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Cheniere Energy Partners LP

NYSE: CQP    
Share price (11/21/24): $53.94    
Market cap (11/21/24): $26.1 billion

Credit Agreements Filter

EX-10.1
from 10-Q 2 pages Change Order Subproject 6(a) Letter of Credit Reduction
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EX-10.2
from 10-Q 173 pages Credit and Guaranty Agreement Dated as of June 23, 2023
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EX-10.1
from 10-Q 28 pages Consent and Amendment to the Credit and Guaranty Agreement
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EX-4.45
from S-4 58 pages Intercreditor Agreement Among Cheniere Energy Partners, L.P. as Borrower, Each Subsidiary Guarantor From Time to Time Party Hereto, Mufg Bank, Ltd., as Credit Agreement Administrative Agent for the Credit Agreement Secured Parties, Mufg Union Bank, N.A., as Collateral Agent for the First Lien Secured Parties, and Each Senior Class Debt Representative From Time to Time Party Hereto Dated as of May 29, 2019
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EX-10.39
from 10-K 8 pages Change Order 80 Acres Bridge Credit
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EX-10.2
from 8-K 158 pages Third Amended and Restated Common Terms Agreement Dated as of March 19, 2020 Among Sabine Pass Liquefaction, LLC, as the Borrower the Subsidiaries of the Borrower Party Hereto From Time to Time the Secured Debt Holder Group Representatives, Secured Hedge Representatives and Secured Gas Hedge Representatives, That Are Parties to This Agreement From Time to Time Société Générale, as the Common Security Trustee and Société Générale, as the Intercreditor Agent
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EX-10.1
from 8-K 198 pages $1,200,000,000 Senior Working Capital Revolving Credit and Letter of Credit Reimbursement Agreement Dated as of March 19, 2020 Among Sabine Pass Liquefaction, LLC as the Borrower, Certain Subsidiaries of the Borrower as Restricted Subsidiaries, the Bank of Nova Scotia as Senior Facility Agent, the Bank of Nova Scotia, Houston Branch, Hsbc Bank USA, National Association, Ing Capital LLC, Natixis, New York Branch, and Wells Fargo Bank, National Association as Issuing Banks, the Bank of Nova Scotia as Swing Line Lender, Société Générale as Common Security Trustee, and the Lenders Named Herein as Lenders, and for the Benefit of the Bank of Nova Scotia, Houston Branch as Coordinating Lead Arranger Mizuho Bank, Ltd. and Mufg Bank, Ltd. as Co-Documentation Agent
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EX-10.3
from 10-Q 2 pages Change Order Form Letter of Credit Reduction and Extension
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EX-10.2
from 10-Q 130 pages $1,200,000,000 Amended and Restated Senior Working Capital Revolving Credit and Letter of Credit Reimbursement Agreement Dated as of September 4, 2015, as Amended by Third Omnibus Amendment, Dated as of May 23, 2018; Fourth Omnibus Amendment, Dated as of September 17, 2018; and Fifth Omnibus Amendment, Consent and Waiver, Dated as of May 29, 2019 Among Sabine Pass Liquefaction, LLC as Borrower, the Bank of Nova Scotia as Senior Issuing Bank and Senior Facility Agent, Abn Amro Capital USA LLC, Hsbc Bank USA, National Association and Ing Capital LLC as Senior Issuing Banks, Société Générale as Swing Line Lender, Société Générale as Common Security Trustee, and the Senior Lenders Named Herein as Senior Lenders, and for the Benefit of Hsbc Bank USA, National Association, Ing Capital LLC, Morgan Stanley Bank, N.A., and Sumitomo Mitsui Banking Corporation as Joint Lead Arrangers, Joint Lead Bookrunners, and Co-Documentation Agents Abn Amro Capital USA LLC, the Bank of Nova Scotia, the Bank of Tokyo-Mitsubishi Ufj, Ltd. and Société Générale as Joint Lead Arrangers, Joint Lead Bookrunners, and Co-Syndication Agents Industrial and Commercial Bank of China Limited, New York Branch and Lloyds Bank PLC as Mandated Lead Arrangers and Landesbank Baden-Württemberg, New York Branch
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EX-10.1
