EX-10.3
from 8-K
191 pages
Schedule 3 Restated Credit Agreement Dated 26th October, 2000 as Amended and Restated on 16th January, 2004 and 24th June, 2004 €3,500,000,000 and US$347,500,000 and €95,000,000 Senior Secured Credit Facility for Upc Distribution Holding B.V. and Upc Financing Partnership as Borrowers Arranged by Chase Manhattan PLC Td Bank Europe Limited Abn Amro Bank N.V. Bank of America International Limited Bnp Paribas Cibc World Markets PLC Crédit Lyonnais Fortis Bank (Nederland) N.V. and the Royal Bank of Scotland PLC With Td Bank Europe Limited and Toronto Dominion (Texas), Inc., Acting as Facility Agents Allen & Overy Llp London Contents
12/34/56
EX-10.3
from 8-K
187 pages
Schedule 1 Restated Credit Agreement Dated 26th October, 2000 as Amended and Restated Pursuant to an Amendment and Restatement Agreement Dated 16th January, 2004 €3,500,000,000 and US$347,500,000 and €95,000,000 Senior Secured Credit Facility for Upc Distribution Holding B.V. and Upc Financing Partnership as Borrowers Arranged by Chase Manhattan PLC Td Bank Europe Limited Abn Amro Bank N.V. Bank of America International Limited Bnp Paribas Cibc World Markets PLC Crédit Lyonnais Fortis Bank (Nederland) N.V. and the Royal Bank of Scotland PLC With Td Bank Europe Limited and Toronto Dominion (Texas), Inc., Acting as Facility Agents London Contents
12/34/56
EX-10.1
from 8-K
~50
pages
Conformed Copy ************************************************************ Vtr Globalcom S.A. and Subsidiary Guarantors Amended and Restated Credit Agreement Dated as of April 29, 2003 Bankboston N.A., Citibank, N.A., and Jpmorgan Chase Bank as Arrangers, and Td Securities (USA) Inc., as Lead Arranger ************************************************************
12/34/56