BamSEC and AlphaSense Join Forces
Learn More

Windrose Medical Properties Trust

Credit Agreements Filter

EX-10.1
from 8-K 65 pages Third Amended and Restated Secured Revolving Credit Agreement
12/34/56
EX-10.3
from 8-K 10 pages This Note Is Given Pursuant to the Loan Agreement of Even Date Between Borrower and Lender, as Amended From Time to Time (“Loan Agreement”) and Is Subject to the Provisions Thereof. the Definitions in the Loan Agreement Shall Be Applicable to Any Capitalized Terms Herein That Are Not Otherwise Defined. if There Is Any Conflict Between the Terms of the Loan Agreement and the Terms of This Note, the Provisions of the Loan Agreement Shall Control. 1. Definitions. “Accrued Interest” Means the Amount of Interest Equal to the Difference Between the Amount of Interest Accrued at the Stated Interest Rate Minus the Amount of Interest Accrued at the Current Interest Rate Each Month. “Business Day” Means Any Day Which Is Not a Saturday or Sunday or a Public Holiday Under the Laws of the United States of America or the State of Ohio. “Closing Date” Means the Date of This Note. “Collateral Document” Means Any Document Providing Security for or Guarantee of Repayment of This Note. “Commencement Date” Means the First Day of the Next Succeeding Month After the Closing Date. “Current Interest Rate” Means the Libor Rate Plus 160 Basis Points. “Default Rate” Means the Stated Interest Rate Plus 4% Per Annum. “Event of Default” Has the Meaning Set Forth in §7. “Guarantor” Means Windrose Medical Properties Trust, a Maryland Real Estate Investment Trust. “Libor Business Day” Means a Business Day on Which Dealings in Dollar Deposits Are Carried Out in the London Interbank Market
12/34/56
EX-10.3
from 425 10 pages This Note Is Given Pursuant to the Loan Agreement of Even Date Between Borrower and Lender, as Amended From Time to Time (“Loan Agreement”) and Is Subject to the Provisions Thereof. the Definitions in the Loan Agreement Shall Be Applicable to Any Capitalized Terms Herein That Are Not Otherwise Defined. if There Is Any Conflict Between the Terms of the Loan Agreement and the Terms of This Note, the Provisions of the Loan Agreement Shall Control. 1. Definitions. “Accrued Interest” Means the Amount of Interest Equal to the Difference Between the Amount of Interest Accrued at the Stated Interest Rate Minus the Amount of Interest Accrued at the Current Interest Rate Each Month. “Business Day” Means Any Day Which Is Not a Saturday or Sunday or a Public Holiday Under the Laws of the United States of America or the State of Ohio. “Closing Date” Means the Date of This Note. “Collateral Document” Means Any Document Providing Security for or Guarantee of Repayment of This Note. “Commencement Date” Means the First Day of the Next Succeeding Month After the Closing Date. “Current Interest Rate” Means the Libor Rate Plus 160 Basis Points. “Default Rate” Means the Stated Interest Rate Plus 4% Per Annum. “Event of Default” Has the Meaning Set Forth in §7. “Guarantor” Means Windrose Medical Properties Trust, a Maryland Real Estate Investment Trust. “Libor Business Day” Means a Business Day on Which Dealings in Dollar Deposits Are Carried Out in the London Interbank Market
12/34/56
EX-10.1
from 8-K 19 pages Loan Agreement Between Health Care REIT, Inc. and Windrose Medical Properties, L.P. September 12, 2006
12/34/56
EX-10.1
from 425 19 pages Loan Agreement Between Health Care REIT, Inc. and Windrose Medical Properties, L.P. September 12, 2006
12/34/56
EX-10.1
from 8-K ~50 pages Ex-10.1 Bridge Loan Agreement
12/34/56
EX-10.1
from 8-K >50 pages Ex-10.1 Second Amended and Restated Secured Revolving Credit Agreement
12/34/56
EX-10.03
from 10-Q ~50 pages Ex-10.03 Amended and Restated Secured Construction Loan Facility With the Huntington National Bank
12/34/56
EX-10.02
from 10-Q ~50 pages Ex-10.02 Amended and Restated Secured Construction Loan Facility With the Huntington National Bank
12/34/56
EX-10.29
from 10-Q ~5 pages Ex-10.29 Replacement Credit Note 12/30/03
12/34/56
EX-10.28
from 10-Q ~5 pages Ex-10.28 Replacement Credit Note 12/30/03
12/34/56
EX-10.27
from 10-Q ~5 pages Ex-10.27 Replacement Credit Note 12/30/03
12/34/56
EX-10.26
from 10-Q ~5 pages Ex-10.26 Replacement Credit Note 12/30/03
12/34/56
EX-10.25
from 10-Q ~5 pages Ex-10.25 Replacement Credit Note 12/30/03
12/34/56
EX-10.24
from 10-Q ~50 pages Ex-10.24 Amended Credit Agreement 12/30/03
12/34/56
EX-10.23
from 10-K ~50 pages Ex-10.23 Secured Construction Loan Facility 12/03/04
12/34/56
EX-10.01
from 10-Q ~50 pages Ex-10.01 Secured Construction Loan Facility With Huntington National Bank, Dated as of September 10, 2004
12/34/56
EX-10.45
from 10-K ~5 pages Credit Note Dated September 27 2002
12/34/56
EX-10.44
from 10-K ~50 pages Secured Revolving Credit Agreement 09/27/02
12/34/56
EX-10.22
from S-11/A ~50 pages Material contract
12/34/56