from 8-K 238 pages Credit and Guaranty Agreement Dated as of May 29, 2019 Among Cheniere Energy Partners, L.P., as Borrower, Certain Subsidiaries of Borrower, as Subsidiary Guarantors, Various Lenders, Natixis, New York Branch Société Générale the Bank of Nova Scotia, Houston Branch Wells Fargo Bank, National Association, as Issuing Banks, Mufg Bank, Ltd., as Sole Coordinating Lead Arranger, Mufg Bank, Ltd., Sg Americas Securities, LLC, and Abn Amro Capital USA LLC Banco Bilbao Vizcaya Argentaria S.A. New York Branch Bank of America, N.A. Bank of China, New York Branch Canadian Imperial Bank of Commerce, New York Branch China Merchants Bank Co., Ltd., New York Branch Citibank, N.A. Commonwealth Bank of Australia Credit Agricole Corporate and Investment Bank Credit Suisse AG, Cayman Islands Branch Dbs Bank Ltd. Goldman Sachs Bank USA Hsbc Bank USA, National Association Industrial and Commercial Bank of China, Intesa Sanpaolo S.P.A., New York Branch Ing Capital LLC Jpmorgan Chase Bank, N.A. Mizuho Bank, Ltd. Morgan Stanley Bank, N.A. Morgan Stanley Senior Funding, Inc. Mufg Bank, Ltd. National Australia Bank Limited Natixis, New York Branch Royal Bank of Canada Société Générale Santander Bank N.A. Standard Chartered Bank Sumitomo Mitsui Banking Corporation the Bank of Nova Scotia, Houston Branch Wells Fargo Bank, National Association as Joint Lead Arrangers, and Mufg Bank, Ltd., as Administrative Agent $750,000,000 Term Loan Commitments $750,000,000 Revolving Commitments
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EX-10.2
from S-4 24 pages Second Amendment and Consent to the Credit Agreement
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EX-10.20
from 10-K 23 pages Second Omnibus Amendment to the Credit Agreement, Depositary Agreement and Intercreditor Agreement
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EX-10.1
from 10-Q 6 pages Reference Is Made to (I) the Credit and Guaranty Agreement, Dated as of February 25, 2016 (As Amended, Amended and Restated, Supplemented or Otherwise Modified From Time to Time, the “Credit Agreement”), Among Cheniere Energy Partners, L.P. (The “Borrower”), Certain Subsidiaries of Borrower as and That Become Subsidiary Guarantors From Time to Time in Accordance With the Terms Thereof, the Lenders Party Thereto From Time to Time, the Issuing Banks Party Thereto From Time to Time, and the Bank of Tokyo-Mitsubishi Ufj, Ltd., as Administrative Agent (The “Administrative Agent”) and (II) the Intercreditor Agreement, Dated as of February 25, 2016 (As Amended, Amended and Restated, Supplemented or Otherwise Modified From Time to Time, the “Intercreditor Agreement”), Among the Borrower, Each Subsidiary Guarantor Party Thereto From Time to Time, the Administrative Agent, Mufg Union Bank, N.A., as Collateral Agent for the First Lien Secured Parties (The “Collateral Agent”) and Each Senior Class Debt Representative From Time to Time Party Hereto. Capitalized Terms Used but Not Defined Herein Have the Meanings Assigned to Them in the Credit Agreement Or, if Not Defined Therein, the Intercreditor Agreement
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EX-10.7
from 10-Q 4 pages Reference Is Made to (I) the Second Amended and Restated Common Terms Agreement, Dated as of June 30, 2015 (The “Common Terms Agreement”), Among Sabine Pass Liquefaction, LLC, the Secured Debt Holder Group Representatives, The· Secured Hedge Representatives, and the Secured Gas Hedge Representatives That Are Parties Thereto From Time to Time, Société Générale, as the Common Security Trustee (The “Common Security Trustee”), and Société Générale, as the Intercreditor Agent (The “Lntercreditor Agent”) and (II) the Second Amended and Restated Intercreditor Agreement, Dated as of June 30, 2015 (The “Intercreditor Agreement”), Among the Secured Debt Holder Group Representatives, the Secured Hedge Representatives, and the Secured Gas Hedge Representatives That Are Parties Thereto From Time to Time, the Common Security Trustee and the Intercreditor Agent. Capitalized Terms Used but Not Defined Herein Have the Meanings Assigned to Them in the Common Terms Agreement
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EX-10.1
from 8-K 212 pages Credit and Guaranty Agreement Dated as of February 25, 2016 Among Cheniere Energy Partners, L.P., as Borrower, Certain Subsidiaries of Borrower, as Subsidiary Guarantors, Various Lenders, the Bank of Tokyo-Mitsubishi Ufj, Ltd., as Issuing Banks, the Bank of Tokyo-Mitsubishi Ufj, Ltd., as Coordinating Lead Arranger, the Bank of Tokyo-Mitsubishi Ufj, Ltd., Sg Americas Securities, LLC, Abn Amro Capital USA, LLC, Industrial and Commercial Bank of China Limited New York Branch, Intesa Sanpaolo, S.P.A., New York Branch, Jp Morgan Chase Bank, N.A., Mizuho Bank, Ltd., and Sumitomo Mitsui Banking Corporation as Joint Lead Arrangers and Joint Bookrunners, Morgan Stanley Senior Funding, Inc., Bank of America, N.A., Credit Suisse AG, Cayman Islands Branch, and Hsbc Bank USA, National Association, as Mandated Lead Arrangers Commonwealth Bank of Australia, as Participant and the Bank of Tokyo-Mitsubishi Ufj, Ltd., as Administrative Agent $2,560,000,000 Term Loans $125,000,000 Dsr Lc Commitments $115,000,000 Revolving Commitments
