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System Energy Resources, Inc – Credit Agreements

Credit Agreements Filter

EX-4.E
from 10-Q 23 pages Extension to Credit Agreement
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EX-4.D
from 10-Q 23 pages Extension to Credit Agreement
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EX-4.C
from 10-Q 23 pages Extension to Credit Agreement
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EX-4.B
from 10-Q 23 pages Extension to Credit Agreement
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EX-4.A
from 10-Q 26 pages Extension to Credit Agreement
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EX-4.(I)
from 10-Q 22 pages Second Extension to Credit Agreement
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EX-4.(H)
from 10-Q 12 pages Extension to Credit Agreement
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EX-4.(G)
from 10-Q 22 pages Second Extension to Credit Agreement
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EX-4.(F)
from 10-Q 22 pages Second Extension to Credit Agreement
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EX-4.(E)
from 10-Q 25 pages Second Extension to Credit Agreement
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EX-4.(D)
from 10-Q 25 pages First Amendment to Credit Agreement
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EX-4.F
from 10-Q 154 pages First Extension and Amendment to Credit Agreement
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EX-4.E
from 10-Q 155 pages First Extension and Amendment to Credit Agreement
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EX-4.D
from 10-Q 155 pages First Extension and Amendment to Credit Agreement
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EX-4.C
from 10-Q 168 pages First Extension and Amendment to Credit Agreement
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EX-4.B
from 8-K 12 pages System Energy Resources, Inc. Officer’s Certificate 3-B-3 Establishing the Form and Certain Terms of the First Mortgage Bonds, 2022 Credit Agreement Collateral Series Due November 6, 2023
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EX-4.A
from 8-K 96 pages U.S. $50,000,000 Term Loan Credit Agreement Dated as of May 6, 2022 Among System Energy Resources, Inc. as Borrower the Banks Named Herein as Banks and Royal Bank of Canada as Administrative Agent Royal Bank of Canada Sole Lead Arranger
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EX-4.D
from 8-K 31 pages Loan Agreement Between Mississippi Business Finance Corporation and System Energy Resources, Inc. Dated as of June 1, 2021 $83,695,000 Mississippi Business Finance Corporation Revenue Refunding Bonds (System Energy Resources, Inc. Project) Series 2021
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EX-4.B
from 8-K 25 pages Loan Agreement by and Between Mississippi Business Finance Corporation and System Energy Resources, Inc. Dated as of March 1, 2019 $134,000,000 Mississippi Business Finance Corporation Revenue Refunding Bonds (System Energy Resources, Inc. Project) Series 2019
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EX-4.F2
from 10-K 96 pages U.S. $25,000,000 Second Amended and Restated Credit Agreement Dated as of November 16, 2018 Among Entergy New Orleans, LLC as Borrower the Banks Named Herein as Banks Bank of America, N.A. as Administrative Agent and Lc Issuing Bank and the Other Lc Issuing Banks From Time to Time Parties Hereto
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