Schedule Relating to Form of Consent Form
EX-10.1 2 ex10-1.htm SCHEDULE RELATING TO FORM OF CONSENT FORM
Exhibit 10.1
Schedule of Backstop Consents
Backstop Party | Backstop Commitment Amount (rounded to the nearest cent) | Forward Contract Purchase Commitment (rounded to the nearest cent) |
BG Backstop Partners, L.L.C. | $1,500,000,000.00 | $65,340,909.13 |
GoldenTree Asset Management LP | $1,100,000,000.00 | $47,916,666.69 |
Funds advised by Pentwater Capital Management LP | $777,777,777.77 | $33,880,471.40 |
Appaloosa LP | $750,000,000.00 | $32,670,454.56 |
Anchorage Capital Master Offshore, Ltd. | $575,000,000.00 | $25,047,348.50 |
Knighthead Capital Management, LLC solely on behalf of certain funds and accounts it manages and/or advises | $400,000,000.00 | $17,424,242.43 |
MFN Partners, LP | $500,000,000.00 | $21,780,303.04 |
Redwood Master Fund, Ltd. | $359,854,896.00 | $15,675,497.37 |
Redwood Drawdown Master Fund II, L.P. | $140,145,104.00 | $6,104,805.67 |
Centerbridge Special Credit Partners III, L.P. | $81,226,427.00 | $3,538,272.39 |
Centerbridge Credit Partners Master, L.P. | $243,773,573.00 | $10,618,924.59 |
Attestor Value Master Fund LP | $250,000,000.00 | $10,890,151.52 |
TAO Finance 1, LLC | $245,000,000.00 | $10,672,348.49 |
Redwood IV Finance 1, LLC | $105,000,000.00 | $4,573,863.64 |
Stonehill Capital Management, LLC, solely on behalf of certain funds it manages and/or advises | $250,000,000.00 | $10,890,151.52 |
Silver Point Capital Fund, L.P. | $128,450,654.14 | $5,595,388.35 |
Silver Point Capital Offshore Master Fund, L.P. | $218,073,486.30 | $9,499,413.23 |
SPCP Access Holdings, LLC | $44,809,680.00 | $1,951,936.82 |
SPCP Institutional Group, LLC | $88,666,179.56 | $3,862,352.52 |
Third Point Loan LLC | $340,000,000.00 | $14,810,606.07 |
Soros Fund Management LLC, solely on behalf of certain funds it manages and/or advises | $330,000,000.00 | $14,375,000.01 |
Cyrus Capital Partners, L.P., in its capacity as investment manager to and on behalf of certain of its managed funds | $278,058,796.80 | $12,112,409.72 |
Keyframe Capital Partners, L.P. | $9,941,203.20 | $433,044.84 |
First Pacific Advisors, LP on behalf of certain funds and accounts it manages | $250,000,000.00 | $10,890,151.52 |
American Steadfast, L.P.; Steadfast Capital, L.P.; Steadfast International Master Fund Ltd. | $250,000,000.00 | $10,890,151.52 |
Owl Creek I, L.P. | $7,282,543.37 | $317,232.00 |
Owl Creek II, L.P. | $53,450,796.26 | $2,328,349.08 |
Owl Creek Credit Opportunities Master Fund, L.P. | $50,000,000.00 | $2,178,030.30 |
Owl Creek Overseas Master Fund, Ltd. | $108,323,077.15 | $4,718,618.89 |
Owl Creek SRI Master Fund, Ltd. | $5,943,583.22 | $258,906.09 |
Owl Creek Special Situations Fund, L.P. | $10,000,000.00 | $435,606.06 |
HBK Master Fund L.P. | $220,000,000.00 | $9,583,333.34 |
SteelMill Master Fund LP | $70,000,000.00 | $3,049,242.43 |
Glendon Capital Management L.P. | $132,000,000.00 | $5,750,000.00 |
The Mangrove Partners Master Fund, Ltd. | $125,000,000.00 | $5,445,075.76 |
683 Capital Partners, LP | $105,000,000.00 | $4,573,863.64 |
Leonard Ellis | $10,000,000.00 | $435,606.06 |
Monarch Alternative Capital LP, on behalf of its advisory clients and/or related entities | $100,000,000.00 | $4,356,060.61 |
Governors Lane Master Fund LP | $100,000,000.00 | $4,356,060.61 |
Nokota Capital Master Fund, L.P. | $100,000,000.00 | $4,356,060.61 |
Nut Tree Master Fund, LP | $100,000,000.00 | $4,356,060.61 |
Fidelity Summer Street Trust: Fidelity Capital & Income Fund | $26,000,000.00 | $1,132,575.76 |
Fidelity Securities Fund: Fidelity Leveraged Company Stock Fund | $9,000,000.00 | $392,045.45 |
Fidelity Advisor Series I: Fidelity Advisor Leveraged Company Stock Fund | $5,000,000.00 | $217,803.03 |