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EX-10.1
from 8-K 144 pages $1,200,000,000 Amended and Restated Senior Working Capital Revolving Credit and Letter of Credit Reimbursement Agreement Dated as of September 4, 2015, Among Sabine Pass Liquefaction, LLC as Borrower, the Bank of Nova Scotia as Senior Issuing Bank and Senior Facility Agent, Abn Amro Capital USA LLC, Hsbc Bank USA, National Association and Ing Capital LLC as Senior Issuing Banks, Société Générale as Swing Line Lender, Société Générale as Common Security Trustee, and the Senior Lenders Named Herein as Senior Lenders, and for the Benefit of Hsbc Bank USA, National Association, Ing Capital LLC, Morgan Stanley Bank, N.A., and Sumitomo Mitsui Banking Corporation as Joint Lead Arrangers, Joint Lead Bookrunners, and Co-Documentation Agents Abn Amro Capital USA LLC, the Bank of Nova Scotia, the Bank of Tokyo-Mitsubishi Ufj, Ltd. and Société Générale as Joint Lead Arrangers, Joint Lead Bookrunners, and Co-Syndication Agents Industrial and Commercial Bank of China Limited, New York Branch and Lloyds Bank PLC as Mandated Lead Arrangers and Landesbank Baden-Württemberg, New York Branch as Manager
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EX-10.2
from 8-K 183 pages Second Amended and Restated Common Terms Agreement Among Sabine Pass Liquefaction, LLC, as the Borrower the Secured Debt Holder Group Representatives, Secured Hedge Representatives and Secured Gas Hedge Representatives, That Are Parties to This Agreement From Time to Time Société Générale, as the Common Security Trustee and Société Générale, as the Intercreditor Agent
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EX-10.1
from 8-K 107 pages Second Amended and Restated Credit Agreement (Term Loan A) Dated as of June 30, 2015 Among Sabine Pass Liquefaction, LLC, as the Borrower Société Générale, as the Commercial Banks Facility Agent Société Générale, as the Common Security Trustee and Commercial Bank Lenders Party to This Agreement From Time to Time, and for the Benefit of Sg Americas Securities, LLC, as Joint Lead Arranger and Joint Lead Bookrunner Société Générale, as Co-Syndication Agent the Bank of Nova Scotia, Hsbc Bank USA, National Association, Ing Capital LLC, Jpmorgan Chase Bank, N.A., Morgan Stanley Senior Funding, Inc., and Sumitomo Mitsui Banking Corporation, as Joint Lead Arrangers, Joint Lead Bookrunners, and Co-Documentation Agents Abn Amro Capital USA LLC, Banco Bilbao Vizcaya Argentaria, S.A. New York Branch, Banco Santander, S.A., Bank of America, N.A., the Bank of Tokyo-Mitsubishi Ufj, Ltd., Crédit Agricole Corporate and Investment Bank, Credit Suisse Securities (USA) LLC, Goldman Sachs Bank USA, Intesa Sanpaolo S.P.A., New York Branch, Mizuho Bank, Ltd., Royal Bank of Canada, and Santander Bank, N.A., as Joint Lead Arrangers, Joint Lead Bookrunners, and Co-Syndication Agents Industrial and Commercial Bank of China Limited New York Branch and Lloyds Securities Inc., as Mandated Lead Arrangers and Caixabank, S.A., and Landesbank Baden-Württemberg, New York Branch, as Managers
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EX-10.6
from 8-K 111 pages Credit Agreement Dated as of May 28, 2013 Among Cheniere Creole Trail Pipeline, L.P., as Borrower, the Lenders Party Hereto From Time to Time, Morgan Stanley Senior Funding, Inc., as Administrative Agent, the Bank of New York Mellon, as Collateral Agent and the Bank of New York Mellon, as Depositary Bank $400,000,000 Morgan Stanley Senior Funding, Inc., Standard Chartered Bank, Crédit Agricole Corporate and Investment Bank, and Hsbc Bank USA, National Association, as Joint Lead Arrangers Morgan Stanley Senior Funding, Inc., as Sole Bookrunner
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EX-10.5
from 8-K 169 pages Amended and Restated Common Terms Agreement Among Sabine Pass Liquefaction, LLC, as the Borrower the Secured Debt Holder Group Representatives, Secured Hedge Representatives and Secured Gas Hedge Representatives, That Are Parties to This Agreement From Time to Time Société Générale, as the Common Security Trustee and Société Générale, as the Intercreditor Agent
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