EX-10.HTM
from 10-Q
56 pages
Letter of Credit Agreement Dated as of July 14, 2017 Between GenOn Energy, Inc., as Applicant, Citibank, N.A., as Issuing Bank, and Citigroup Global Markets Inc. as the Sole Lead Arranger and Sole Bookrunner
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EX-10.1.51
from 10-K
68 pages
$500,000,000.00 Revolving Credit Agreement Among GenOn Energy, Inc., as a Borrower, Genon Americas, Inc., as a Borrower, the Several Lenders From Time to Time Parties Hereto, Nrg Energy, Inc., as Administrative Agent Dated as of December 14, 2012 $500,000,000.00 Revolving Facility 1
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EX-10.1.51
from 10-K
83 pages
Collateral Agency and Intercreditor Agreement Among the Royal Bank of Scotland PLC, in Its Capacity as Administrative Agent, Deutsche Bank Trust Company Americas, in Its Capacity as Collateral Agent and as Depositary Bank, Each Other Secured Party From Time to Time Party Hereto, Mirant Marsh Landing, LLC, as the Borrower Dated as of October 8, 2010
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EX-10.1.48
from 10-K
254 pages
Credit Agreement Dated as of October 8, 2010 Among Mirant Marsh Landing, LLC, the Lenders Party Hereto, the Royal Bank of Scotland PLC, as Administrative Agent, and Deutsche Bank Trust Company Americas, as Collateral Agent and Depositary Bank $649,940,000
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EX-10.3
from 10-Q
266 pages
$1,488,000,000 Credit Agreement Among Rri Energy, Inc. (To Be Renamed GenOn Energy, Inc.), as a Borrower, Mirant Americas, Inc. (To Be Renamed Genon Americas, Inc.), as a Borrower, the Several Lenders From Time to Time Parties Hereto, Jpmorgan Chase Bank, N.A., as Administrative Agent, Credit Suisse Securities (USA) LLC and Deutsche Bank Securities Inc., as Co-Syndication Agents Dated as of September 20, 2010 J.P. Morgan Securities LLC, Credit Suisse Securities (USA) LLC, Deutsche Bank Securities Inc., Goldman Sachs Bank USA and Morgan Stanley Senior Funding, Inc., as Co-Lead Arrangers and Joint Bookrunners, Rbc Capital Markets and the Royal Bank of Scotland PLC, as Co-Lead Arrangers and Goldman Sachs Bank USA and Morgan Stanley Senior Funding, Inc., as Co-Documentation Agents $788,000,000 Revolving Facility $700,000,000 Term Facility
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EX-10.1(A)
from 10-Q
103 pages
Credit Sleeve and Reimbursement Agreement Dated as of September 24, 2006 Among Reliant Energy Power Supply, LLC, the Other Reliant Retail Obligors Referred to Herein, as Reimbursement Guarantors, Merrill Lynch Commodities, Inc., as Sleeve Provider, and Merrill Lynch & Co., Inc., as ML Guarantee Provider, as Amended and Restated as of August 1, 2007, in Connection With Rese Becoming an Other Reliant Retail Obligor
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EX-10.6
from 8-K
191 pages
Third Amended and Restated Credit and Guaranty Agreement Dated as of December 1, 2006 (Amending and Restating the Second Amended and Restated Credit and Guaranty Agreement, Dated as of December 22, 2004), Among Reliant Energy, Inc., as the Borrower,
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EX-10.1
from 8-K
104 pages
Credit Sleeve and Reimbursement Agreement Dated as of September 24, 2006 Among Reliant Energy Power Supply, LLC, the Other Reliant Retail Obligors Referred to Herein, as Reimbursement Guarantors, Merrill Lynch Commodities, Inc., as Sleeve Provider, and Merrill Lynch & Co., Inc., as ML Guarantee Provider
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