Interpublic Group Of Cos., Inc.

NYSE: IPG    
Share price (4/26/24): $31.47    
Market cap (4/26/24): $11.9 billion
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Credit Agreements Filter

EX-10.3
from 10-Q 5 pages Amendment No. 1 to the Credit Agreement
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EX-10.2
from 10-Q 6 pages Amendment No. 1 to the Credit Agreement
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EX-10.1
from 8-K 70 pages U.S. $500,000,000 364-Day Credit Agreement Dated as of March 27, 2020 Among the Interpublic Group Of Companies, Inc. as Company the Initial Lenders Named Herein as Initial Lenders Citibank, N.A. as Administrative Agent Jpmorgan Chase Bank, N.A. as Syndication Agent Bank of America, N.A. and Morgan Stanley Senior Funding, Inc. as Documentation Agents and Citibank, N.A. and Jpmorgan Chase Bank, N.A. as Joint Lead Arrangers and Joint Book Managers Interpublic Credit Agreement
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EX-10.1
from 8-K 93 pages U.S. $1,500,000,000 Amended and Restated Credit Agreement Dated as of November 1, 2019 Among the Interpublic Group Of Companies, Inc. as Company
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EX-10.2
from 8-K 24 pages Amendment No. 1 to the Credit Agreement
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EX-10.1
from 8-K 112 pages U.S. $500,000,000 Credit Agreement Dated as of July 27, 2018 Among the Interpublic Group Of Companies, Inc. as Borrower the Initial Lenders Named Herein as Initial Lenders Citibank, N.A. as Administrative Agent Jpmorgan Chase Bank, N.A. as Syndication Agent and Citibank, N.A. Jpmorgan Chase Bank, N.A. Merrill Lynch, Pierce, Fenner & Smith Incorporated Morgan Stanley Senior Funding, Inc. as Joint Lead Arrangers and Joint Bookrunners Interpublic Term Loan Credit Agreement
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EX-10.(I)(1)
from 10-Q 90 pages U.S. $1,500,000,000 Credit Agreement Dated as of July 18, 2008 Amended and Restated as of April 23, 2010 Further Amended and Restated as of May 31, 2011 Further Amended as of November 6, 2012 Further Amended and Restated as of December 12, 2013 and as Further Amended and Restated as of October 20, 2015 and as Further Amended and Restated as of October 25, 2017 Among the Interpublic Group Of Companies, Inc. as Company
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EX-10.1
from 8-K 92 pages U.S. $1,000,000,000 Credit Agreement Dated as of July 18, 2008 Amended and Restated as of April 23, 2010 Further Amended and Restated as of May 31, 2011 Further Amended as of November 6, 2012 Further Amended and Restated as of December 12, 2013 and as Further Amended and Restated as of October 20, 2015 Among the Interpublic Group Of Companies, Inc. as Company
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EX-10.1
from 8-K 90 pages U.S. $1,000,000,000 Credit Agreement Dated as of July 18, 2008 Amended and Restated as of April 23, 2010 Further Amended and Restated as of May 31, 2011 Further Amended as of November 6, 2012 and as Further Amended and Restated as of December 12, 2013 Among the Interpublic Group Of Companies, Inc. as Company the Initial Lenders, Initial Issuing Banks and Swing Line Banks Named Herein as Initial Lenders, Initial Issuing Banks and Swing Line Banks Citibank, N.A. as Administrative Agent Jpmorgan Chase Bank, N.A. as Syndication Agent Bank of America, N.A. Hsbc Bank USA, National Association Banco Bilbao Vizcaya Argentaria, S.A., New York Branch and Morgan Stanley Mufg Loan Partners, LLC as Co-Documentation Agents and Citigroup Global Markets Inc. J.P. Morgan Securities LLC Merrill Lynch, Pierce, Fenner & Smith Incorporated and Morgan Stanley Mufg Loan Partners, LLC as Joint Lead Arrangers and Joint Book Managers Interpublic Credit Agreement
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EX-10.1
from 8-K 7 pages Amendment No. 1 to the Credit Agreement
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EX-10.1
from 8-K 89 pages Credit Agreement Dated as of July 18, 2008 Amended and Restated as of April 23, 2010 and as Further Amended and Restated as of May 31, 2011
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EX-10.(I)(B)
from 10-Q 90 pages 3-Year Credit Agreement Dated as of July 18, 2008 Amended and Restated as of April 23, 2010
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EX-10.1
from 8-K 5 pages Amendment No. 3 to the 3-Year Credit Agreement
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EX-10.1
from 8-K 6 pages Amendment No. 2 to the 3-Year Credit Agreement
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EX-10.1
from 8-K 3 pages Amendment No. 1 to the 3-Year Credit Agreement
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EX-10.1
from 8-K 64 pages U.S. $335,000,000 3-Year Credit Agreement Dated as of July 18, 2008 Among the Interpublic Group Of Companies, Inc. as Company
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EX-10.I.D
from 10-Q 6 pages Termination Agreement (This “Agreement”), Dated as of June 13, 2006 Among the Interpublic Group Of Companies, Inc., a Delaware Corporation (The “Company”), the Banks, Financial Institutions and Other Institutional Lenders Parties to the Credit Agreement Referred to Below (Collectively, the “Lenders”) and Citibank, N.A. (“Citibank”), as Agent for the Lenders and Issuing Bank Under the Credit Agreement Defined Below. Preliminary Statements
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EX-10.3
from 8-K 60 pages $250,000,000 Letter of Credit Agreement Dated as of June 13, 2006 Between the Interpublic Group Of Companies, Inc. and Citibank, N.A
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EX-10.1
from 8-K 93 pages $750,000,000 3-Year Credit Agreement Dated as of June 13, 2006 Among the Interpublic Group Of Companies, Inc. as Borrower, Elf Special Financing Ltd. as Initial Lender and L/C Issuer, Morgan Stanley Capital Services Inc. as Administrative Agent and L/C Administrator
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EX-10.I.E
from 10-K 5 pages We Have Advised You That in the Company’s Annual Report for the Year Ended December 31, 2005 the Company May Need to Restate Previously Issued Financial Statements, and That the Potential Restatement Relates to Changes in Liabilities for Vendor Discounts and Credits and to Miscellaneous Smaller Items (Such New Restatement, the “Restatement”), and Accordingly, the Company May Be in Violation of Its Obligations Under Sections 5.01(a), 5.01(f) and Other Provisions of the Credit Agreement. the Restatement May Also Result in Certifications and Representations and Warranties of the Company Made or Deemed Made Pursuant to the Credit Agreement or Contained in Certificates, Financial Statements and Other Documents Delivered Pursuant to the Credit Agreement, in Each Case, Prior to the Date Hereof Having Been Incorrect When Made or 1
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