Document:

exv10w5w9

Exhibit 10.5.9

The taking of this document or any certified copy of it or any other document which
constitutes substitute documentation for it, or any document which includes written confirmations
or references to it, into Austria as well as printing out any email communication which refers to
this document in Austria or sending any email communication to which a PDF scan of this document is
attached to an Austrian addressee or sending any email communication carrying an electronic or
digital signature which refers to this document to an Austrian addressee may cause the imposition
of Austrian stamp duty. Accordingly, keep the original document as well as all certified copies
thereof and written and signed references to it outside of Austria and avoid printing out any email
communication which refers to this document in Austria or sending any email communication to which
a PDF scan of this document is attached to an Austrian addressee or sending any email communication
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     REAFFIRMATION AGREEMENT, dated as of August 5, 2011 (this
“Agreement”), among (a) SIG Combibloc Ltd. (the “Reaffirming
Party”), (b) SIG Combibloc Holding GmbH, (c) Credit Suisse AG, as
administrative agent (in such capacity, the “Administrative Agent”)
under the Amended and Restated Credit Agreement (as defined below), (d) The
Bank of New York Mellon, as trustee under the 2011 Senior Secured Notes
Indenture (as defined below) (in such capacity, the “2011 Trustee”),
(e) The Bank of New York Mellon, as trustee under the 2010 Senior Secured
Notes Indenture (as defined below) (in such capacity, the “2010
Trustee”), (f) The Bank of New York Mellon, as trustee under the 2009
Senior Secured Notes Indenture (as defined below) (in such capacity, the
“2009 Trustee”), and (g) The Bank of New York Mellon and Wilmington
Trust (London) Limited as collateral agents (together, the “Collateral
Agents”) under the First Lien Intercreditor Agreement (as defined
below).

          A. The Administrative Agent, the 2009 Trustee, the Collateral Agents and the
Reaffirming Party, among others, entered into the First Lien Intercreditor Agreement dated as of
November 5, 2009, as amended by Amendment No. 1 and Joinder Agreement dated as of January 21, 2010
and as further amended, modified, restated or otherwise supplemented from time to time on or prior
to the date hereof (the “First Lien Intercreditor Agreement”). Capitalized terms used but
not defined herein have the meanings assigned to such terms in the First Lien Intercreditor
Agreement and the Amended and Restated Credit Agreement (as defined below), as applicable.

          B. Pursuant to the Credit Agreement dated as of November 5, 2009 (as amended
modified, restated or otherwise supplemented from time to time on or prior to the date hereof,
including pursuant to Amendment No. 1, dated as of January 21, 2010, Amendment No. 2 and
Incremental Term Loan Assumption Agreement, dated as of May 4, 2010 (“Amendment No. 2”),
Amendment No. 3 and Incremental Term Loan Assumption Agreement, dated as of September 30, 2010
(“Amendment No. 3”) and Amendment No. 4 and Incremental Term Loan Assumption Agreement,
dated as of February 9, 2011 (“Amendment No. 4”), the “Amended and Restated Credit
Agreement”), among Holdings, the Borrowers, the Guarantors from time to time party thereto, the
Lenders from time to time party thereto and the Administrative Agent, certain Borrowers, on
February 9, 2011, borrowed the Term Loans (as defined in Amendment No. 4.

          C. Reynolds Group Issuer (Luxembourg) S.A., Reynolds Group Issuer LLC and Reynolds
Group Issuer Inc. (collectively, the “Issuers”) (as successors to the issuers under the
2009 Senior Secured Notes Indenture), the Collateral Agents, the 2009 Trustee and The Bank of New
York Mellon, London Branch, as paying agent, among others, entered into an indenture, dated as of
November

 

 

5, 2009 (the “2009 Senior Secured Notes Indenture”), pursuant to which the Issuers
issued debt securities (the “2009 Senior Secured Notes”).

          D. The Issuers (as successors to the Escrow Issuers (as defined in the 2010 Senior
Secured Notes Indenture)), the Collateral Agents, the 2010 Trustee and The Bank of New York Mellon,
London Branch, as paying agent, among others, entered into an indenture, dated as of October 15,
2010 (the “2010 Senior Secured Notes Indenture”), pursuant to which the Issuers issued debt
securities (the “2010 Senior Secured Notes”). On November 16, 2010, in connection with
such issuance, the 2010 Trustee became a party to the First Lien Intercreditor Agreement pursuant
to Section 5.02(c) thereof.

          E. The Issuers, the Collateral Agents, the 2011 Trustee and The Bank of New York
Mellon, London Branch, as paying agent, among others, entered into an indenture, dated as of
February 1, 2011 (the “2011 Senior Secured Notes Indenture”, and together with the 2009
Senior Secured Notes Indenture and the 2010 Senior Secured Notes Indenture, the “Senior Secured
Notes Indentures”), pursuant to which the Issuers issued debt securities (the “2011 Senior
Secured Notes”). On February 1, 2011, in connection with such issuance, the 2011 Trustee
became a party to the First Lien Intercreditor Agreement pursuant to Section 5.02(c) thereof.

          F. The Reaffirming Party is party to the Reaffirmed Security Documents (as defined
below).

          G. The Reaffirming Party expects to realize, or has realized, direct and indirect
benefits as a result of the funding of the Term Loans, the issuance of the proceeds from the 2009
Senior Secured Notes, the 2010 Senior Secured Notes and the 2011 Senior Secured Notes and the
consummation of the transactions contemplated thereby.

          H. The Reaffirming Party has received (i) the Bank of Thailand approval in principle
dated March 14, 2011, issued to the Reaffirming Party by the Bank of Thailand which allows the
remittance of the foreign currency sum by the Reaffirming Party for payments of its guarantee
obligations under, among others, the Amended and Restated Credit Agreement and the Senior Secured
Notes Indentures (the “BoT Approval”) and (ii) the requisite permit under the Alien
Business Act of Thailand B.E. 2542 from the Director-General of the Department of Business
Development, Ministry of Commerce of Thailand dated May 31, 2011, permitting the Reaffirming Party
to guarantee the obligations in respect of the Amended and Restated Credit Agreement and the Senior
Secured Notes Indentures issued to the Reaffirming Party (the “Thai Business Permit”).

