City Holding Company Contracts & Agreements
38 Contracts & Agreements
- Business Finance (8 contracts)
- Human Resources (24)
- Mergers & Acquisitions (3)
- Uncategorized (3)
- Change in Control Agreement for David L. Bumgarner, effective as of May 4, 2022 (Filed With SEC on May 5, 2022)
- Change in Control Agreement for Jeffrey D. Legge, effective as of May 4, 2022 (Filed With SEC on May 5, 2022)
- Change in Control Agreement for Michael T. Quinlan, Jr., effective as of May 4, 2022 (Filed With SEC on May 5, 2022)
- Form of Employment Agreement, dated as of April 1, 2005, by and between City Holding Company and Michael T. (Tim) Quinlan, Jr (Filed With SEC on February 24, 2022)
- Description of City Holding Company's Securities (Filed With SEC on February 27, 2020)
- Indenture, dated as of December 22, 2006, between Town Square Financial Corporation and Wilmington Trust Company, as Trustee (Filed With SEC on March 11, 2019)
- Second Supplemental Indenture, dated as of December 7, 2018, by and between City Holding Company, Poage Bankshares, Inc. and Wilmington Trust Company, as Trustee (Filed With SEC on March 11, 2019)
- CITY HOLDING COMPANY Up to $55,000,000 of Common Stock (par value $2.50 per share) At Market Issuance Sales Agreement (Filed With SEC on December 19, 2016)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on March 7, 2014)
- AGREEMENT AND PLAN OF MERGER by and among COMMUNITY FINANCIAL CORPORATION, INC. COMMUNITY BANK, CITY HOLDING COMPANY, and CITY NATIONAL BANK OF WEST VIRGINIA August 2, 2012 (Filed With SEC on August 7, 2012)
- AMENDMENT TO AGREEMENT AND PLAN OF MERGER (Filed With SEC on March 16, 2012)
- AMENDMENT TO EMPLOYMENT AGREEMENT (Filed With SEC on December 21, 2011)
- AMENDMENT TO EMPLOYMENT AGREEMENT (Filed With SEC on December 21, 2011)
- AGREEMENT AND PLAN OF MERGER by and among VIRGINIA SAVINGS BANCORP, INC., VIRGINIA SAVINGS BANK, F.S.B., CITY HOLDING COMPANY, and CITY NATIONAL BANK OF WEST VIRGINIA November 14,... (Filed With SEC on November 14, 2011)
- RESTRICTEDSTOCK AWARD AGREEMENT Pursuantto the CityHolding Company 2003Incentive Plan (Filed With SEC on July 16, 2009)
- RESTRICTEDSTOCK AWARD AGREEMENT Pursuantto the CityHolding Company 2003Incentive Plan (Filed With SEC on May 5, 2009)
- Amended and Restated Declaration of Trust City Holding Capital Trust III, dated as of March 27, 2008 (Filed With SEC on May 12, 2008)
- Junior Subordinated Indenture, dated as of March 27, 2008, between City Holding Company and Wells Fargo, National Association, as Trustee (Filed With SEC on May 12, 2008)
- City Holding Company Guarantee Agreement, dated as of March 27, 2008 (Filed With SEC on May 12, 2008)
- Employment Agreement of John W. Alderman III (Filed With SEC on August 3, 2007)
- Employment Agreement of Charles R. Hageboeck (Filed With SEC on July 31, 2007)
- Employment Agreement of Craig G. Stilwell (Filed With SEC on July 31, 2007)
- EMPLOYMENT AGREEMENT (Filed With SEC on March 7, 2006)
- CHANGE IN CONTROL AND TERMINATION AGREEMENT (Filed With SEC on March 7, 2006)
- STOCK OPTION AGREEMENT (Filed With SEC on March 15, 2005)
- STOCK OPTION AGREEMENT (Filed With SEC on March 15, 2005)
- DIRECTORS DEFERRED COMPENSATION PLAN ARTICLE I - Definitions (Filed With SEC on March 2, 2005)
- DEFERRED COMPENSATION AGREEMENT (Filed With SEC on March 2, 2005)
- AMENDMENT TO EMPLOYMENT AGREEMENT (Filed With SEC on March 2, 2005)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on March 2, 2005)
- AMENDMENT TO EMPLOYMENT AGREEMENT (Filed With SEC on March 2, 2005)
- CHANGE IN CONTROL AND TERMINATION AGREEMENT (Filed With SEC on August 9, 2004)
- AMENDED AND RESTATED EMPLOYMENT AGREEMENT (Filed With SEC on March 11, 2004)
- AMENDED AND RESTATED EMPLOYMENT AGREEMENT (Filed With SEC on March 11, 2004)
- AMENDED AND RESTATED EMPLOYMENT AGREEMENT (Filed With SEC on March 11, 2004)
- AMENDED AND RESTATED EMPLOYMENT AGREEMENT (Filed With SEC on March 11, 2004)
- AMENDED AND RESTATED EMPLOYMENT AGREEMENT (Filed With SEC on March 11, 2004)
- CITY HOLDING COMPANY AMENDMENT NO. 2 TO 1993 STOCK INCENTIVE PLAN (Filed With SEC on August 14, 2002)