Fidelity Advisor Series I: Fidelity Advisor High Income Advantage Fund | $3,400,000.00 | $148,106.06 |
Variable Insurance Products Fund V: Strategic Income Portfolio - High Income Sub | $600,000.00 | $26,136.36 |
Fidelity Advisor Series II: Fidelity Advisor Strategic Income Fund - High Income Sub | $6,000,000.00 | $261,363.64 |
Fidelity Distressed Opportunities Master Fund I, L.P. | $7,000,000.00 | $304,924.24 |
Fidelity Telecom and Utilities Fund | $40,000,000.00 | $1,742,424.24 |
Caspian Capital LP, on behalf of its advisee funds | $86,988,360.00 | $3,789,265.68 |
AG Super Fund Master, L.P.; AG Cataloochee, L.P.; AG MM, L.P.; AG Corporate Credit Opportunities Fund, L.P. | $80,000,000.00 | $3,484,848.49 |
Avenue Energy Opportunities Fund II, AIV L.P. | $75,000,000.00 | $3,267,045.46 |
Solel Capital Partners Master Fund L.P. | $75,000,000.00 | $3,267,045.46 |
Zoe Partners, LP | $30,000,000.00 | $1,306,818.18 |
Irvin Schlussel | $2,500,000.00 | $108,901.52 |
Whitefort Capital Master Fund, LP | $42,000,000.00 | $1,829,545.46 |
Diameter Master Fund LP | $38,011,640.00 | $1,655,810.08 |
Diameter Dislocation Master Fund LP | $2,000,000.00 | $87,121.21 |
DCOIV Master Fund I LP | $3,000,000.00 | $130,681.82 |
Brigade Capital Management, LP solely on behalf of certain funds and accounts it manages and/or advises | $40,000,000.00 | $1,742,424.24 |
Columbus Hill Capital Management, L.P., solely on behalf of certain funds and accounts it manages and/or advises | $40,000,000.00 | $1,742,424.24 |
Serengeti Asset Management, LP, on behalf of its managed funds and accounts | $40,000,000.00 | $1,742,424.24 |
Taal Capital Management LP | $40,000,000.00 | $1,742,424.24 |
CSS, LLC | $40,000,000.00 | $1,742,424.24 |
Madison Avenue International LP | $25,000,000.00 | $1,089,015.15 |
Tyndall Partners, L.P. | $10,000,000.00 | $435,606.06 |
Aryeh Master Fund, LP | $32,500,000.00 | $1,415,719.70 |
Incline Global Management LLC | $25,000,000.00 | $1,089,015.15 |
Lightstone Parent LLC | $25,000,000.00 | $1,089,015.15 |
Route One Investment Company, L.P., as Investment Manager to Route One Fund I, L.P., Route One Fund II, L.P., and Route One Offshore Master Fund, L.P. | $25,000,000.00 | $1,089,015.15 |
Jefferies LLC | $80,000,000.00 | $3,484,848.49 |
Steel Canyon Partners, LP | $8,000,000.00 | $348,484.85 |
BHBL, LLC | $12,500,000.00 | $544,507.58 |
Latigo Partners, LP; on behalf of its Managed Accounts and Affiliated Entities | $20,000,000.00 | $871,212.12 |
Dryden Capital, LLC solely on behalf of certain funds and accounts it manages and/or advises | $3,250,000.00 | $141,571.97 |
D. E. Shaw Galvanic Portfolios, L.L.C. | $149,405,030.42 | $6,508,173.68 |
D. E. Shaw Kalon Portfolios, L.L.C. | $105,619,498.84 | $4,600,849.38 |
York Capital Management Global Advisors, LLC, on behalf of certain funds and/or accounts managed or advised by it or its affiliates | $87,436,981.46 | $3,808,807.91 |
Lord Abbett & Co. LLC | $67,144,315.35 | $2,924,847.07 |
Newtyn Management LLC, on behalf of its advisee funds and members | $40,075,283.17 | $1,745,703.62 |
Brookdale International Partners, L.P. | $13,115,547.22 | $571,321.19 |
Brookdale Global Opportunity Fund | $8,743,698.15 | $380,880.79 |
Tudor Trading I L.P. | $8,795,607.30 | $383,141.98 |
Tudor Riverbend Crossing Partners Portfolio Ltd. | $2,134,015.39 | $92,959.00 |
New Generation Limited Partnership | $1,890,824.72 | $82,365.47 |
New Generation Turnaround Fund (Bermuda) L.P. | $3,289,816.43 | $143,306.40 |
Little Oak Asset Management, LLC | $1,092,962.27 | $47,610.10 |
Schultze Master Fund, Ltd. | $728,641.51 | $31,740.07 |
Total | $12,000,000,000.00* | $522,727,273.00* |
* Does not reflect rounding of individual commitments