          I. The Reaffirming Party enters into this Agreement in order to satisfy the
requirements under the Amended and Restated Credit Agreement and the Senior Secured Notes
Indentures and to reaffirm its guarantee obligations under the Amended and Restated Credit
Agreement.

          In consideration of the foregoing and for other good and valuable consideration, the receipt
and sufficiency of which are hereby acknowledged, the parties hereto agree as follows:

ARTICLE I

Reaffirmation

          SECTION 1.01. Reaffirmation. (a) As the Reaffirming Party has received the
Thai Business Permit, for the avoidance of doubt, the Reaffirming Party hereby confirms and
acknowledges that each of the limitations relating to its guarantee obligations and the obligations
under each Reaffirmed Security Document (as defined below) as set out in Amendment No. 2, Amendment
No. 3, Amendment

2

 

No. 4, the Thai confirmation letter dated as of May 4, 2010, the Thai confirmation letter
dated as of November 16, 2010 and the Thai confirmation letter dated as of February 9, 2011 hereby
disapply.

     (b) The Reaffirming Party (i) agrees that, notwithstanding the borrowing of
the Term Loans and the issuance of the 2009 Senior Secured Notes, the 2010 Senior Secured
Notes and the 2011 Senior Secured Notes, each of the Security Documents set forth on Part I
of Schedule A hereto to which it is a party (each, a “Reaffirmed Security
Document”) shall not be affected and continues to be in full force and effect, subject
to the Legal Reservations, and is hereby ratified and reaffirmed, (ii) confirms its
respective guarantees, pledges and grants of security interests in the Collateral to the
extent provided in the Reaffirmed Security Documents and (iii) acknowledges that each such
Reaffirmed Security Document to which it is a party and the First Lien Intercreditor
Agreement continues in full force and effect subject to the Legal Reservations and extends,
subject to the limitations contained therein, to (A) the Term Loans, which are, as of
February 9, 2011, considered “Credit Agreement Obligations” under the First Lien
Intercreditor Agreement and (B) (x) the “Secured Obligations” as defined in the 2009 Senior
Secured Notes Indenture and (y) the “Secured Obligations” as defined in the 2010 Senior
Secured Notes Indenture and the 2011 Senior Secured Notes Indenture, which have been
designated as “Additional Obligations” under and pursuant to the First Lien Intercreditor
Agreement (the “Secured Notes Designation”).

     (c) The Reaffirming Party hereby (i) ratifies and affirms Amendment No. 4 and
the transactions contemplated thereby, (ii) agrees that, notwithstanding the effectiveness
of Amendment No. 4, Article X of the Amended and Restated Credit Agreement continues to be
in full force and effect, (iii) confirms its guarantee of the Bank Obligations (with respect
to itself), all as provided in the Loan Documents as originally executed (including any
limitations expressly set forth therein as may be amended and/or modified from time to time)
and confirms that the guarantor joinder dated as of January 29, 2010 executed by it in
respect of the Credit Agreement is in full force and effect, and (iv) acknowledges that such
guarantee (including any limitations thereto expressly set forth in the relevant Loan
Document, including Schedule 10.03 of the Amended and Restated Credit Agreement mutatis
mutandis and in any Guarantor Joinder to the Amended and Restated Credit Agreement)
continues in full force and effect in respect of the Bank Obligations under the Amended and
Restated Credit Agreement and the other Loan Documents, including the Term Loans and
consents and acknowledges that, subject to paragraph (g) of Section 1.01 of this Agreement,
such guarantee extends to cover the obligations and liabilities under the Amended and
Restated Credit Agreement or any other Loan Document (in particular, obligations pursuant to
the new incremental term loans as contemplated under Amendment No. 4).

     (d) The Reaffirming Party hereby confirms that the supplemental indenture
dated as of January 29, 2010 in respect of the 2009 Senior Secured Notes is in full force
and effect.

     (e) The Reaffirming Party hereby confirms and agrees that, with respect to
any Reaffirmed Security Document to which it is a party, the obligations under the Term
Loans and the “Secured Obligations” as defined in the Senior Secured Notes Indentures
constitute “Obligations” or words of similar import as set forth across from and described
under the applicable Reaffirmed Security Documents listed in Part I of Schedule A.

     (f) The Reaffirming Party hereby agrees that its Parallel Debt, if any,
created under the First Lien Intercreditor Agreement or under any guarantor joinder in
effect prior to the date hereof shall continue to be in full force and effect and shall
accrue to the benefit of each Collateral Agent (for the benefit of the Secured Parties (as
defined in the First Lien Intercreditor

3

 

Agreement)) and shall continue to apply, as applicable, in relation to all Obligations
(as defined in the First Lien Intercreditor Agreement) upon and following the funding of the
Term Loans, the issuance of the 2009 Senior Secured Notes, the 2010 Senior Secured Notes and
the 2011 Senior Secured Notes and the Secured Notes Designation.

     (g) According to the Thai Business Permit, the Reaffirming Party is permitted
to guarantee the obligations of Reynolds Group Holdings Inc., Reynolds Consumer Products
Holdings Inc., Closure Systems International Holdings Inc., Reynolds Group Issuer LLC,
Reynolds Group Issuer Inc., SIG Euro Holding AG & Co., KG aA, SIG Austria Holding GmbH,
Closure Systems International B.V., Beverage Packaging Holdings (Luxembourg) II S.A. and
Reynolds Group Issuer (Luxembourg) S.A. (collectively, the “Relevant Obligors”)
only. Subject to paragraph (h) of Section 1.01 of this Agreement, the parties
hereby agree that (i) the guarantee provided and/or assumed by the Reaffirming Party and
(ii) the scope of the debts and obligations secured by the Reaffirmed Security Documents,
shall be limited to the debts and obligations of the Relevant Obligors, regardless of
whether such debts and obligations of the Relevant Obligors are incurred by themselves or by
the inclusion of, assumption of, guaranteeing of, or being jointly liable to, any other
party’s debts.

