document Dated as of June 9, 2025 to Synchronyseries Indenture Supplement Dated as of September 26, 2018 to Amended and Restated Master Indenture Dated as of May 1, 2018 the Bank of New York Mellon as Indenture Trustee
12/34/56
EX-4.2
from 8-K 7 pages Risk Retention Agreement, Dated as of February 18, 2025 (This “Agreement”), by and Among Synchrony Bank, a Federal Savings Association Organized Under the Laws of the United States (“Synchrony Bank”), Synchrony Card Funding, LLC, a Delaware Limited Liability Company (“Synchrony Card Funding”), and Synchrony Card Issuance Trust, a Delaware Statutory Trust (The “Issuer”)
12/34/56
EX-4.1
from 8-K 9 pages Synchrony Card Issuance Trust as Issuer Class A(2025-1) Terms Document Dated as of February 18, 2025 to Synchronyseries Indenture Supplement Dated as of September 26, 2018 to Amended and Restated Master Indenture Dated as of May 1, 2018 the Bank of New York Mellon as Indenture Trustee
12/34/56
EX-4.2
from 8-K 7 pages Risk Retention Agreement, Dated as of February 18, 2025 (This “Agreement”), by and Among Synchrony Bank, a Federal Savings Association Organized Under the Laws of the United States (“Synchrony Bank”), Synchrony Card Funding, LLC, a Delaware Limited Liability Company (“Synchrony Card Funding”), and Synchrony Card Issuance Trust, a Delaware Statutory Trust (The “Issuer”)
12/34/56
EX-4.1
from 8-K 9 pages Synchrony Card Issuance Trust as Issuer Class A(2025-1) Terms Document Dated as of February 18, 2025 to Synchronyseries Indenture Supplement Dated as of September 26, 2018 to Amended and Restated Master Indenture Dated as of May 1, 2018 the Bank of New York Mellon as Indenture Trustee
12/34/56
EX-4.2
from 8-K 8 pages Risk Retention Agreement, Dated as of July 30, 2024 (This “Agreement”), by and Among Synchrony Bank, a Federal Savings Association Organized Under the Laws of the United States (“Synchrony Bank”), Synchrony Card Funding, LLC, a Delaware Limited Liability Company (“Synchrony Card Funding”), and Synchrony Card Issuance Trust, a Delaware Statutory Trust (The “Issuer”)
12/34/56
EX-4.1
from 8-K 9 pages Synchrony Card Issuance Trust as Issuer Class A(2024-2) Terms Document Dated as of July 30, 2024 to Synchronyseries Indenture Supplement Dated as of September 26, 2018 to Amended and Restated Master Indenture Dated as of May 1, 2018 the Bank of New York Mellon as Indenture Trustee
12/34/56
EX-4.2
from 8-K 8 pages Risk Retention Agreement, Dated as of July 30, 2024 (This “Agreement”), by and Among Synchrony Bank, a Federal Savings Association Organized Under the Laws of the United States (“Synchrony Bank”), Synchrony Card Funding, LLC, a Delaware Limited Liability Company (“Synchrony Card Funding”), and Synchrony Card Issuance Trust, a Delaware Statutory Trust (The “Issuer”)
12/34/56
EX-4.1
from 8-K 9 pages Synchrony Card Issuance Trust as Issuer Class A(2024-2) Terms Document Dated as of July 30, 2024 to Synchronyseries Indenture Supplement Dated as of September 26, 2018 to Amended and Restated Master Indenture Dated as of May 1, 2018 the Bank of New York Mellon as Indenture Trustee
12/34/56