Webster Financial Corp (CT) Contracts & Agreements
161 Contracts & Agreements
- Business Finance (33 contracts)
- Human Resources (87)
- Mergers & Acquisitions (2)
- Uncategorized (39)
- Change in Control Agreement, dated as of July 15, 2024, by and between Webster Financial Corporation and William Neal Holland (Filed With SEC on July 15, 2024)
- Non-Competition Agreement, dated as of July 15, 2024, by and between Webster Financial Corporation and William Neal Holland (Filed With SEC on July 15, 2024)
- Webster Financial Corporation 2021 Stock Incentive Plan (Filed With SEC on February 27, 2024)
- Change in Control Agreement (Filed With SEC on February 27, 2024)
- Change in Control Agreement, dated as of (Filed With SEC on February 27, 2024)
- Amendment to Change in Control Agreement, dated as of February 1, 2024, by and between Webster Financial Corporation and Christopher Motl (Filed With SEC on February 27, 2024)
- Change in Control Agreement, dated as of February 1, 2024, by and between Webster Financial Corporation and Luis Massiani (Filed With SEC on February 27, 2024)
- Non-Competition Agreement, dated as of February 1, 2024, by and between Webster Financial Corporation and Luis Massiani (Filed With SEC on February 27, 2024)
- Change in Control Agreement, dated as of September 21, 2023, by and between Webster Financial Corporation and Kristy Berner (Filed With SEC on February 27, 2024)
- Non-Solicitation Agreement, dated as of September 21, 2023 (Filed With SEC on February 27, 2024)
- Change in Control Agreement, dated as of October 12, 2023, by and between Webster Financial Corporation and Elzbieta Cieslik (Filed With SEC on February 27, 2024)
- Non-Competition Agreement, dated as of October 12, 2023, by and between Webster Financial Corporation and Elzbieta Cieslik (Filed With SEC on February 27, 2024)
- Change in Control Agreement, dated as of February 1, 2024, by and between Webster Financial Corporation and Javier Evans (Filed With SEC on February 27, 2024)
- Non-Competition Agreement, dated as of February 1, 2024, by and between Webster Financial Corporation and Javier Evans (Filed With SEC on February 27, 2024)
- Change in Control Agreement, dated as of February 1, 2024, by and between Webster Financial Corporation and James Griffin (Filed With SEC on February 27, 2024)
- Non-Competition Agreement, dated as of February 1, 2024, by and between Webster Financial Corporation and James Griffin (Filed With SEC on February 27, 2024)
- Change in Control Agreement, dated as of October 12, 2023, by and between Webster Financial Corporation and Vikram Nafde (Filed With SEC on February 27, 2024)
- Non-Competition Agreement, dated as of October 12, 2023, by and between Webster Financial Corporation and Vikram Nafde (Filed With SEC on February 27, 2024)
- Change in Control Agreement, dated as of August 11, 2023, by and between Webster Financial Corporation and Jason Soto (Filed With SEC on February 27, 2024)
- Non-Competition Agreement, dated as of August 11, 2023, by and between Webster Financial Corporation and Jason Soto (Filed With SEC on February 27, 2024)
- Change in Control Agreement, dated as of February 1, 2024, by and between Webster Financial Corporation and Marissa Weidner (Filed With SEC on February 27, 2024)
- Non-Competition Agreement, dated as of February 1, 2024, by and between Webster Financial Corporation and Marissa Weidner (Filed With SEC on February 27, 2024)
- Change in Control Agreement, dated as of February 1, 2024, by and between Webster Financial Corporation and Benjamin Krynick (Filed With SEC on February 27, 2024)