     (h) On the effective date of a permit under the Alien Business Act B.E. 2542
obtained by the Reaffirming Party from the Director-General of the Department of Business
Development, Ministry of Commerce of Thailand in respect of the Reaffirming Party’s
guarantee of the obligations of Reynolds Group Holdings Limited and Pactiv Corporation (the
“Additional Thai Business Permit”), (i) the guarantee provided and/or assumed by the
Reaffirming Party and (ii) the scope of the debts and obligations secured by the Reaffirmed
Security Documents, shall extend, without any further action or other formality, to include
the debts and obligations of Reynolds Group Holdings Limited and Pactiv Corporation,
regardless of whether such debts and obligations thereof are incurred by themselves or by
the inclusion of, assumption of, guaranteeing of, or being jointly liable to, any other
party’s debts.

     For the purpose of this clause, the effective date of the Additional Thai Business
Permit means the date of payment of the fees required under the permit or other date as
specifically provided in such Additional Thai Business Permit.

     (i) SIG Combibloc Holding GmbH (i) agrees that, notwithstanding the borrowing
of the Term Loans and the issuance of the 2011 Senior Secured Notes, the Security Document
(as may have been amended and/or confirmed prior to the date hereof) set forth on Part II of
Schedule A hereto in respect of the shares in SIG Combibloc Ltd. to which it is a
party (the “Thai Share Pledge Agreement”) continues to be in full force and effect,
subject to the Legal Reservations, and is hereby ratified and reaffirmed, (ii) confirms its
respective pledges and grants of security interests in the Collateral to the extent provided
in the Thai Share Pledge Agreement and (iii) acknowledges that such Thai Share Pledge
Agreement and the First Lien Intercreditor Agreement continue in full force and effect
subject to the Legal Reservations and extend, subject to the limitations contained therein,
without limitation, to (A) the Term Loans, which are considered “Credit Agreement
Obligations” under the First Lien Intercreditor Agreement, and (B) the “Secured Obligations”
as defined in the 2011 Senior Secured Notes Indenture, which have been designated as
“Additional Obligations” under and pursuant to the First Lien Intercreditor Agreement.

     (j) In addition to all of the foregoing, SIG Combibloc Holding GmbH hereby
confirms and agrees that, with respect to the Thai Share Pledge Agreement, the obligations
under the Term

4

 

Loans and the “Secured Obligations” as defined in the 2011 Senior Secured Notes
Indenture constitute “Obligations” described under the Thai Share Pledge Agreement.

ARTICLE II

Representations and Warranties

          SECTION 2.01. Organization; Powers. The Reaffirming Party hereby represents
and warrants as of the date hereof that it (a) is duly organized, validly existing and in good
standing (or where applicable the equivalent status in any foreign jurisdiction) under the laws of
the jurisdiction of its organization and (b) has the power and authority to execute, deliver and
perform its obligations under this Agreement.

          SECTION 2.02. Authorization. The Reaffirming Party hereby represents and
warrants as of the date hereof that the entry by it into this Agreement and the transactions
contemplated by Amendment No. 4 have been duly authorized by all requisite corporate and/or
partnership and, if required, stockholder, works council and partner action and it has obtained a
valid Thai Business Permit and the BoT Approval which are in full force and effect and have not
been amended or revoked.

          SECTION 2.03. Enforceability. The Reaffirming Party hereby represents and
warrants as of the date hereof that this Agreement has been duly executed and delivered by it and,
subject to the Legal Reservations, constitutes a legal, valid and binding obligation enforceable
against it in accordance with its terms.

ARTICLE III

Miscellaneous

          SECTION 3.01. Notices. All communications and notices hereunder shall be in
writing and given as provided in Section 5.01 of the First Lien Intercreditor Agreement; provided
that all communications and notices to Wilmington Trust (London) Limited hereunder shall be given
to it at the address set forth below, or to such other address as Wilmington Trust (London) Limited
may hereafter specify.

Wilmington Trust (London) Limited

Third Floor

1 King’s Arms Yard

London EC2R 7AF

Facsimile: +44 (0)20 7397 3601

Attention: Elaine Lockhart

          SECTION 3.02. Loan Document. This Agreement is a Loan Document executed
pursuant to the Amended and Restated Credit Agreement and shall be construed, administered and
applied in accordance with the terms of the Amended and Restated Credit Agreement as applicable.

          SECTION 3.03. Effectiveness; Counterparts. This Agreement shall become
effective on the date when copies hereof which, when taken together, bear the signatures of the
Reaffirming Party, the Collateral Agents, the Administrative Agent and the 2011 Trustee, the 2010
Trustee and the 2009 Trustee shall have been received by each of the Collateral Agents, the
Administrative Agent and the 2011 Trustee, the 2010 Trustee and the 2009 Trustee. This Agreement
may not be amended nor may any provision hereof be waived except pursuant to a writing signed by
each of the parties hereto. This

5

 

Agreement may be executed in one or more counterparts, each of which shall be deemed an
original, but all of which together shall constitute one and the same instrument. Delivery by
telecopier or other electronic imaging means of an executed counterpart of a signature page to this
Agreement shall be effective as delivery of an original executed counterpart of this Agreement.

          SECTION 3.04. No Novation. This Agreement shall not extinguish the
obligations for the payment of money outstanding under any Credit Document or discharge or release
the priority of any Credit Document or any other security therefor. Nothing herein shall be
construed as a substitution or novation of the obligations outstanding under any Credit Document or
instruments securing the same, which shall remain in full force and effect. Nothing in or implied
by this Agreement or in any other document contemplated hereby shall be construed as a release or
other discharge of Holdings, any Borrower, any Issuer or any other Grantor under any Credit
Document from any of its obligations and liabilities thereunder. Each of the Credit Documents
shall remain in full force and effect notwithstanding the execution and delivery of this Agreement.

          SECTION 3.05. GOVERNING LAW. THIS AGREEMENT SHALL BE GOVERNED BY, AND
CONSTRUED IN ACCORDANCE WITH, THE LAW OF THE STATE OF NEW YORK.

