EX-4.4
from 10-Q
122 pages
Aptargroup, Inc. Assignment, Assumption and Amendment Agreement Dated as of March 1, 2022 Re: Note Purchase and Guaranty Agreement Dated as of July 19, 2017 and €100,000,000 0.98% Senior Notes, Series D, Due July 19, 2023 €200,000,000 1.17% Senior Notes, Series E, Due July 19, 2024
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EX-4.1
from 8-K
83 pages
Aptargroup, Inc. and U.S. Bank Trust Company, National Association, Trustee Indenture Dated as of March 7, 2022 Debt Securities Reconciliation and Tie Between Trust Indenture Act of 1939, as Amended, and the Indenture
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EX-4.1
from 8-K
104 pages
Aptargroup, Inc. Aptargroup Uk Holdings Limited €100,000,000 0.98% Senior Notes, Series D, Due July 19, 2023 €200,000,000 1.17% Senior Notes, Series E, Due July 19, 2024 Note Purchase and Guaranty Agreement Dated July 19, 2017
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EX-4.1
from 8-K
111 pages
Aptargroup, Inc. Senior Notes Issuable in Series $125,000,000 Aggregate Principal Amount 3.49% Senior Notes, Series 2014-A-1, Due December 16, 2023 $100,000,000 Aggregate Principal Amount 3.49% Senior Notes, Series 2014-A-2, Due February 26, 2024 $125,000,000 Aggregate Principal Amount 3.61% Senior Notes, Series 2014-A-3, Due December 16, 2025 $125,000,000 Aggregate Principal Amount 3.61% Senior Notes, Series 2014-A-4, Due February 26, 2026 Note Purchase Agreement Dated as of December 16, 2014
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