EX-10.1
from 8-K
85 pages
Credit Agreement Relating to a €1,500,000,000 Revolving Credit Facility Dated as of 17 December 2024 Among Philip Morris International Inc. and the Initial Lenders Named Herein and Citibank Europe PLC, Uk Branch as Facility Agent and Bank of America Europe Dac Citibank, N.A., London Branch as Coordinators And
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EX-10.1
from 8-K
90 pages
Term Loan Credit Agreement Dated as of June 23, 2022 Among Philip Morris International Inc. and the Initial Lenders Named Herein and Citibank Europe PLC, Uk Branch, as Facility Agent and Citibank, N.A., London Branch and Bank of America Europe Designated Activity Company, as Joint Lead Arrangers and Joint Bookrunners
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EX-10.1
from 8-K
82 pages
364-Day Bridge Credit Agreement Dated as of May 11, 2022 Among Philip Morris International Inc. and the Initial Lenders Named Herein and Citibank Europe PLC, Uk Branch, as Facility Agent and Citibank, N.A., London Branch and Bank of America Europe Designated Activity Company, as Joint Lead Arrangers and Joint Bookrunners
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EX-10.1
from 8-K
82 pages
Credit Agreement Relating to a US$2,500,000,000 Revolving Credit Facility (Including a US$800,000,000 Swingline Option) Dated as of 29 September 2021 Among Philip Morris International Inc. and the Initial Lenders Named Herein and Citibank Europe PLC, Uk Branch as Facility Agent and Citibank, N.A. as Swingline Agent and Citibank, N.A., London Branch Mizuho Bank, Ltd. Banco Santander, S.A., New York Branch as Business Transformation Coordinators and Citibank, N.A., London Branch Mizuho Bank, Ltd. Banco Santander, S.A., New York Branch Banco Bilbao Vizcaya Argentaria, S.A. New York Branch Bank of America Europe Designated Activity Company Barclays Bank PLC Commerzbank AG, New York Branch Credit Suisse Loan Funding LLC Deutsche Bank Securities Inc. Goldman Sachs Bank USA Hsbc Bank PLC Societe Generale Standard Chartered Bank Sumitomo Mitsui Banking Corporation as Mandated Lead Arrangers and Bookrunners
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EX-10.1
from 8-K
69 pages
Credit Agreement Relating to a US$2,000,000,000 Revolving Credit Facility (Including a US$600,000,000 Swingline Option) Dated as of 10 February 2020 Among Philip Morris International Inc. and the Initial Lenders Named Herein and Citibank Europe PLC, Uk Branch as Facility Agent and Citibank, N.A. as Swingline Agent Citigroup Global Markets Limited Banco Bilbao Vizcaya Argentaria, S.A. New York Branch Banco Santander, S.A., New York Branch Bank of America, N.A. Barclays Bank PLC Credit Suisse Loan Funding LLC Deutsche Bank Securities Inc. Goldman Sachs Bank USA Hsbc Bank PLC Mizuho Bank, Ltd. Societe Generale Sumitomo Mitsui Banking Corporation as Mandated Lead Arrangers and Bookrunners Hunton Andrews Kurth Llp New York
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EX-10.1
from 8-K
89 pages
Credit Agreement Relating to a US$3,500,000,000 Revolving Credit Facility (Including a US$800,000,000 Swingline Option) Dated as of 1 October 2015 Among Philip Morris International Inc. and the Initial Lenders Named Herein and Citibank International Limited as Facility Agent and Citibank, N.A. as Swingline Agent Banco Santander, S.A., New York Branch Barclays Bank PLC Bnp Paribas (Suisse) SA Citigroup Global Markets Limited Credit Suisse Securities (USA) LLC Deutsche Bank Securities Inc. Goldman Sachs Bank USA Hsbc Bank PLC Ing Belgium, Brussels, Geneva Branch J.P. Morgan Limited Mizuho Bank, Ltd. Sg Americas Securities, LLC as Mandated Lead Arrangers and Bookrunners Hunton & Williams Llp New York
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EX-10.3
from 10-Q
1 page
The Undersigned (The “Extending Lender”) Hereby Agrees to Extend, Effective 31 January 2014 (The “Extension Date”), Its Commitment and the Maturity Date Under the Credit Agreement, Dated as of 12 February 2013 (As Amended or Modified From Time to Time, the “Credit Agreement,” the Terms Defined Therein Being Used Herein as Therein Defined if Not Defined Herein), Among Philip Morris International Inc. (“Pmi”), the Lenders Party Thereto and the Royal Bank of Scotland PLC, as Administrative Agent, for an Additional 364-Day Period to 10 February 2015 (The “Extended Maturity Date”) Pursuant to Section 2.19 of the Credit Agreement
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EX-10.1
from 8-K
87 pages
Credit Agreement Relating to a US$2,500,000,000 Revolving Credit Facility (Including a US$700,000,000 Swingline Option) Dated as of 28 February 2014 Among Philip Morris International Inc. and the Initial Lenders Named Herein and J.P. Morgan Europe Limited as Facility Agent and Jpmorgan Chase Bank, N.A. as Swingline Agent Jpmorgan Chase Bank, N.A. Citigroup Global Markets Limited Credit Suisse Securities (USA) LLC Deutsche Bank Securities Inc. Rbs Securities Inc. Barclays Bank PLC Bnp Paribas (Suisse) SA Goldman Sachs Bank USA Hsbc Bank PLC Ing Belgium, Brussels, Geneva Branch Société Générale as Mandated Lead Arrangers and Bookrunners Hunton & Williams Llp New York