          SECTION 3.06. Austrian Stamp Duty, Etc. The parties hereto agree that the
provisions of Sections 9.19 (Place of Performance) and 9.20 (Austria Stamp Duty) of the Credit
Agreement (and, if the Credit Agreement is no longer in existence, an equivalent clause in any
Additional Agreement) and the provisions of Sections 5.15 (Place of Performance) and 5.16 (Austrian
Stamp Duty) of the First Lien Intercreditor Agreement (and, if the First Lien Intercreditor
Agreement is no longer in existence, an equivalent clause in any Intercreditor Arrangements) shall
apply to this Agreement as if incorporated herein mutatis mutandis.

          SECTION 3.07. No Other Supplement; Confirmation. Except as expressly set
forth herein, this Agreement shall not by implication or otherwise limit, impair, constitute a
waiver of or otherwise affect the rights and remedies of the Secured Parties under any Loan
Document, and shall not alter, modify, amend or in any way affect any of the terms, conditions,
obligations, covenants or agreements contained in any Loan Document, all of which shall continue in
full force and effect.

          SECTION 3.08. Rights of the Collateral Agents. For the avoidance of doubt,
notwithstanding anything contained herein, each of the protections, immunities, rights, indemnities
and benefits conferred on the Collateral Agents under the Reaffirmed Security Documents and the
First Lien Intercreditor Agreement shall continue in full force and effect and shall apply to this
Agreement as if set out in full herein.

[remainder of page intentionally blank; signature page is next page]

6

 

          IN WITNESS WHEREOF, the parties hereto have caused this Agreement to be duly executed by their
respective authorized officers as of the day and year first above written.

	 	 	 	 	 
	 	SIG COMBIBLOC LTD.

 	 
	 	By:  	/s/ Chiara Brophy
 	 
	 	 	Name:  	Chiara Brophy 	 
	 	 	Title:  	Attorney 	 

	 	 	 	 	 
	 	SIG COMBIBLOC HOLDING GMBH

 	 
	 	By:  	/s/ Chiara Brophy
 	 
	 	 	Name:  	Chiara Brophy 	 
	 	 	Title:  	Authorized Signatory 	 

	 	 	 	 	 
	 	CREDIT SUISSE AG, CAYMAN ISLANDS

BRANCH, as Administrative Agent

 	 
	 	By:  	/s/ Shaheen Malik
 	 
	 	 	Name:  	Shaheen Malik 	 
	 	 	Title:  	Vice President 	 
	 
	 	 	 
	 	By:  	

/s/ Kevin Buddhdew
 	 
	 	 	Name:  	Kevin Buddhdew 	 
	 	 	Title:  	Associate 	 

	 	 	 	 	 
	 	THE BANK OF NEW YORK MELLON, in its

capacity as 2011 Trustee, 2010 Trustee, 2009 Trustee

and Collateral Agent

 	 
	 	By:  	/s/ Catherine F. Donohue
 	 
	 	 	Name:  	Catherine F. Donohue 	 
	 	 	Title:  	Vice President 	 

	 	 	 	 	 
	 	WILMINGTON TRUST (LONDON) LIMITED, in its

capacity as Collateral Agent

 	 
	 	By:  	/s/ Paul Barton
 	 
	 	 	Name:  	Paul Barton 	 
	 	 	Title:  	Relationship Manager 	 
	 

 

 

 

SCHEDULE A

TO THE REAFFIRMATION AGREEMENT

Part I

List of the Reaffirmed Security Documents

Collateral Agent: Wilmington Trust

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined in
	JURISDICTION	 	DOCUMENTS	 	the FLICA
	THAILAND

	 	Conditional assignment of
bank accounts agreement
dated January 29, 2010
between SIG Combibloc Ltd.
as assignor, Wilmington
Trust (London) Limited as
collateral agent and the
Secured Parties (as defined
therein)
	 	“Obligations”
	 
	 	 	 	 
	 

	 	Conditional assignment of
receivables agreement dated
January 29, 2010 between
SIG Combibloc Ltd. as
assignor, Wilmington Trust
(London) Limited as
collateral agent and the
Secured Parties (as defined
therein)
	 	“Obligations”

Part II

List of the Reaffirmed Security Documents

Collateral Agent: Wilmington Trust

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined in
	JURISDICTION	 	DOCUMENTS	 	the FLICA
	THAILAND

	 	Share Pledge Agreement in
respect of shares in SIG
Combibloc Ltd granted by
SIG Combibloc Holding GmbH
dated January 29, 2010
between SIG Combibloc
Holding GmbH as pledgor,
Wilmington Trust (London)
Limited as collateral agent
and the Secured Parties (as
defined therein) and the
Pledge Supplement dated
July 6, 2011.
	 	“Obligations”

Signature Page to Reaffirmation Agreementexv10w5w10

Exhibit 10.5.10

The taking of this document or any certified copy of it or any other document which
constitutes substitute documentation for it, or any document which includes written confirmations
or references to it, into Austria as well as printing out any email communication which refers to
this document in Austria or sending any email communication to which a PDF scan of this document is
attached to an Austrian addressee or sending any email communication carrying an electronic or
digital signature which refers to this document to an Austrian addressee may cause the imposition
of Austrian stamp duty. Accordingly, keep the original document as well as all certified copies
thereof and written and signed references to it outside of Austria and avoid printing out any email
communication which refers to this document in Austria or sending any email communication to which
a PDF scan of this document is attached to an Austrian addressee or sending any email communication
carrying an electronic or digital signature which refers to this document to an Austrian addressee.

