United Financial Bancorp, Inc. Change of Control Agreements
13 Contracts & Agreements
- UNITED FINANCIAL BANCORP, INC. EXECUTIVE CHANGE IN CONTROL SEVERANCE PLAN (Filed With SEC on March 9, 2015)
- AMENDMENT TO THE CHANGE IN CONTROL AGREEMENT BY AND BETWEEN UNITED BANK AND CHARLIE VALADE (Filed With SEC on March 14, 2011)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on March 14, 2011)
- remove the reimbursement requirement of Rockville Financial, Inc. for excise or income taxes payable by the executive pursuant to Section 280G of the Internal Revenue Code as a... (Filed With SEC on January 10, 2011)
- remove the reimbursement requirement of Rockville Financial, Inc. for excise or income taxes payable by the executive pursuant to Section 280G of the Internal Revenue Code as a... (Filed With SEC on January 10, 2011)
- remove the reimbursement requirement of Rockville Financial, Inc. for excise or income taxes payable by the executive pursuant to Section 280G of the Internal Revenue Code as a... (Filed With SEC on January 10, 2011)
- remove the reimbursement requirement of Rockville Financial, Inc. for excise or income taxes payable by the executive pursuant to Section 280G of the Internal Revenue Code as a... (Filed With SEC on January 10, 2011)
- remove the reimbursement requirement of Rockville Financial, Inc. for excise or income taxes payable by the executive pursuant to Section 280G of the Internal Revenue Code as a... (Filed With SEC on January 10, 2011)
- remove the reimbursement requirement of Rockville Financial, Inc. for excise or income taxes payable by the executive pursuant to Section 280G of the Internal Revenue Code as a... (Filed With SEC on January 10, 2011)
- EX-10.3: CHANGE-IN-CONTROL AND RESTRICTED COVENANT AGREEMENT (Filed With SEC on March 11, 2009)
- EX-10.7 FORM OF CHANGE IN CONTROL SEVERANCE PLAN (Filed With SEC on March 1, 2005)
- EX-10.6 FORM OF CHANGE IN CONTROL AND RESTRICTIVE COVENANT AGREEMENTS (Filed With SEC on March 1, 2005)
- EX-10.5 FORM OF CHANGE IN CONTROL AGREEMENTS (Filed With SEC on March 1, 2005)