EX-10
from 10-Q
3 pages
For Value Received, the Undersigned (The “Borrower”) Hereby Promises to Pay to the Order of Bank of America, N.A. (The “Lender”), on the Maturity Date (As Defined in the Credit Agreement Referred to Below) the Principal Amount of Each Loan From Time to Time Made by the Lender to the Borrower Under That Certain Credit Agreement, Dated as of October 7, 2015 (As Amended, Restated, Extended, Supplemented or Otherwise Modified in Writing From Time to Time, the “Agreement;” the Terms Defined Therein Being Used Herein as Therein Defined), Between the Borrower and the Lender
12/34/56
EX-10
from 10-Q
70 pages
Credit Agreement Dated as of October 7, 2015 Among National Healthcare Corporation, as the Borrower, Certain Subsidiaries of the Borrower Identified Herein, as the Guarantors, and Bank of America, N.A. $175,000,000
12/34/56