ASSOCIATION,
asTrustee
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ARTICLE I Definitions and Other Provisions of General Application | 1 | |||
SECTION 1.1. Definitions | 1 | |||
SECTION 1.2. Compliance Certificate and Opinions | 10 | |||
SECTION 1.3. Forms of Documents Delivered to Trustee | 11 | |||
SECTION 1.4. Acts of Holders | 12 | |||
SECTION 1.5. Notices, Etc. to Trustee and Company | 14 | |||
SECTION 1.6. Notice to Holders; Waiver | 15 | |||
SECTION 1.7. Effect of Headings and Table of Contents | 15 | |||
SECTION 1.8. Successors and Assigns | 15 | |||
SECTION 1.9. Separability Clause | 15 | |||
SECTION 1.10. Benefits of Indenture | 15 | |||
SECTION 1.11. Governing Law | 15 | |||
SECTION 1.12. Submission to Jurisdiction | 16 | |||
SECTION 1.13. Non-Business Days | 16 | |||
SECTION 1.14. Shareholder Communications Act | 16 | |||
ARTICLE II Security Forms | 17 | |||
SECTION 2.1. Form of Security | 17 | |||
SECTION 2.2. Restricted Legend | 21 | |||
SECTION 2.3. Form of Trustee’s Certificate of Authentication | 24 | |||
SECTION 2.4. Temporary Securities | 24 | |||
SECTION 2.5. Definitive Securities | 24 | |||
ARTICLE III The Securities | 25 | |||
SECTION 3.1. Payment of Principal and Interest | 25 | |||
SECTION 3.2. Denominations | 27 | |||
SECTION 3.3. Execution, Authentication, Delivery and Dating | 27 | |||
SECTION 3.4. Global Securities | 28 | |||
SECTION 3.5. Registration, Transfer and Exchange Generally | 30 | |||
SECTION 3.6. Mutilated, Destroyed, Lost and Stolen Securities | 31 | |||
SECTION 3.7. Persons Deemed Owners | 32 | |||
SECTION 3.8. Cancellation | 32 | |||
SECTION 3.9. Reserved | 33 | |||
SECTION 3.10. Reserved | 33 | |||
SECTION 3.11. Agreed Tax Treatment | 33 | |||
SECTION 3.12. CUSIP Numbers | 34 | |||
ARTICLE IV Satisfaction and Discharge | 34 | |||
SECTION 4.1. Satisfaction and Discharge of Indenture | 34 | |||
SECTION 4.2. Application of Trust Money | 35 |
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ARTICLE V Remedies | 36 | |||
SECTION 5.1. Events of Default | 36 | |||
SECTION 5.2. Acceleration of Maturity; Rescission and Annulment | 37 | |||
SECTION 5.3. Collection of Indebtedness and Suits for Enforcement by Trustee | 38 | |||
SECTION 5.4. Trustee May File Proofs of Claim | 38 | |||
SECTION 5.5. Trustee May Enforce Claim Without Possession of Securities | 39 | |||
SECTION 5.6. Application of Money Collected | 39 | |||
SECTION 5.7. Limitation on Suits | 39 | |||
SECTION 5.8. Unconditional Right of Holders to Receive Principal, Premium, if any, and Interest | 40 | |||
SECTION 5.9. Restoration of Rights and Remedies | 40 | |||
SECTION 5.10. Rights and Remedies Cumulative | 40 | |||
SECTION 5.11. Delay or Omission Not Waiver | 41 | |||
SECTION 5.12. Control by Holders | 41 | |||
SECTION 5.13. Waiver of Past Defaults | 41 | |||
SECTION 5.14. Undertaking for Costs | 42 | |||
SECTION 5.15. Waiver of Usury, Stay or Extension Laws | 42 | |||
ARTICLE VI The Trustee | 42 | |||
SECTION 6.1. Corporate Trustee Required | 42 | |||
SECTION 6.2. Certain Duties and Responsibilities | 43 | |||
SECTION 6.3. Notice of Defaults | 44 | |||
SECTION 6.4. Certain Rights of Trustee | 44 | |||
SECTION 6.5. May Hold Securities | 46 | |||
SECTION 6.6. Compensation; Reimbursement; Indemnity | 46 | |||
SECTION 6.7. Resignation and Removal; Appointment of Successor | 47 | |||
SECTION 6.8. Acceptance of Appointment by Successor | 48 | |||
SECTION 6.9. Merger, Conversion, Consolidation or Succession to Business | 49 | |||
SECTION 6.10. Not Responsible for Recitals or Issuance of Securities | 49 | |||
SECTION 6.11. Appointment of Authenticating Agent | 49 | |||
ARTICLE VII Holder’s Lists and Reports by Company | 52 | |||
SECTION 7.1. Securities Registrar to Furnish Trustee Names and Addresses of Holders | 52 | |||
SECTION 7.2. Preservation of Information, Communications to Holders | 52 | |||
