Cash America 2010 Annual Report Download - page 153

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124
Incorporated by Reference
Exhibit No. Exhibit Description Form File No. Exhibit Filing Date
Filed
Herewith
dated as of February 24, 2005 (1)
10.2 First Amendment dated as of March 16, 2007 to
the First Amended and Restated Credit Agreement
dated as of February 24, 2005 among the
Company, Wells Fargo Bank, National
Association, and certain lenders named therein
8-K 001-
09733
10.1 3/22/07
10.3 Commitment Increase Agreement dated as of
February 29, 2008 to the First Amended and
Restated Credit Agreement dated as of
February 24, 2005 among the Company, Wells
Fargo Bank, National Association, and certain
lenders named therein
8-K 001-
09733
10.1 3/5/08
10.4 Second Amendment dated as of June 30, 2008 to
the First Amended and Restated Credit Agreement
dated as of February 24, 2005 among the
Company, Wells Fargo Bank, National
Association, and certain lenders named therein
8-K 001-
09733
10.2 7/7/08
10.5 Third Amendment dated November 21, 2008 to
First Amended and Restated Credit Agreement
dated as of February 24, 2005 among the
Company, Wells Fargo Bank, National
Association, and certain lenders named therein
10-Q 001-
09733
10.2 10/22/09
10.6 Credit Agreement dated November 21, 2008
among the Company, Wells Fargo Bank, National
Association, and certain lenders named therein (1)
10-Q 001-
09733
10.3 10/22/09
10.7 Note Agreement dated as of December 28, 2005
among the Company and the purchasers named
therein for the issuance of the Company’s 6.12%
Senior Notes due December 28, 2015 in the
aggregate principal amount of $40,000,000 (1)
10-Q 001-
09733
10.4 10/22/09
10.8 Amendment No. 1 dated December 11, 2008 to
Note Agreement dated as of December 28, 2005
among the Company and the purchasers named
therein
10-Q 001-
09733
10.5 10/22/09
10.9 Note Purchase Agreement dated as of
December 19, 2006 among the Company and the
purchasers named therein for the issuance of the
Company’s 6.09% Series A Senior Notes due
December 19, 2016 in the aggregate principal
amount of $35,000,000 and 6.21% Series B
Senior Notes due December 19, 2021 in the
aggregate principal amount of $25,000,000
8-K 001-
09733
10.1 12/22/06
10.10 Amendment No. 1 dated December 11, 2008 to
Note Purchase Agreement dated as of
December 19, 2006 among the Company and the
10-Q 001-
09733
10.6 10/22/09