     REAFFIRMATION AGREEMENT, dated as of September 8, 2011 (this
“Agreement”), among (a) Reynolds Group Holdings Limited
(“Holdings”), (b) Reynolds Group Holdings Inc., Reynolds Consumer
Products Holdings Inc., Closure Systems International Holdings Inc.,
SIG Euro Holding AG & Co. KGAA, Closure Systems International B.V. and
Pactiv Corporation (collectively, with SIG Austria Holding GmbH, the
“Borrowers”), (c) Reynolds Group Issuer (Luxembourg) S.A. (“Lux
Issuer”), Reynolds Group Issuer LLC (“LLC Issuer”) and Reynolds
Group Issuer Inc. (“Inc. Issuer”) (collectively, the
“Issuers”), (d) the Grantors listed on Schedule A hereto
(the “Security Reaffirming Parties”) and the Grantors listed on
Schedule C hereto (together with the Security Reaffirming Parties,
the “Reaffirming Parties”), (e) Credit Suisse AG, as administrative
agent (in such capacity, the “Administrative Agent”) under the
Credit Agreement (as defined below), (f) The Bank of New York Mellon, as
trustee under the New 2011 Senior Secured Notes Indenture (as defined below)
(in such capacity, the “New 2011 Trustee”) (g) The Bank of New York
Mellon, as trustee under the 2011 Senior Secured Notes Indenture (as defined
below) (in such capacity, the “2011 Trustee”), (h) The Bank of New
York Mellon, as trustee under the 2010 Senior Secured Notes Indenture (as
defined below) (in such capacity, the “2010 Trustee”), (i) The Bank
of New York Mellon, as trustee under the 2009 Senior Secured Notes Indenture
(as defined below) (in such capacity, the “2009 Trustee”) and (j)
The Bank of New York Mellon and Wilmington Trust (London) Limited as
collateral agents (together, the “Collateral Agents”) under the
First Lien Intercreditor Agreement (as defined below).

          A. The Administrative Agent, the 2009 Trustee, the Collateral Agents and the Reaffirming
Parties, among others, entered into the First Lien Intercreditor Agreement dated as of November 5,
2009, as amended by Amendment No. 1 and Joinder Agreement dated as of January 21, 2010 (the
“First Lien Intercreditor Agreement”). Capitalized terms used but not defined herein have
the meanings assigned to such terms in the First Lien Intercreditor Agreement and the Credit
Agreement (as defined below), as applicable.

          B. Pursuant to the Second Amended and Restated Credit Agreement dated as of August 9, 2011 (as
amended from time to time on or prior to the date hereof), the “Credit

 

 

Agreement”), among Holdings, the Borrowers, the Guarantors from time to time party
thereto, the Lenders from time to time party thereto and the Administrative Agent, certain
Borrowers, on [•], 2011, borrowed the Tranche C Term Loans (as defined in Amendment No. 6 and
Incremental Term Loan Assumption Agreement dated as of August 9, 2011 to the Credit Agreement
(“Amendment No. 6”)).

          C. The Issuers (as successors to the issuers under the 2009 Senior Secured Notes Indenture),
the Collateral Agents, the 2009 Trustee and The Bank of New York Mellon, London Branch, as paying
agent, among others, entered into an indenture, dated as of November 5, 2009 (the “2009 Senior
Secured Notes Indenture”), pursuant to which the Issuers issued certain debt securities.

          D. The Issuers (as successors to the Escrow Issuers (as defined in the 2010 Senior Secured
Notes Indenture)), the Collateral Agents, the 2010 Trustee and The Bank of New York Mellon, London
Branch, as paying agent, among others, entered into an indenture, dated as of October 15, 2010 (the
“2010 Senior Secured Notes Indenture”), pursuant to which the Issuers issued certain debt
securities. On November 16, 2010, in connection with such issuance, the 2010 Trustee became a party
to the First Lien Intercreditor Agreement pursuant to Section 5.02(c) thereof.

          E. The Issuers, the Collateral Agents, the 2011 Trustee and The Bank of New York Mellon,
London Branch, as paying agent, among others, entered into an indenture, dated as of February 1,
2011 (the “2011 Senior Secured Notes Indenture”), pursuant to which the Issuers issued
certain debt securities (the “2011 Senior Secured Notes”). On February 1, 2011, in
connection with such issuance, the 2011 Trustee became a party to the First Lien Intercreditor
Agreement pursuant to Section 5.02(c) thereof.

          F. RGHL US Escrow II Inc. (“Escrow Inc. Issuer”) and RGHL US Escrow II LLC
(“Escrow LLC Issuer”) (the “Escrow Issuers”), the New 2011 Trustee and The Bank of
New York Mellon, London Branch, as paying agent, among others, have entered into an indenture,
dated as of August 9, 2011 (the “New 2011 Senior Secured Notes Indenture”), pursuant to
which the Escrow Issuers initially issued debt securities (the “New 2011 Senior Secured
Notes”) in escrow. On the date hereof, in connection with the release from escrow of the
proceeds of the New 2011 Senior Secured Notes, (i) the Escrow LLC Issuer will merge with and into
the LLC Issuer, with the LLC Issuer surviving the merger and assuming by operation of law the
obligations of the Escrow LLC Issuer under the New 2011 Senior Secured Notes, the New 2011 Senior
Secured Notes Indenture and the other applicable documents, (ii) the Escrow Inc. Issuer will merge
with and into the Inc. Issuer, with the Inc. Issuer surviving the merger and assuming by operation
of law the obligations of the Escrow Inc. Issuer under the New 2011 Senior Secured Notes, the New
2011 Senior Secured Notes Indenture and the other applicable documents, and (iii) the Lux Issuer
will assume, on a joint and several basis with the LLC Issuer and the Inc. Issuer, the obligations
of the Escrow Issuers under the New 2011 Senior Secured Notes, the New 2011 Senior Secured Notes
Indenture and the other applicable documents. On the date hereof, in connection with such release
from escrow and mergers, the New 2011 Trustee has become a party to the First Lien Intercreditor
pursuant to Section 5.02(c) thereof.

 

 

          G. Certain of the Security Reaffirming Parties are party to one or more of the Reaffirmed
Security Documents (as defined below).

          H. Each Reaffirming Party expects to realize, or has realized, direct and indirect benefits as
a result of the funding of the Tranche C Term Loans, the release from escrow of the proceeds from
the New 2011 Senior Secured Notes and the consummation of the transactions contemplated thereby.
The release from escrow of the proceeds of the New Senior Secured Notes in order to finance the
Graham Packaging Transactions (as defined in the Credit Agreement) is referred to herein as the
“Escrow Release”.