SECTION 7.3. Reports by Company | 52 | |||
ARTICLE VIII Consolidation, Merger, Conveyance, Transfer or Lease | 54 | |||
SECTION 8.1. Company May Consolidate, Etc., Only on Certain Terms | 54 | |||
SECTION 8.2. Successor Company Substituted | 54 | |||
ARTICLE IX Supplemental Indentures | 55 | |||
SECTION 9.1. Supplemental Indentures without Consent of Holders | 55 | |||
SECTION 9.2. Supplemental Indentures with Consent of Holders | 56 | |||
SECTION 9.3. Execution of Supplemental Indentures | 57 | |||
SECTION 9.4. Effect of Supplemental Indentures | 57 | |||
SECTION 9.5. Reference in Securities to Supplemental Indentures | 57 |
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ARTICLE X Covenants | 57 | |||
SECTION 10.1. Payment of Principal, Premium, if any, and Interest | 57 | |||
SECTION 10.2. Money for Security Payments to be Held in Trust | 57 | |||
SECTION 10.3. Statement as to Compliance | 58 | |||
SECTION 10.4. Calculation Agent | 59 | |||
SECTION 10.5. Pledge of Certain Collateral | 59 | |||
SECTION 10.6. Additional Covenants | 63 | |||
SECTION 10.7. Waiver of Covenants | 64 | |||
SECTION 10.8. Treatment of Securities | 64 | |||
ARTICLE XI Redemption of Securities | 65 | |||
SECTION 11.1. Optional Redemption | 65 | |||
SECTION 11.2. Tax Event Redemption | 65 | |||
SECTION 11.3. Election to Redeem; Notice to Trustee | 65 | |||
SECTION 11.4. Selection of Securities to be Redeemed | 65 | |||
SECTION 11.5. Notice of Redemption | 66 | |||
SECTION 11.6. Deposit of Redemption Price | 67 | |||
SECTION 11.7. Payment of Securities Called for Redemption | 67 | |||
ARTICLE XII Subordination of Securities | 67 | |||
SECTION 12.1. Securities Subordinate to Senior Debt | 67 | |||
SECTION 12.2. No Payment When Senior Debt in Default; Payment Over of Proceeds Upon Dissolution, Etc. | 68 | |||
SECTION 12.3. Payment Permitted If No Default | 69 | |||
SECTION 12.4. Subrogation to Rights of Holders of Senior Debt | 70 | |||
SECTION 12.5. Provisions Solely to Define Relative Rights | 70 | |||
SECTION 12.6. Trustee to Effectuate Subordination | 70 | |||
SECTION 12.7. No Waiver of Subordination Provisions | 70 | |||
SECTION 12.8. Notice to Trustee | 71 | |||
SECTION 12.9. Reliance on Judicial Order or Certificate of Liquidating Agent | 72 | |||
SECTION 12.10. Trustee Not Fiduciary for Holders of Senior Debt | 72 | |||
SECTION 12.11. Rights of Trustee as Holder of Senior Debt; Preservation of Trustee’s Rights | 72 | |||
SECTION 12.12. Article Applicable to Paying Agents | 72 | |||
SCHEDULES | ||||
Schedule A — Determination of LIBOR | ||||
Exhibit A — Form of Officer’s Financial Certificate |
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Junior Subordinated Note due 2035
No. | $[ ] |
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Newcastle Investment Corp. | ||||
By: | ||||
Name: | ||||
Title: |
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Dated: | THE BANK OF NEW YORK MELLON TRUST COMPANY, NATIONAL ASSOCIATION, not in its individual capacity, but solely as Trustee | |||
By: | ||||
Authorized Signatory |
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Dated: | THE BANK OF NEW YORK MELLON TRUST COMPANY, NATIONAL ASSOCIATION, not in its individual capacity, but solely as Trustee | |||
By: | ||||
Authenticating Agent |
By: | ||||
Authorized Signatory |
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NEWCASTLE INVESTMENT CORP. | ||||
By: | /s/ Brian Sigman | |||
Name: | Brian Sigman | |||
Title: | Chief Financial Officer |
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THE BANK OF NEW YORK MELLON TRUST COMPANY, NATIONAL ASSOCIATION,as Trustee | ||||
By: | /s/ Bill Marshall | |||
Name: | Bill Marshall | |||
Title: | Vice President |
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Schedule A-1
Newcastle Investment Corp. | ||||
By: | ||||
Name: | ||||
Title: |
F-1