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EX-10.1
from 8-K
78 pages
Credit Agreement Relating to a US$2,000,000,000 Revolving Credit Facility Dated as of 12 February 2013 Among Philip Morris International Inc. and the Initial Lenders Named Herein and the Royal Bank of Scotland PLC as Administrative Agent Barclays Bank PLC Bnp Paribas Citigroup Global Markets Limited Credit Suisse AG, Cayman Islands Branch Deutsche Bank Securities Inc. Goldman Sachs International Hsbc Bank PLC J.P. Morgan Limited Société Générale as Mandated Lead Arrangers and Bookrunners Rbs Securities Inc. as Mandated Lead Arranger, Bookrunner and Coordinator Hunton & Williams Llp New York
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EX-10.1
from 8-K
82 pages
Credit Agreement Relating to a US$3,500,000,000 Revolving Credit Facility (Including a US$800,000,000 Swingline Option) Dated as of 25 October 2011 Among Philip Morris International Inc. and the Initial Lenders Named Herein and Citibank International PLC as Facility Agent and Citibank, N.A. as Swingline Agent and Citigroup Global Markets Limited Barclays Capital Bnp Paribas Credit Suisse AG, Cayman Islands Branch Deutsche Bank Securities Inc. Goldman Sachs International Hsbc Bank PLC J.P. Morgan Limited Rbs Securities Inc. Société Générale as Mandated Lead Arrangers and Bookrunners Hunton & Williams Llp New York
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EX-10.1
from 8-K
82 pages
Amended and Restated Credit Agreement Relating to a US$2,500,000,000 Revolving Credit Facility (Including a US$700,000,000 Swingline Option) Dated as of 11 May 2011 Among Philip Morris International Inc. and the Initial Lenders Named Herein and J.P. Morgan Europe Limited as Facility Agent and Jpmorgan Chase Bank, N.A. as Swingline Agent and J.P. Morgan Limited Deutsche Bank Securities Inc. Citigroup Global Markets Limited Credit Suisse AG, Cayman Islands Branch Goldman Sachs Credit Partners L.P. Rbs Securities Inc. as Mandated Lead Arrangers and Bookrunners Hunton & Williams Llp New York
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EX-10.1
from 8-K
81 pages
Credit Agreement Relating to a US$2,500,000,000 Revolving Credit Facility (Including a US$700,000,000 Swingline Option) Dated as of 29 March 2010 Among Philip Morris International Inc. and the Initial Lenders Named Herein and J.P. Morgan Europe Limited as Facility Agent and Jpmorgan Chase Bank, N.A. as Swingline Agent and J.P. Morgan PLC Deutsche Bank Securities Inc. Citigroup Global Markets Limited Credit Suisse AG, Cayman Islands Branch Goldman Sachs Credit Partners L.P. Rbs Securities Inc. as Mandated Lead Arrangers and Bookrunners Hunton & Williams Llp New York
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EX-10.2
from 10-Q
5 pages
Amendment and Termination Agreement Among Philip Morris International Inc., the Required Lenders (As Defined Herein) Dr. Michael C. Frege in His Capacity as Insolvency Administrator Over the Assets of Lehman Brothers Bankhaus AG I. Ins. and Citibank International PLC Amending a Credit Agreement Dated as of May 12, 2005 Relating to a Eur 2,000,000,000 5-Year Revolving Credit Facility (Including a Eur 1,000,000,000 Swingline Option) and a Eur 2,500,000,000 3-Year Term Loan Facility Agreement
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EX-10.5
from 10-12B/A
93 pages
Credit Agreement Relating to a US$3,000,000,000 5-Year Revolving Credit Facility (Including a US$900,000,000 Swingline Option) and a US$1,000,000,000 3-Year Revolving Credit Facility (Including a US$300,000,000 Swingline Option) and a Eur 1,500,000,000 364-Day Term Loan Facility Dated as of 4 December 2007 Among Philip Morris International Inc. and the Initial Lenders Named Herein and J.P. Morgan Europe Limited as Facility Agent and Swingline Agent and J.P. Morgan PLC Citigroup Global Markets Limited Credit Suisse, Cayman Islands Branch Deutsche Bank Securities Inc. Goldman Sachs Credit Partners L.P. Lehman Brothers Inc. as Mandated Lead Arrangers and Bookrunners Hunton & Williams Llp New York
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EX-10.6
from 10-12B
81 pages
Credit Agreement Relating to a Eur 2,000,000,000 5-Year Revolving Credit Facility (Including a Eur 1,000,000,000 Swingline Option) and a Eur 2,500,000,000 3-Year Term Loan Facility Dated as of 12 May 2005 Among Philip Morris International Inc. and the Initial Lenders Named Herein and Citibank International PLC as Facility Agent and Swingline Agent and Citigroup Global Markets Limited Credit Suisse First Boston, Cayman Islands Branch Deutsche Bank Securities Inc. J.P. Morgan PLC as Mandated Lead Arrangers and Bookrunners and Abn Amro Bank N.V. Hsbc Bank PLC Société Genéralé as Mandated Lead Arrangers Hunton & Williams Llp New York
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