EX-4.5
from 8-K
33 pages
Sixth Supplemental Indenture Dated as of February 10, 2020 Between Stanley Black & Decker, Inc., Issuer and Hsbc Bank USA, National Association, Trustee to Indenture Dated as of November 22, 2005 Providing for the Issuance of $750,000,000 4.000% Fixed-To-Fixed Reset Rate Junior Subordinated Debentures Due 2060
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EX-4.1
from 8-K
202 pages
Purchase Contract and Pledge Agreement Dated as of November 13, 2019 Among Stanley Black & Decker, Inc. and the Bank of New York Mellon Trust Company, National Association, as Purchase Contract Agent, and Hsbc Bank USA, National Association, as Collateral Agent, Custodial Agent and Securities Intermediary
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EX-4.1
from 8-K
204 pages
Purchase Contract and Pledge Agreement Dated as of May 17, 2017 Among Stanley Black & Decker, Inc. and the Bank of New York Mellon Trust Company, National Association, as Purchase Contract Agent, and Hsbc Bank USA, National Association, as Collateral Agent, Custodial Agent and Securities Intermediary
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EX-4.9
from 8-K
34 pages
Fifth Supplemental Indenture Dated as of December 3, 2013 Between Stanley Black & Decker, Inc., Issuer and Hsbc Bank USA, National Association, Trustee to Indenture Dated as of November 22, 2005 Providing for the Issuance of $400,000,000 5.75% Fixed-To-Floating Rate Junior Subordinated Debentures Due 2053
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EX-4.3
from 8-K
42 pages
Fourth Supplemental Indenture Dated as of December 3, 2013 Between Stanley Black & Decker, Inc., Issuer and Hsbc Bank USA, National Association, Trustee to Indenture Dated as of November 22, 2005
12/34/56
EX-4.1
from 8-K
202 pages
Purchase Contract and Pledge Agreement Dated as of December 3, 2013 Among Stanley Black & Decker, Inc. and the Bank of New York Mellon Trust Company, National Association, as Purchase Contract Agent, and Hsbc Bank USA, National Association, as Collateral Agent, Custodial Agent and Securities Intermediary
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