- Non-Competition Agreement, dated as of February 1, 2024, by and between Webster Financial Corporation and Benjamin Krynick (Filed With SEC on February 27, 2024)
- Sterling National Bank Deferred Director Fee Plan, As Amended and Restated Effective January 1, 2016 (Filed With SEC on March 10, 2023)
- Amended and Restated Deferred Director Fee Plan effective January 1, 2023 (Filed With SEC on March 10, 2023)
- Description of the Securities of the Registrant (Filed With SEC on February 25, 2022)
- Provident Bank 2005 Supplemental Executive Retirement Plan (Filed With SEC on February 25, 2022)
- Form of Stock Option Award Agreement Pursuant to the Sterling Bancorp 2014 Stock Incentive Plan (Filed With SEC on February 25, 2022)
- Form of Stock Option Award Agreement Pursuant to the Sterling Bancorp Amended and Restated 2015 Omnibus Equity and Incentive Plan (Filed With SEC on February 25, 2022)
- Form of Performance Award Agreement Pursuant to the Sterling Bancorp Amended and Restated 2015 Omnibus Equity and Incentive Plan (Filed With SEC on February 25, 2022)
- Form of NEO Restricted Stock Award Agreement Pursuant to the Sterling Bancorp Amended and Restated 2015 Omnibus Equity and Incentive Plan (Filed With SEC on February 25, 2022)
- Form of non-NEO Restricted Stock Award Agreement Pursuant to the Sterling Bancorp Amended and Restated 2015 Omnibus Equity and Incentive Plan (Filed With SEC on February 25, 2022)
- Second Amendment to Deposit Agreement, dated as of January 31, 2022, by and among Webster Financial Corporation, Sterling Bancorp, Computershare Inc. and Broadridge Corporate... (Filed With SEC on February 1, 2022)
- Retention Agreement, dated as of April 18, 2021, by and between Webster Financial Corporation and John R. Ciulla (Filed With SEC on February 1, 2022)
- Retention Agreement, dated as of April 18, 2021, by and between Webster Financial Corporation and Glenn I. MacInnes (Filed With SEC on February 1, 2022)
- Letter Agreement, dated as of April 18, 2021, by and between Webster Financial Corporation and Jack L. Kopnisky (Filed With SEC on February 1, 2022)
- Retention Agreement, dated as of April 18, 2021, by and between Webster Financial Corporation and Luis Massiani (Filed With SEC on February 1, 2022)
- Agreement and Plan of Merger, dated as of April 18, 2021, by and between Sterling Bancorp and Webster Financial Corporation (Filed With SEC on April 23, 2021)
- Description of Arrangement for Directors Fees (Filed With SEC on February 26, 2021)
- Non-Competition Agreement, dated as of June 25, 2020, by and between Webster Financial Corporation and James C. Smith (Filed With SEC on February 26, 2021)
- Change in Control Agreement, dated as of November 2, 2020, by and between Webster Financial Corporation and Jonathan Roberts (Filed With SEC on February 26, 2021)
- Non-Competition Agreement, dated as of November 2, 2020, by and between Webster Financial Corporation and Jonathan Roberts (Filed With SEC on February 26, 2021)
- Description of the Securities of the Registrant (Filed With SEC on February 28, 2020)
- Employee Stock Purchase Plan (amended and restated effected as of April 1, 2019) (Filed With SEC on May 7, 2019)
- Underwriting Agreement, dated March 20, 2019, between Webster Financial Corporation and J.P. Morgan Securities, LLC, as representative of the several underwriters named in... (Filed With SEC on March 25, 2019)
- Senior Debt Indenture, dated March 25, 2019, between Webster Financial Corporation and The Bank of New York Mellon, as trustee (Filed With SEC on March 25, 2019)
