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Ready Capital Corp

NYSE: RC    
Share price (11/22/24): $7.39    
Market cap (11/22/24): $1.245 billion

Credit Agreements Filter

EX-10.11
from 10-K 91 pages ​ ​ ​ ​ ​ Page ​ ​ ​ 1. Applicability 1 2. Definitions 2 3. Initiation; Confirmation; Termination; Fees; Extension 33 4. Margin Maintenance 40 5. Income Payments and Principal Payments 41 6. Security Interest 45 7. Payment, Transfer and Custody 46 8. Sale, Transfer, Hypothecation or Pledge of Purchased Loans 49 9. Representations 50 10. Negative Covenants of Seller 55 11. Affirmative Covenants of Seller 57 12. [Intentionally Omitted] 61 13. Events of Default; Remedies 61 14. [Intentionally Omitted] 68 15. Recording of Communications 68 16. Notices and Other Communications 68 17. Entire Agreement; Severability 69 18. Assignability 69 19. Governing Law 71 20. No Waivers, Etc. 71 21. Use of Employee Plan Assets 71 22. Intent 71 23. Disclosure Relating to Certain Federal Protections 73 24. Consent to Jurisdiction; Waiver of Jury Trial 73 25. No Reliance 74 26. Indemnity 76 27. Due Diligence 77 28. Servicing 78 29. Taxes 80 30. Miscellaneous 83 ​ ​ ​ Annexes, Exhibits and Schedules
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EX-10.2
from 10-K 88 pages ​ Amended and Restated Master Loan and Security Agreement ​ Dated as of June 30, 2016 ​ Readycap Lending, LLC, as Borrower Sutherland Asset Management Corporation, as Guarantor and Jpmorgan Chase Bank, N.A., as Lender
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EX-10.1
from 10-K 135 pages ​ ​ ​ 32. Captions 62 33. Counterparts; Electronic Signatures 62 34. Submission to Jurisdiction; Waivers 63 35. Waiver of Jury Trial 63 36. Acknowledgements 64 37. Reserved 64 38. Assignments; Participations 64 39. Single Agreement 65 40. Intent 65 41. Confidentiality 66 42. Servicing 66 43. Periodic Due Diligence Review 67 44. Set-Off 68 45. Joint and Several Liability 68 46. Entire Agreement 68 ​ Schedules Schedule 1-A Representations and Warranties for Certificates Schedule 1-B Representations and Warranties for Business Purpose Loans and Readycap Origination Loans Schedule 1-C Representations and Warranties for Residential Loans Schedule 2 Filing Jurisdictions and Offices Schedule 3 Trust Schedule Exhibits
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EX-10.4
from 10-K 118 pages Master Loan and Security Agreement Dated as of June 27, 2014 Readycap Lending, LLC and Sutherland Asset I, LLC, as Borrowers Sutherland Asset Management Corporation, as Guarantor and Jpmorgan Chase Bank, N.A., as Lender
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EX-10.7
from 10-Q 38 pages U.S. Bank National Association, Not in Its Individual Capacity but Solely as Trustee of the Trusts Set Forth on Schedule A, Collectively, the Seller ZFC Trust, as Representation and Warranty Provider and Citigroup Global Markets Realty Corp., as Purchaser Asset Sale Agreement Dated as of May 26, 2016 Mortgage Loans and Reo Properties
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EX-10.2
from 8-K 8 pages Pursuant to the Master Repurchase Agreement, Dated as of August 14, 2014 (As Amended, Supplemented or Otherwise Modified From Time to Time, the “Repurchase Agreement”), Among ZFC Funding, Inc. (The “Seller”), U.S. Bank National Association, Not in Its Individual Capacity but Solely as Trustee (The “Pass-Through Trustee”) for ZFC Funding Pass-Through Trust I (“Trust Subsidiary” and Together With Seller, the “Seller Parties”), the Guarantor and the Buyer, the Buyer Has Agreed From Time to Time to Enter Into Transactions in Which (I) the Buyer Shall Purchase From the Seller the Purchased Certificate, With a Simultaneous Agreement by the Seller to Repurchase the Purchased Certificate and (II) Certain Contributed Mortgage Loans Will Be Conveyed to the Pass-Through Trustee for the Trust Subsidiary Which Shall Be Made Subject to Transactions Pursuant to the Repurchase Agreement. Each Such Transaction Shall Be Referred to Herein as a “Transaction”. It Is a Condition Precedent to the Obligation of the Buyer to Enter Into Transactions Under the Repurchase Agreement That the Guarantor Shall Have Executed and Delivered This Guaranty to the Buyer. Now, Therefore, in Consideration of the Foregoing Premises, to Induce the Buyer to Enter Into the Repurchase Agreement and to Enter Into Transactions Thereunder, the Guarantor Hereby Agrees With the Buyer, as Follows: 1. Defined Terms. (A) Unless Otherwise Defined Herein, Terms Which Are Defined in the Repurchase Agreement and Used Herein Are So Used as So Defined
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EX-10.1
from 8-K 67 pages Master Repurchase Agreement Credit Suisse First Boston Mortgage Capital LLC, as Buyer (“Buyer”), ZFC Funding, Inc., as Seller (“Seller”), U.S. Bank National Association, Not in Its Individual Capacity but Solely as Trustee (“Pass-Through Trust Trustee”) for ZFC Funding Pass-Through Trust I (“Pass-Through Trust”), and Zais Financial Corp. (“Guarantor”) Dated August 14, 2014
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EX-10.3
from 10-Q 4 pages Amendment Number One to the Master Loan Repurchase Agreement Dated as of May 30, 2013 Among ZFC Trust and Citibank, N.A
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EX-10.3
from 10-Q 4 pages ZFC Trust C/O Zais Financial Partners, L.P. 2 Bridge Avenue, Suite 322 Red Bank, Nj 07701 Attention: Don Kutch Re: Sale of First Lien, Performing and Re-Performing Mortgage Loans by Citigroup Global Markets Realty Corp
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EX-10.4
from 10-Q 3 pages ZFC Trust C/O Zais Financial Partners, L.P. 2 Bridge Avenue, Suite 322 Red Bank, Nj 07701 Attention: Don Kutch Re: Sale of First Lien, Performing and Re-Performing Mortgage Loans by Citigroup Global Markets Realty Corp
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EX-10.3
from 10-Q 3 pages ZFC Trust C/O Zais Financial Partners, L.P. 2 Bridge Avenue, Suite 322 Red Bank, Nj 07701 Attention: Don Kutch Re: Sale of First Lien, Performing and Re-Performing Mortgage Loans by Citigroup Global Markets Realty Corp
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EX-10.5
from 10-Q 29 pages Master Mortgage Loan Sale Agreement Between Citigroup Global Markets Realty Corp. Seller and ZFC Trust Purchaser Dated as of May 31, 2013
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