EX-4.17
from 10-K
130 pages
€17,500,000 0.98% Series N Senior Notes Due October 27, 2024 €14,500,000 1.31% Series O Senior Notes Due October 27, 2027 €3,000,000 1.31% Series P Senior Notes Due October 27, 2027 €15,500,000 1.50% Series Q Senior Notes Due October 27, 2029 €2,000,000 1.50% Series R Senior Notes Due October 27, 2029 €6,500,000 1.58% Series S Senior Notes Due October 27, 2030 €11,000,000 1.58% Series T Senior Notes Due October 27, 2030 €10,500,000 1.65% Series U Senior Notes Due October 27, 2031 €7,000,000 1.65% Series V Senior Notes Due October 27, 2031 Sirona Dental Services Gmbh
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EX-4.2(A)
from 10-K
17 pages
DENTSPLY International Inc., as Issuer, and J.P. Morgan Securities LLC, as Dealer Concerning Notes to Be Issued Pursuant to an Issuing and Paying Agency Agreement Dated as of August 12, 1999 Between the Issuer and the Chase Manhattan Bank, as Issuing and Paying Agent. Dated as of August 18, 2011 Commercial Paper Dealer Agreement 4(2) Program This Agreement (The “Agreement”) Sets Forth the Understandings Between the Issuer and the Dealer, Each Named on the Cover Page Hereof, in Connection With the Issuance and Sale by the Issuer of Its Short-Term Promissory Notes (The “Notes”) Through the Dealer. Certain Terms Used in This Agreement Are Defined in Section 6 Hereof. the Addendum to This Agreement, and Any Annexes or Exhibits Described in This Agreement or Such Addendum, Are Hereby Incorporated Into This Agreement and Made Fully a Part Hereof. 1. Offers, Sales and Resales of Notes
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