- Supplemental Indenture, dated March 25, 2019, between Webster Financial Corporation and The Bank of New York Mellon, as trustee (Filed With SEC on March 25, 2019)
- Non-Solicitation Agreement, dated July 16, 2018, by and between Webster Financial Corporation and Karen Higgins-Carter (Filed With SEC on November 5, 2018)
- Change in Control Agreement, dated July 16, 2018, between Webster Financial Corporation, and Karen Higgins-Carter (Filed With SEC on August 3, 2018)
- Description of Arrangement for Directors Fees (Filed With SEC on March 1, 2018)
- Change in Control Agreement, dated as of February 26, 2018, by and between Webster Financial Corporation and John Ciulla (Filed With SEC on March 1, 2018)
- Change in Control Agreement, dated as of February 26, 2018, by and between Webster Financial Corporation and Brian Runkle (Filed With SEC on March 1, 2018)
- Non-Solicitation Agreement, dated as of February 26, 2018 by and between Webster Financial Corporation and Brian Runkle (Filed With SEC on March 1, 2018)
- Underwriting Agreement, dated December 5, 2017, by and among Webster Financial Corporation, Merrill Lynch, Pierce, Fenner & Smith Incorporated, Wells Fargo Securities, LLC, J.P.... (Filed With SEC on December 12, 2017)
- Deposit Agreement, dated as of December 12, 2017, by and among Webster Financial Corporation, Broadridge Corporate Issuer Solutions, Inc., as depositary, and the holders from time... (Filed With SEC on December 12, 2017)
- Retirement and Advisory Services Agreement, dated as of September 17, 2017, by and between Webster Financial Corporation and James C. Smith (Filed With SEC on September 19, 2017)
- AMENDED AND RESTATED NON-COMPETITION Agreement (Filed With SEC on May 5, 2017)
- AMENDED AND RESTATED NON-COMPETITION Agreement (Filed With SEC on May 5, 2017)
- AMENDED AND RESTATED NON-COMPETITION Agreement (Filed With SEC on May 5, 2017)
- AMENDED AND RESTATED NON-COMPETITION Agreement (Filed With SEC on May 5, 2017)
- AMENDED AND RESTATED NON-COMPETITION Agreement (Filed With SEC on May 5, 2017)
- Description of Arrangement for Directors Fees (Filed With SEC on March 1, 2017)
- NON-COMPETITION Agreement (Filed With SEC on March 1, 2017)
- Description of Arrangement for Directors Fees (Filed With SEC on February 29, 2016)
- NON-COMPETITION AGREEMENT (Filed With SEC on February 29, 2016)
- NON-COMPETITION AGREEMENT (Filed With SEC on February 29, 2016)
- AMENDMENT NO. 3 TO THE WEBSTER BANK SUPPLEMENTAL DEFINED BENEFIT PLAN FOR EXECUTIVE OFFICERS (Filed With SEC on November 2, 2015)
- AMENDMENT No. 8 TO THE WEBSTER FINANCIAL CORPORATION 1992 STOCK OPTION Plan (Filed With SEC on May 8, 2015)
- NON-COMPETITION AGREEMENT (Filed With SEC on March 20, 2015)
- Description of Arrangement for Directors Fees (Filed With SEC on February 27, 2015)
- NON-COMPETITION AGREEMENT (Filed With SEC on February 27, 2015)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on August 6, 2014)
- NON-SOLICITATION AGREEMENT (Filed With SEC on August 6, 2014)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on May 7, 2014)
- NON-SOLICITATION AGREEMENT (Filed With SEC on May 7, 2014)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 28, 2014)
- Description of Arrangement for Directors Fees (Filed With SEC on February 28, 2014)
- NON-SOLICITATION AGREEMENT (Filed With SEC on February 28, 2014)
- WEBSTER FINANCIAL CORPORATION, Issuer (Filed With SEC on February 11, 2014)
- WEBSTER FINANCIAL CORPORATION and THE BANK OF NEW YORK MELLON as Trustee SUPPLEMENTAL INDENTURE Dated as of February 11, 2014 Supplement to Senior Debt Indenture dated as of... (Filed With SEC on February 11, 2014)
