Standard Industries Inc.

Credit Agreements Filter

EX-10.1
from 10-Q 17 pages Amendment No. 2 to the Revolving Credit Agreement
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EX-10.45
from 10-K 34 pages Revolver Intercreditor Agreement
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EX-10.43
from 10-K 29 pages General Intercreditor Agreement
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EX-10.3
from 8-K 100 pages $325,000,000 Bridge Loan Agreement Dated as of February 22, 2007 Among Building Materials Corporation of America, Bmca Acquisition Inc. and Bmca Acquisition Sub Inc. as Borrowers and the Initial Lenders Named Herein as Initial Lenders and Deutsche Bank AG Cayman Islands Branch as Collateral Agent and Administrative Agent and Deutsche Bank AG Cayman Islands Branch and Bear Stearns Corporate Lending Inc. as Joint Lead Arrangers and Deutsche Bank AG Cayman Islands Branch, Bear Stearns Corporate Lending Inc. and Jpmorgan Chase Bank, N.A. as Joint Book Managers
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EX-10.2
from 8-K 106 pages $975,000,000 Term Loan Agreement Dated as of February 22, 2007 Among Building Materials Corporation of America, Bmca Acquisition Inc., and Bmca Acquisition Sub Inc. as Borrowers and the Initial Lenders Named Herein as Initial Lenders and Deutsche Bank AG New York Branch as Administrative Agent and Deutsche Bank Securities Inc., Bear Stearns & Co. Inc., and J.P. Morgan Securities Inc. as Joint Lead Arrangers and Joint Book Managers and Bear Stearns & Co. Inc. as Syndication Agent and J.P. Morgan Securities Inc. as Documentation Agent
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EX-10.1
from 8-K 121 pages $600,000,000 Revolving Credit Agreement Dated as of February 22, 2007 Among Building Materials Corporation of America, Bmca Acquisition Inc., and Bmca Acquisition Sub Inc., as Borrowers, and the Initial Lenders, Initial Issuing Bank and Swing Line Bank Named Herein, as Initial Lenders, Initial Issuing Bank and Swing Line Bank, and Deutsche Bank AG New York Branch, as Collateral Monitoring Agent and Administrative Agent, and Deutsche Bank Securities Inc., Bear Stearns & Co. Inc., and J.P. Morgan Securities Inc., as Joint Lead Arrangers and Joint Book Managers, and Bear Stearns & Co. Inc., as Syndication Agent, and J.P. Morgan Securities Inc. as Documentation Agent
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EX-10
from 10-Q >50 pages 10.1 Credit Agreement
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EX-10.14
from 10-K 110 pages Consolidated and Restated Credit Agreement by and Among Building Materials Corporation of America, the Lenders Party Hereto, Fleet National Bank, as Documentation Agent, Bear Stearns Corporate Lending Inc., as Syndication Agent, and the Bank of New York, as Swing Line Lender and as Administrative Agent With Bny Capital Markets, Inc., as Lead Arranger and Bookrunner Dated as of December 30, 2002
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EX-10.17
from 10-K ~5 pages Amendment No. 2 to Amended & Restated Credit Amgt
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EX-10.16
from 10-K ~5 pages Amendment No. 1 to Amended & Restated Credit Agmt
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EX-10.15
from 10-K >50 pages Amendment and Restated Credit Agreement
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EX-10.14
from 10-K ~5 pages Amendment No. 2 to Credit Agreement
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EX-10.13
from 10-K ~5 pages Amendment No. 1 to Credit Agreement
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EX-10.12
from 10-K >50 pages Credit Agreement
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