          In consideration of the foregoing and for other good and valuable consideration, the receipt
and sufficiency of which are hereby acknowledged, the parties hereto agree as follows:

ARTICLE I

Reaffirmation

          SECTION 1.01. Reaffirmation. (a) Each Security Reaffirming Party (i) agrees that,
notwithstanding the borrowing of the Tranche C Term Loans and the issuance of the New 2011 Senior
Secured Notes, each of the Security Documents (as each may have been amended, modified and/or
confirmed on or prior to the date hereof) set forth on Schedule B hereto to which it is a
party (each, a “Reaffirmed Security Document”) continues to be in full force and effect,
subject to the Legal Reservations, and is hereby ratified and reaffirmed, (ii) confirms its
respective pledges and grants of security interests in the Collateral to the extent provided in the
Reaffirmed Security Documents and (iii) acknowledges that each such Reaffirmed Security Document to
which it is a party and the First Lien Intercreditor Agreement continue in full force and effect
subject to the Legal Reservations and extend, subject to the limitations contained therein, to (A)
the Tranche C Term Loans, which shall, as of the date hereof, be considered “Credit Agreement
Obligations” under the First Lien Intercreditor Agreement and (B) the “Secured Obligations” as
defined in the New 2011 Senior Secured Notes Indenture, which have been designated as “Additional
Obligations” under and pursuant to the First Lien Intercreditor Agreement (the “Secured Notes
Designation”).

     (b) Each Reaffirming Party hereby (i) ratifies and affirms Amendment No. 6 and the
transactions contemplated thereby, (ii) agrees that, notwithstanding the effectiveness of
Amendment No. 6, Article X of the Credit Agreement continues to be in full force and effect,
(iii) confirms its guarantee of the Bank Obligations (with respect to itself) as provided in
the Loan Documents as originally executed (including any limitations expressly set forth
therein as may be amended and/or modified from time to time) and (iv) acknowledges that such
guarantee (including any limitations thereto expressly set forth in the relevant Loan
Document, including Schedule 10.03 of the Credit Agreement mutatis mutandis and in any
Guarantor Joinder to the Credit Agreement) continues in full force and effect in respect of
the Bank Obligations under the Credit Agreement and the other Loan Documents, including the
Tranche C Term Loans.

 

 

     (c) Each of the Security Reaffirming Parties hereby confirms and agrees that, with
respect to any Reaffirmed Security Document to which it is a party, the obligations under
the Tranche C Term Loans and the “Secured Obligations” as defined in the New 2011 Senior
Secured Notes Indenture constitute “Obligations” or “Secured Liabilities” or words of
similar import as set forth across from and described under the applicable Reaffirmed
Security Documents listed in Schedule B (subject to certain exceptions in respect of
the documentation listed in Schedule B that is governed by the laws of Quebec and Germany).

     (d) Each of the Security Reaffirming Parties hereby agrees that the Parallel Debt, if
any, of such Security Reaffirming Party created under the First Lien Intercreditor Agreement
or under any guarantor joinder in effect prior to the date hereof shall continue to be in
full force and effect and shall accrue to the benefit of each Collateral Agent (for the
benefit of the Secured Parties (as defined in the First Lien Intercreditor Agreement)) and
shall continue to apply, as applicable, in relation to all Obligations following the funding
of the Tranche C Term Loans, the Escrow Release and the Secured Notes Designation.

     (e) With respect to this Section 1.01, SIG Combibloc (Schweiz) AG (which, as opposed to
the other Security Reaffirming Parties organized under the laws of Switzerland, is not a
party to any of the Reaffirmed Security Documents) consents and agrees solely to Sections
1.01(a)(iii) (as relates to the First Lien Intercreditor Agreement), 1.01(b) and 1.01(d)
herein.

ARTICLE II

Representations and Warranties

          SECTION 2.01. Organization; Powers. Each Reaffirming Party hereby represents and
warrants as of the date hereof that such Reaffirming Party (a) is duly organized, validly existing
and in good standing (or where applicable the equivalent status in any foreign jurisdiction) under
the laws of the jurisdiction of its organization and (b) has the power and authority to execute,
deliver and perform its obligations under this Agreement.

          SECTION 2.02. Authorization. Each Reaffirming Party hereby represents and warrants as
of the date hereof that the entry by such Reaffirming Party into this Agreement has been duly
authorized by all requisite corporate and/or partnership and, if required, stockholder, works
council and partner action.

          SECTION 2.03. Enforceability. Each Reaffirming Party hereby represents and warrants
as of the date hereof that this Agreement has been duly executed and delivered by such Reaffirming
Party and, subject to the Legal Reservations, constitutes a legal, valid and binding obligation of
such Reaffirming Party enforceable against such Reaffirming Party in accordance with its terms.

          SECTION 2.04. Grantors. Holdings hereby represents and warrants as of the date hereof
that each Reaffirming Party and the Grantors listed on Schedule D (which are not

 

 

signatories hereto) hereto constitute all of the Grantors under the Credit Agreement and the
First Lien Intercreditor Agreement existing immediately prior to the date hereof.

ARTICLE III

Miscellaneous

          SECTION 3.01. Notices. All communications and notices hereunder shall be in writing
and given as provided in Section 5.01 of the First Lien Intercreditor Agreement; provided that all
communications and notices to Wilmington Trust (London) Limited hereunder shall be given to it at
the address set forth below, or to such other address as Wilmington Trust (London) Limited may
hereafter specify.

Wilmington Trust (London) Limited

Third Floor

1 King’s Arms Yard

London EC2R 7AF

Facsimile: +44 (0)20 7397 3601

Attention: Elaine Lockhart

          SECTION 3.02. Loan Document. This Agreement is a Loan Document executed pursuant to
the Credit Agreement and shall be construed, administered and applied in accordance with the terms
of the Credit Agreement as applicable.

          SECTION 3.03. Effectiveness; Counterparts. This Agreement shall become effective on
the date when copies hereof which, when taken together, bear the signatures of each Reaffirming
Party, the Collateral Agents, the Administrative Agent, the New 2011 Trustee, the 2011 Trustee, the
2010 Trustee and the 2009 Trustee shall have been received by each of the Collateral Agents, the
Administrative Agent, the New 2011 Trustee, the 2011 Trustee, the 2010 Trustee and the 2009
Trustee. This Agreement may not be amended nor may any provision hereof be waived except pursuant
to a writing signed by each of the parties hereto. This Agreement may be executed in one or more
counterparts, each of which shall be deemed an original, but all of which together shall constitute
one and the same instrument. Delivery by telecopier or other electronic imaging means of an
executed counterpart of a signature page to this Agreement shall be effective as delivery of an
original executed counterpart of this Agreement.