- $150,000,000 Webster Financial Corporation 4.375% Senior Notes due 2024 Underwriting Agreement (Filed With SEC on February 7, 2014)
- 8,744,850 shares WEBSTER FINANCIAL CORPORATION Common Stock, par value $0.01 UNDERWRITING AGREEMENT (Filed With SEC on May 13, 2013)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 28, 2013)
- Description of Arrangement for Directors Fees (Filed With SEC on February 28, 2013)
- CONFIDENTIAL SEPARATION AGREEMENT AND RELEASE (Filed With SEC on February 28, 2013)
- NON-SOLICITATION AGREEMENT (Filed With SEC on February 28, 2013)
- FORM OF CHANGE In CONTROL AGREEMENT (Filed With SEC on December 27, 2012)
- FORM OF NON-COMPETITION AGREEMENT (Filed With SEC on December 27, 2012)
- 10,000,000 shares WEBSTER FINANCIAL CORPORATION Common Stock, par value $0.01 UNDERWRITING AGREEMENT (Filed With SEC on December 12, 2012)
- WEBSTER FINANCIAL CORPORATION 4,400,000Depositary Shares, each representing a 1/1,000th interest in a share of 6.40% Series E Non-Cumulative Perpetual Preferred Stock UNDERWRITING... (Filed With SEC on December 4, 2012)
- AMENDMENT TO SEPARATION AGREEMENT AND GENERAL RELEASE (Filed With SEC on July 27, 2012)
- WEBSTER FINANCIAL CORPORATION 1992 STOCK OPTION PLAN (as amended and restated effective October 23, 2006, as further amended effective January 28, 2007, April 26, 2007, February... (Filed With SEC on May 2, 2012)
- SEPARATION AGREEMENT AND GENERAL RELEASE (Filed With SEC on April 10, 2012)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 29, 2012)
- Description of Arrangementfor Directors Fees (Filed With SEC on February 29, 2012)
- 3,282,276 Warrants WEBSTER FINANCIAL CORPORATION UNDERWRITING AGREEMENT (Filed With SEC on June 8, 2011)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on May 31, 2011)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 28, 2011)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 28, 2011)
- Description of Arrangement for Directors Fees (Filed With SEC on February 28, 2011)
- 6,630,000 shares WEBSTER FINANCIALCORPORATION Common Stock, par value $.01 UNDERWRITING AGREEMENT (Filed With SEC on December 22, 2010)
- Description of Arrangement forDirectors Fees (Filed With SEC on March 1, 2010)
- A-Warrant, Series 2 (Filed With SEC on October 21, 2009)
- B-WARRANT, SERIES 2 (Filed With SEC on October 21, 2009)
- A-Warrant, Series 1 (Filed With SEC on July 31, 2009)
- B-WARRANT, SERIES 1 (Filed With SEC on July 31, 2009)
- Form of A-Warrant, Series 2 (Filed With SEC on July 31, 2009)
- FORM OF B-WARRANT, SERIES 2 (Filed With SEC on July 31, 2009)
- INVESTMENT AGREEMENT (Filed With SEC on July 31, 2009)
- Description of Arrangement for DirectorsFees (Filed With SEC on March 2, 2009)
- EX-4.1: FORM OF SPECIMEN STOCK CERTIFICATE (Filed With SEC on November 24, 2008)
- EX-4.2: WARRANT TO PURCHASE SHARES OF COMMON STOCK (Filed With SEC on November 24, 2008)
- EX-10.1: LETTER AGREEMENT (Filed With SEC on November 24, 2008)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on August 5, 2008)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on August 5, 2008)
- 225,000 Shares 8.50% Series A Non-Cumulative Perpetual Convertible Preferred Stock WEBSTER FINANCIAL CORPORATION Underwriting Agreement (Filed With SEC on June 11, 2008)
- WEBSTER FINANCIAL CORPORATION (Filed With SEC on June 11, 2008)
- SEPARATION AGREEMENT AND GENERAL RELEASE (Filed With SEC on April 25, 2008)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 28, 2008)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 28, 2008)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 28, 2008)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 28, 2008)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 28, 2008)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 28, 2008)
