Realty Income Corporation Business Finance Contracts & Agreements
166 Contracts & Agreements
- Credit Agreements (6 contracts)
- Escrow Agreements (1)
- Indenture Agreements (24)
- Loan Agreements (4)
- Note Agreements (64)
- Participation Agreements (1)
- Purchase Agreements (21)
- Stock Agreements (45)
- Amendment and Restatement to Term Loan Agreement, dated January 22, 2024, by and among Realty Income Corporation, as Borrower, the lender parties thereto, as lenders, and Wells... (Filed With SEC on January 24, 2024)
- Amendment and Restatement to Term Loan Agreement, dated January 22, 2024, by and among Realty Income Corporation, as Borrower, the lender parties thereto, as lenders, and Wells... (Filed With SEC on January 24, 2024)
- Form of 4.450% Notes due September 15, 2026 issued on January 23, 2024 (contained in Exhibit 4.18 hereto) (Filed With SEC on January 24, 2024)
- Eighth Supplemental Indenture, dated as of January 23, 2024, by and among Spirit Realty, L.P., Saints MD Subsidiary, Inc. (f/k/a Spirit Realty Capital, Inc.), as guarantor, and... (Filed With SEC on January 24, 2024)
- Form of 4.750% Note due 2029 issued on January 16, 2024 (contained in Exhibit 4.4 hereto) (Filed With SEC on January 16, 2024)
- Purchase Agreement, dated January 8, 2024 between the Representatives of the Underwriters and the Company (Filed With SEC on January 9, 2024)
- Form of 2.700% Notes due 2032 (Filed With SEC on December 19, 2023)
- Form of 3.200% Notes due 2031 (Filed With SEC on December 19, 2023)
- Form of 3.400% Notes due 2030 (Filed With SEC on December 19, 2023)
- Form of 4.000% Notes due 2029 (Filed With SEC on December 19, 2023)
- Form of 2.100% Notes due 2028 (Filed With SEC on December 19, 2023)
- Form of 3.200% Notes due 2027 (Filed With SEC on December 19, 2023)
- Form of 4.450% Notes due 2026 (Filed With SEC on December 19, 2023)
- Form of Eighth Supplemental Indenture, by and among Spirit Realty, L.P., Saints MD Subsidiary, Inc. and U.S. Bank Trust Company, National Association (as successor in interest to... (Filed With SEC on December 19, 2023)
- Form of 5.750% Note due 2031 issued on December 5, 2023 (contained in Exhibit 4.4 hereto) (Filed With SEC on December 5, 2023)
- Purchase Agreement, dated November 28, 2023 between the Representatives of the Underwriters and the Company (Filed With SEC on November 29, 2023)
- Purchase Agreement, dated June 28, 2023 between the Representatives of the Underwriters and the Company (Filed With SEC on June 29, 2023)
- Form of 4.700% Note due 2028 issued on April 14, 2023 (contained in Exhibit 4.4 hereto) (Filed With SEC on April 14, 2023)
- Purchase Agreement, dated April 5, 2023 between the Representatives of the Underwriters and the Company (Filed With SEC on April 6, 2023)
- Form of 5.050% Note due 2026 issued on January 13, 2023 (contained in Exhibit 4.4 hereto) (Filed With SEC on January 13, 2023)
- Purchase Agreement, dated January 9, 2023 between the Representatives of the Underwriters and the Company (Filed With SEC on January 10, 2023)
- Term Loan Agreement, dated January 6, 2023, by and among Realty Income Corporation, as borrower, the lender parties thereto, as lenders, and Toronto Dominion (Texas) LLC, as... (Filed With SEC on January 6, 2023)
- Form of 5.625% Note due 2032 issued on October 13, 2022 (contained in Exhibit 4.3 hereto) (Filed With SEC on October 13, 2022)
- Purchase Agreement, dated October 3, 2022 between the Representatives of the Underwriters and the Company (Filed With SEC on October 5, 2022)
- Form of 1.875% Note due 2027 issued on January 14, 2022 (included in Exhibit 4.4 below) (Filed With SEC on January 14, 2022)
- Purchase Agreement, dated January 11, 2022 between the Underwriters and the Company (Filed With SEC on January 14, 2022)
- 2.850% Notes due December 15, 2032 (Filed With SEC on November 15, 2021)
- 3.100% Notes due December 15, 2029 (Filed With SEC on November 15, 2021)
- 2.200% Notes due June 15, 2028 (Filed With SEC on November 15, 2021)
- 3.400% Notes due January 15, 2028 (Filed With SEC on November 15, 2021)
- 3.950% Notes due August 15, 2027 (Filed With SEC on November 15, 2021)
- 4.875% Notes due June 1, 2026 (Filed With SEC on November 15, 2021)
- 4.625% Notes due November 1, 2025 (Filed With SEC on November 15, 2021)
- 4.600% Notes due February 6, 2024 (Filed With SEC on November 15, 2021)
- Third Supplemental Indenture, dated as of November 9, 2021, by and among VEREIT Operating Partnership, L.P., Rams MD Subsidiary I, Inc. (f/k/a VEREIT, Inc.) and U.S. Bank National... (Filed With SEC on November 15, 2021)
- Form of 2.850% Notes due 2032 (Filed With SEC on October 8, 2021)
- Form of 3.100% Notes due 2029 (Filed With SEC on October 8, 2021)
- Form of 2.200% Notes due June 2028 (Filed With SEC on October 8, 2021)
- Form of 3.400% Notes due January 2028 (Filed With SEC on October 8, 2021)
- Form of 3.950% Notes due 2027 (Filed With SEC on October 8, 2021)