          SECTION 3.04. No Novation. This Agreement shall not extinguish the obligations for
the payment of money outstanding under any Credit Document or discharge or release the priority of
any Credit Document or any other security therefor. Nothing herein shall be construed as a
substitution or novation of the obligations outstanding under any Credit Document or instruments
securing the same, which shall remain in full force and effect. Nothing in or implied by this
Agreement or in any other document contemplated hereby shall be construed as a release or other
discharge of Holdings, any Borrower, any Issuer or any other Grantor under any Credit Document from
any of its obligations and liabilities thereunder. Each of the Credit Documents shall remain in
full force and effect notwithstanding the execution and delivery of this Agreement.

 

 

          SECTION 3.05. GOVERNING LAW. THIS AGREEMENT SHALL BE GOVERNED BY, AND CONSTRUED IN
ACCORDANCE WITH, THE LAWS OF THE STATE OF NEW YORK.

          SECTION 3.06. Austrian Stamp Duty, Etc. The parties hereto agree that the provisions
of Sections 9.19 (Place of Performance) and 9.20 (Austria Stamp Duty) of the Credit Agreement (and,
if the Credit Agreement is no longer in existence, an equivalent clause in any Additional
Agreement) and the provisions of Sections 5.15 (Place of Performance) and 5.16 (Austrian Stamp
Duty) of the First Lien Intercreditor Agreement (and, if the First Lien Intercreditor Agreement is
no longer in existence, an equivalent clause in any Intercreditor Arrangements) shall apply to this
Agreement as if incorporated herein mutatis mutandis.

          SECTION 3.07. No Other Supplement; Confirmation. Except as expressly set forth
herein, this Agreement shall not by implication or otherwise limit, impair, constitute a waiver of
or otherwise affect the rights and remedies of the Secured Parties under any Loan Document, and
shall not alter, modify, amend or in any way affect any of the terms, conditions, obligations,
covenants or agreements contained in any Loan Document, all of which shall continue in full force
and effect.

          SECTION 3.08. Rights of the Collateral Agents. For the avoidance of doubt,
notwithstanding anything contained herein, each of the protections, immunities, rights, indemnities
and benefits conferred on the Collateral Agents under the Reaffirmed Security Documents and the
First Lien Intercreditor Agreement shall continue in full force and effect and shall apply to this
Agreement as if set out in full herein.

[remainder of page intentionally blank; signature page is next page]

 

 

     IN WITNESS WHEREOF, the parties hereto have caused this Agreement to be duly executed by their
respective authorized officers as of the day and year first above written.

	 	 	 	 	 
	 	REYNOLDS GROUP HOLDINGS LIMITED

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Authorised Signatory 	 
	 

	 	 	 	 	 
	 	and witnessed by

 	 
	 	/s/ Karen Mower
 	 
	 	Name:  	Karen Mower 	 
	 	Address: Sydney, Australia

Occupation: Attorney 	 

	 	 	 	 	 
	 	REYNOLDS GROUP HOLDINGS INC.

 	 
	 	By:  	/s/  Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Secretary 	 

	 	 	 	 	 
	 	REYNOLDS CONSUMER PRODUCTS HOLDINGS INC.

 	 
	 	By:  	/s/  Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Vice President and 

Assistant Treasurer 	 

 

 

 

	 	 	 	 	 
	 	CLOSURE SYSTEMS INTERNATIONAL (BRAZIL) SISTEMAS DE

VEDAÇÃO LTDA.

 	 
	 	By  	/s/  Guilherme Rodrigues Miranda
 	 
	 	 	Name:  	Guilherme Rodrigues Miranda 	 
	 	 	Title:  	Manager 	 
	 
	 	SIG BEVERAGES BRASIL LTDA.

 	 
	 	By  	/s/  Félix Colas Morea
 	 
	 	 	Name:  	Félix Colas Morea 	 
	 	 	Title:  	Manager 	 
	 
	 	SIG COMBIBLOC DO BRASIL LTDA.

 	 
	 	By  	/s/ Ricardo Lança Rodriguez
 	 
	 	 	Name:  	Ricardo Lança Rodriguez 	 
	 	 	Title:  	Manager 	 
	 
	 	 	 
	 	By  	

/s/  Antonio Luiz Tafner Ferreira
 	 
	 	 	Name:  	Antonio Luiz Tafner Ferreira 	 
	 	 	Title:  	Manager 	 

	 	 	 	 	 
	 	CSI LATIN AMERICAN HOLDINGS CORPORATION

 	 
	 	By  	/s/  Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Attorney 	 
	 

 

 

 

	 	 	 	 	 
	 	CONFERENCE CUP LTD.

 	 
	 	By  	/s/  Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorised Signatory 	 
	 
	 	DOPACO CANADA, INC.

 	 
	 	By  	/s/  Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorised Signatory 	 
	 
	 	EVERGREEN PACKAGING CANADA LIMITED

 	 
	 	By  	/s/  Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorised Signatory 	 
	 
	 	GARVEN INCORPORATED

 	 
	 	By  	/s/  Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorised Signatory 	 
	 
	 	PACTIV CANADA INC.