- CHANGE IN CONTROL AGREEMENT (Filed With SEC on February 28, 2008)
- Description of Arrangement for DirectorsFees (Filed With SEC on February 28, 2008)
- WEBSTER CAPITAL TRUST IV (Filed With SEC on June 20, 2007)
- First Supplemental Indenture (Filed With SEC on June 20, 2007)
- AMENDED AND RESTATED TRUST AGREEMENT (Filed With SEC on June 20, 2007)
- GUARANTEE AGREEMENT (Filed With SEC on June 20, 2007)
- AMENDMENT NO. 5 TO THE SUPPLEMENTAL RETIREMENT PLAN FOR EMPLOYEES OF WEBSTER BANK (Filed With SEC on May 1, 2007)
- AMENDMENT NO. 2 TO THE WEBSTER BANK AMENDED AND RESTATED DEFERRED COMPENSATION PLAN FOR DIRECTORS AND OFFICERS (Filed With SEC on May 1, 2007)
- WEBSTER FINANCIAL CORPORATION AMENDMENT NUMBER 2 TO AMENDED AND RESTATED 1992 STOCK OPTION PLAN (Filed With SEC on May 1, 2007)
- AMENDMENT NO. 4 TO THE SUPPLEMENTAL RETIREMENT PLAN FOR EMPLOYEES OF WEBSTER BANK (Filed With SEC on May 1, 2007)
- EX-10.30: DESCRIPTION OF ARRANGEMENT FOR DIRECTORS FEES (Filed With SEC on February 27, 2007)
- AMENDMENT NO. 1 TO THE SUPPLEMENTAL RETIREMENT PLAN FOR EMPLOYEES OF WEBSTER BANK (Filed With SEC on December 22, 2006)
- AMENDMENT NO. 2 TO THE SUPPLEMENTAL RETIREMENT PLAN FOR EMPLOYEES OF WEBSTER BANK (Filed With SEC on December 22, 2006)
- AMENDMENT NO. 3 TO THE SUPPLEMENTAL RETIREMENT PLAN FOR EMPLOYEES OF WEBSTER BANK (Filed With SEC on December 22, 2006)
- EX-10.1: AMENDED AND RETATED 1992 STOCK OPTION PLAN (Filed With SEC on October 26, 2006)
- EX-10.1: NON-COMPETITION AGREEMENT (Filed With SEC on August 4, 2006)
- EX-10.2: CHANGE OF CONTROL AGREEMENT (Filed With SEC on August 4, 2006)
- EX-2.1: AGREEMENT AND PLAN OF MERGER (Filed With SEC on May 10, 2006)
- EX-4.1: SPECIMEN COMMON STOCK CERTIFICATE (Filed With SEC on March 10, 2006)
- EX-10.28: DESCRIPTION OF ARRANGEMENT FOR DIRECTORS FEES (Filed With SEC on March 10, 2006)
- Description of Arrangement for Directors Fees (Filed With SEC on April 26, 2005)
- NON-COMPETITION AGREEMENT (Filed With SEC on April 26, 2005)
- CHANGE OF CONTROL AGREEMENT (Filed With SEC on April 26, 2005)
- EX-10.18: CHANGE OF CONTROL AGREEMENT (Filed With SEC on March 10, 2005)
- EX-10.19: CHANGE OF CONTROL AGREEMENT (Filed With SEC on March 10, 2005)
- EX-10.20: CHANGE OF CONTROL AGREEMENT (Filed With SEC on March 10, 2005)
- EX-10.27: DESCRIPTION OF ARRANGEMENT FOR DIRECTORS FEES (Filed With SEC on March 10, 2005)
- WEBSTER FINANCIAL CORPORATION 1992 STOCK OPTION PLAN (as amended and restated effective January 31, 2005) (Filed With SEC on February 4, 2005)
- FORM OF NON-COMPETITION AGREEMENT (Filed With SEC on February 4, 2005)
- Form of Amendment to Form of Change of Control Agreement (Filed With SEC on February 4, 2005)
- EX-10.1: AMENDED & RESTATED 1992 STOCK OPTION PLAN (Filed With SEC on November 9, 2004)
- EX-10.2: AMENDED & RESTATED 1992 STOCK OPTION PLAN (Filed With SEC on November 9, 2004)
- FORM OF FIRST CITY BANK AFFILIATE AGREEMENT (Filed With SEC on September 10, 2004)
- WEBSTER FINANCIAL CORPORATION (a Delaware corporation) $150,000,000 5.125% Senior Notes due April 15, 2014 PURCHASE AGREEMENT (Filed With SEC on April 12, 2004)
- WEBSTER FINANCIAL CORPORATION, Issuer to THE BANK OF NEW YORK, Trustee SENIOR DEBT INDENTURE Dated as of April 12, 2004 Senior Debt Securities (Filed With SEC on April 12, 2004)
- WEBSTER FINANCIAL CORPORATION and THE BANK OF NEW YORK, as Trustee SUPPLEMENTAL INDENTURE Dated as of April 12, 2004 Supplement to Senior Debt Indenture dated as of April 12, 2004 (Filed With SEC on April 12, 2004)