Pinnacle West Capital Business Finance Contracts & Agreements
29 Contracts & Agreements
- Credit Agreements (1 contract)
- Indenture Agreements (9)
- Loan Agreements (3)
- Note Agreements (5)
- Underwriting Agreements (11)
- Fifth Supplemental Indenture relating to the issuance of $350,000,000 of Floating Rate Senior Notes Due 2026 (Filed With SEC on June 10, 2024)
- Underwriting Agreement dated June 5, 2024, in connection with the offering of $350,000,000 of Floating Rate Notes Due 2026 (Filed With SEC on June 10, 2024)
- Indenture, dated as of June 6, 2024, between Pinnacle West Capital Corporation and The Bank of New York Mellon Trust Company, N.A., as trustee (Filed With SEC on June 6, 2024)
- Underwriting Agreement, dated February 28, 2024, among Pinnacle West Capital Corporation, Barclays Capital Inc., Citigroup Global Markets Inc., Mizuho Securities USA LLC and Wells... (Filed With SEC on March 4, 2024)
- Note of 1.30% Notes due 2025 (Filed With SEC on June 16, 2020)
- Fourth Supplemental Indenture relating to the issuance of $500,000,000 of 1.30% Notes due 2025 (Filed With SEC on June 16, 2020)
- Underwriting Agreement dated June 10, 2020, in connection with the offering of $500,000,000 of 1.30% Notes due 2025 (Filed With SEC on June 16, 2020)
- Note of 3.50% Notes due 2049 (Filed With SEC on November 20, 2019)
- Twenty-Fifth Supplemental Indenture relating to the issuance of $300,000,000 of 3.50% Notes due 2049 (Filed With SEC on November 20, 2019)
- Underwriting Agreement dated November 18, 2019, in connection with the offering of $300,000,000 of 3.50% Notes due 2049 (Filed With SEC on November 20, 2019)
- Specimen Note of 2.60% Notes due 2029 (Filed With SEC on August 16, 2019)
- Form of Twenty-Fourth Supplemental Indenture relating to the issuance of $300,000,000 of 2.60% Notes due 2029 (Filed With SEC on August 16, 2019)
- Underwriting Agreement dated August 12, 2019, in connection with the offering of $300,000,000 of 2.60% Notes due 2029 (Filed With SEC on August 16, 2019)
- 364-Day Term Loan, dated as of May 9, 2019, among Pinnacle West, as Borrower, PNC Bank, National Association, as Agent and Citibank, as Syndication Agent (Filed With SEC on August 8, 2019)
- Term Loan Agreement dated as of February 26, 2019 among APS, as Borrower, SunTrust Bank, as Agent, SunTrust Bank, TD Bank, N.A., U.S. Bank National Association and The Bank of... (Filed With SEC on May 1, 2019)
- Note of 4.25% Notes due 2049 (Filed With SEC on February 28, 2019)
- Twenty-Third Supplemental Indenture relating to the issuance of $300,000,000 of 4.25% Notes due 2049 (Filed With SEC on February 28, 2019)
- Underwriting Agreement dated February 26, 2019, in connection with the offering of $300,000,000 of 4.25% Notes due 2049 (Filed With SEC on February 28, 2019)
- Term Loan Agreement dated as of December 21, 2018 among Pinnacle West, as Borrower, KeyBank National Association, as Agent, PNC Bank, National Association and Wells Fargo Bank,... (Filed With SEC on February 22, 2019)
- Discretionary Credit Award Agreement dated October 20, 2014 between APS and Robert Bement (Filed With SEC on February 22, 2019)
- Note of 2.25% Notes due 2020 (Filed With SEC on November 30, 2017)
- Third Supplemental Indenture relating to the issuance of $300,000,000 of 2.25% Notes due 2020 (Filed With SEC on November 30, 2017)
- Underwriting Agreement dated November 28, 2017, in connection with the offering of $300,000,000 of 2.25% Notes due 2020 (Filed With SEC on November 30, 2017)
- Underwriting Agreement, dated November 6, 2003, in connection with the offering of $165,000,000 of Floating Rate Senior Notes due 2005 (Filed With SEC on November 12, 2003)
- Underwriting Agreement, dated November 6, 2003, in connection with the offering of $165,000,000 of Floating Rate Senior Notes due 2005 (Filed With SEC on November 12, 2003)
- Underwriting Agreement, dated November 6, 2003, in connection with the offering of $165,000,000 of Floating Rate Senior Notes due 2005 (Filed With SEC on November 12, 2003)
- Underwriting Agreement, dated November 6, 2003, in connection with the offering of $165,000,000 of Floating Rate Senior Notes due 2005 (Filed With SEC on November 12, 2003)
- ARIZONA PUBLIC SERVICECOMPANY TO JPMORGAN CHASE BANK Trustee Seventh SupplementalIndenture Dated as of May 1, 2003 To Indenture Dated as of January 15,1998 4.650% Notes due 2015... (Filed With SEC on August 14, 2003)
- ARIZONA PUBLICSERVICE COMPANY (formerly CentralArizona Light and Power Company) TO THE BANK OF NEWYORK Astrustee under Central Arizona Light and Power Companys Mortgage and Deed... (Filed With SEC on August 14, 2003)