KKR Infrastructure Conglomerate LLC Business Finance Contracts & Agreements
10 Contracts & Agreements
- Credit Agreements (2 contracts)
- Joinder Agreements (2)
- Repurchase Agreements (5)
- Trust Agreements (1)
- Facility Upsize and Lender Joinder Agreement, dated October 9, 2024, by and among K-INFRA Liquidity Limited, as borrower representative, Mizuho Bank, Ltd., as administrative agent... (Filed With SEC on November 13, 2024)
- Facility Upsize and Lender Joinder Agreement, dated September 30, 2024, by and among K-INFRA Liquidity Limited, as borrower representative, Mizuho Bank, Ltd., as administrative... (Filed With SEC on November 13, 2024)
- Uncommitted Unsecured Line of Credit, dated August 9, 2024, between K-INFRA HedgeCo LLC, as borrower, and KKR Alternative Assets LLC, as lender (Filed With SEC on August 13, 2024)
- Revolving Credit Agreement, dated as of April 3, 2024, among certain indirect subsidiaries of KKR Infrastructure Conglomerate LLC, as borrowers, Mizuho Bank, Ltd., as joint lead... (Filed With SEC on April 8, 2024)
- KKR Share Repurchase Arrangement, effective April 28, 2023 (Filed With SEC on March 26, 2024)
- Share Repurchase Plan, effective as of September 25, 2023 (Filed With SEC on March 26, 2024)
- Share Repurchase Plan (Filed With SEC on September 28, 2023)
- KKR Repurchase Arrangement (Filed With SEC on May 11, 2023)
- Share Repurchase Plan (Filed With SEC on May 3, 2023)
- Global Custody Agreement, dated as of March 21, 2023, by and among KKR Infrastructure Conglomerate LLC and The Bank of New York Mellon Trust Company, National Association (Filed With SEC on March 24, 2023)