EX-10.1
from 8-K
124 pages
$800,000,000 Amended and Restated Letter of Credit Facility Agreement Dated as of July 28, 2023 Among Cavello Bay Reinsurance Limited, as Borrower Enstar Group Limited, Kenmare Holdings Ltd., Enstar (US Asia-Pac) Holdings Limited and Enstar Holdings (US) LLC, as Guarantors the Lenders Party Hereto From Time to Time, National Australia Bank Limited, as Administrative Agent and National Australia Bank Limited, as Several L/C Issuing Bank National Australia Bank Limited and the Bank of Nova Scotia, as Joint Bookrunners and Joint Lead Arrangers National Australia Bank Limited and the Bank of Nova Scotia, as Syndication Agents National Australia Bank Limited, as Documentation Agent
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EX-10.1
from 8-K
148 pages
Amended and Restated Revolving Credit Agreement Dated as of May 30, 2023 Between Enstar Group Limited, as Parent Enstar Group Limited Kenmare Holdings Ltd. Enstar (US Asia-Pac) Holdings Limited Enstar Holdings (US) LLC and Cavello Bay Reinsurance Limited, as Borrowers, Enstar Group Limited Kenmare Holdings Ltd. Enstar (US Asia-Pac) Holdings Limited and Enstar Holdings (US) LLC as Guarantors the Lenders Party Hereto, National Australia Bank Limited as Administrative Agent and Lc Administrator and National Australia Bank Limited as Swingline Lender Wells Fargo Bank, National Association as Fronting Bank National Australia Bank Limited and Wells Fargo Securities, LLC, as Joint Lead Arrangers and Joint Bookrunners National Australia Bank Limited and Wells Fargo Bank, National Association, as Syndication Agents National Australia Bank Limited as Documentation Agent
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EX-10.1
from 8-K
111 pages
$600,000,000 Letter of Credit Facility Agreement Dated as of August 5, 2019 Among Cavello Bay Reinsurance Limited, as Borrower Enstar Group Limited, Kenmare Holdings Ltd., Enstar (US Asia-Pac) Holdings Limited and Enstar Holdings (US) LLC, as Guarantors the Lenders Party Hereto From Time to Time, National Australia Bank Limited, London Branch, as Administrative Agent and National Australia Bank Limited, as Several L/C Issuing Bank National Australia Bank Limited, London Branch and the Bank of Nova Scotia, as Joint Bookrunners and Joint Lead Arrangers National Australia Bank Limited, London Branch and the Bank of Nova Scotia, as Syndication Agents National Australia Bank Limited, London Branch, as Documentation Agent
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EX-10.1
from 8-K
114 pages
$500,000,000 Term Loan Credit Agreement Dated as of December 27, 2018, by and Among Enstar Group Limited as Borrower Kenmare Holdings Ltd. Enstar (US Asia-Pac) Holdings Limited and Enstar Holdings (US) LLC as Guarantors the Lenders Referred to Herein and Wells Fargo Bank, National Association as Administrative Agent Wells Fargo Securities, LLC National Australia Bank Limited and Suntrust Robinson Humphrey, Inc. as Joint Lead Arrangers and Joint Bookrunners National Australia Bank Limited and Suntrust Bank as Co-Syndication Agents
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EX-10.1
from 8-K
108 pages
$600,000,000 Revolving Credit Agreement Dated as of August 16, 2018 Between Enstar Group Limited, as Parent Enstar Group Limited Kenmare Holdings Ltd. Enstar (US Asia-Pac) Holdings Limited and Enstar Holdings (US) LLC, as Borrowers and Guarantors the Lenders Party Hereto, and National Australia Bank Limited as Administrative Agent National Australia Bank Limited Barclays Bank PLC and Wells Fargo Securities, LLC, as Joint Lead Arrangers and Joint Bookrunners Barclays Bank PLC and Wells Fargo Bank, National Association, as Syndication Agents National Australia Bank Limited, as Documentation Agent
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EX-10.1
from 8-K
145 pages
This Restatement Agreement Is Made on 5 August 2016 Between: (1) Enstar Group Limited (A Company Under the Laws of Bermuda With Registered Number Ec30916) (The "Parent"); (2) the Companies Listed in Part 1 of Schedule 2 (Obligors) as Borrowers (The "Borrowers"); (3) the Companies Listed in Part 2 of Schedule 2 (Obligors) as Guarantors (The "Guarantors"); (4) National Australia Bank Limited (Abn 12 004 044 937), Barclays Bank PLC, Lloyds Bank PLC and Suntrust Robinson Humphrey, Inc. as Bookrunners and Mandated Lead Arrangers (The "Mandated Lead Arrangers"); (5) the Financial Institutions Listed in Schedule 1 (Lenders) as Lenders (The "Lenders"); (6) Royal Bank of Canada as Exiting Lender (The "Exiting Lender"); and (7) National Australia Bank Limited (Abn 12 004 044 937) in Its Capacity as Agent for the Lenders Under the Facility Agreement (The "Agent"). Whereas: (A) Certain Parties to This Agreement Entered Into a Facility Agreement Dated 16 September 2014 as Amended and Restated on 27 February 2015 Under Which Certain of the Lenders Made Available to the Parent a U.S.$665,000,000 Revolving Credit Facility (The "Facility Agreement"). (B) by Entering Into This Agreement, With Effect From the Effective Date Suntrust Bank (The "New Lender") Will Become a Lender in Accordance With the Terms of This Agreement
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