EX-10.5
from 8-K
148 pages
Credit Agreement Consisting of a $850,000,000 Initial Term Loan Facility, and a $400,000,000 Revolving Credit Facility Dated as of July 26, 2024 by and Among Concentra Group Holdings Parent, Inc., as Holdings Concentra Health Services, Inc., as the Borrower the Lenders Party Hereto From Time to Time Jpmorgan Chase Bank, N.A., as Administrative Agent and Collateral Agent
12/34/56