 	 
	 	By  	/s/  Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorised Signatory 	 
	 

 

 

 

	 	 	 	 	 
	 	CLOSURE SYSTEMS INTERNATIONAL DEUTSCHLAND GMBH

 	 
	 	By  	/s/  Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Authorized Signatory 	 
	 
	 	CLOSURE SYSTEMS INTERNATIONAL HOLDINGS (GERMANY) GMBH

 	 
	 	By  	/s/  Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Authorized Signatory 	 
	 
	 	SIG BEVERAGES GERMANY GMBH

 	 
	 	By  	/s/  Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Authorized Signatory 	 
	 
	 	SIG COMBIBLOC GMBH

 	 
	 	By  	/s/  Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Authorized Signatory 	 
	 
	 	SIG COMBIBLOC HOLDING GMBH

 	 
	 	By  	/s/  Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Authorized Signatory 	 
	 

 

 

 

	 	 	 	 	 
	 	SIG COMBIBLOC SYSTEMS GMBH

 	 
	 	By  	/s/  Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Authorized Signatory 	 
	 
	 	SIG COMBIBLOC ZERSPANUNGSTECHNIK GMBH

 	 
	 	By  	/s/  Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Authorized Signatory 	 
	 
	 	SIG EURO HOLDING AG & CO. KGAA

towards all parties to this Agreement other

than SIG Reinag AG, acting through its general

partner (Komplementär) SIG Reinag AG

 	 
	 	By  	/s/  Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Authorized Signatory 	 

	 	 	 	 	 
	 	towards SIG Reinag AG, acting through its supervisory board (Aufsichtsrat),
represented by the chairman of the supervisory board acting as its authorized
representative

 	 
	 	/s/ Rolf Stangl
 	 
	 	Name:  	Rolf Stangl 	 
	 	Title:  	Chairman of the supervisory board 	 

	 	 	 	 	 
	 	SIG INFORMATION TECHNOLOGY GMBH

 	 
	 	By  	/s/  Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Authorized Signatory 	 
	 

 

 

 

	 	 	 	 	 
	 	SIG INTERNATIONAL SERVICES GMBH

 	 
	 	By  	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Authorized
Signatory 	 
	 

	 	 	 	 	 
	 	SIG VIETNAM BETEILIGUNGS GMBH

 	 
	 	By   	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Authorized
Signatory 	 
	 

	 	 	 	 	 
	 	PACTIV DEUTSCHLAND HOLDINGGESELLSCHAFT MBH

 	 
	 	By   	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Authorized
Signatory 	 
	 

	 	 	 	 	 
	 	OMNI-PAC EKCO GMBH VERPACKUNGSMITTEL

 	 
	 	By   	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Authorized
Signatory 	 
	 

	 	 	 	 	 
	 	OMNI-PAC GMBH VERPACKUNGSMITTEL

 	 
	 	By   	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Authorized
Signatory 	 
	 

 

	 	 	 	 	 

 

 

	 	 	 	 	 
	 	PACTIV HAMBURG HOLDINGS GMBH

 	 
	 	By   	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Authorized
Signatory 	 

	 	 	 	 	 
	 	SIG ASSET HOLDINGS LIMITED

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorised Signatory 	 

	 	 	 	 	 
	 	CLOSURE SYSTEMS INTERNATIONAL 
(HONG KONG)
LIMITED

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Attorney 	 
	 

	 	 	 	 	 
	 	EVERGREEN PACKAGING (HONG KONG) LIMITED

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Attorney 	 
	 

	 	 	 	 	 
	 	SIG COMBIBLOC LTD

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Attorney 	 
	 

  

 

 

	 	 	 	 	 
	 	CLOSURE SYSTEMS INTERNATIONAL HOLDINGS

(HUNGARY) KFT.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Attorney 	 
	 

	 	 	 	 	 
	 	CSI HUNGARY KFT.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Attorney 	 

	 	 	 	 	 
	 	BEVERAGE PACKAGING HOLDINGS (LUXEMBOURG) I
S.A., a public limited liability company
(société anonyme) with registered office at
6C rue Gabriel Lippmann, L-5365 Munsbach,
Grand-Duchy of Luxembourg, registered with
the Luxembourg register of commerce and
companies under number B 128.592

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorised Signatory 	 
	 

	 	 	 	 	 
	 	BEVERAGE PACKAGING HOLDINGS (LUXEMBOURG) II
S.A., a public limited liability company
(société anonyme) with registered office at
6C rue Gabriel Lippmann, L-5365 Munsbach,
Grand-Duchy of Luxembourg, registered with
the Luxembourg register of commerce and
companies under number B 128.914

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorised Signatory 	 
	 

	 	 	 	 	 
	 	BEVERAGE PACKAGING HOLDINGS (LUXEMBOURG) III
S.À R.L., a private limited liability
company (société à responsabilité limitée)
with registered office at 6C rue Gabriel
Lippmann, L-5365 Munsbach, Grand-Duchy of
Luxembourg, registered with the Luxembourg
register of commerce and companies under
number B 128.135 and having a share capital
of EUR 404,969,325

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorised Signatory 	 
	 

 

 

 

	 	 	 	 	 
	 	EVERGREEN PACKAGING (LUXEMBOURG) S.À R.L., a
private limited liability company (société à
responsabilité limitée) with registered
office at 6c, rue Gabriel Lippmann, L-5365
Munsbach, Grand-Duchy of Luxembourg,
registered with the Luxembourg register of
commerce and companies under number B
152.662 and having a share capital of EUR
12,500

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorised Signatory 	 

	 	 	 	 	 
	 	REYNOLDS GROUP ISSUER (LUXEMBOURG)

S.A., a public limited liability company

(société anonyme) with registered office at

6C rue Gabriel Lippmann, L-5365 Munsbach,

Grand-Duchy of Luxembourg, registered with

the Luxembourg register of commerce and

companies under number B 148.957

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorised Signatory 	 
	 

	 	 	 	 	 
	 	BIENES INDUSTRIALES DEL NORTE, S.A. DE C.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorized Signatory 	 
	 

	 	 	 	 	 
	 	CENTRAL DE BOLSAS, S. DE R.L. DE C.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorized Signatory 	 
	 

	 	 	 	 	 
	 	CSI EN ENSENADA, S. DE R.L. DE C.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorized Signatory 	 
	 

 

 

 

	 	 	 	 	 
	 	CSI EN SALTILLO, S. DE R.L. DE C.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorized Signatory 	 
	 

	 	 	 	 	 
	 	CSI TECNISERVICIO, S. DE R.L. DE C.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorized Signatory 	 
	 

	 	 	 	 	 
	 	EVERGREEN PACKAGING MÉXICO, S. DE R.L. DE

C.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorized Signatory 	 
	 

	 	 	 	 	 
	 	GRUPO CORPORATIVO JAGUAR, S.A. DE C.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorized Signatory 	 
	 

	 	 	 	 	 
	 	GRUPO CSI DE MÉXICO, S. DE R.L. DE C.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorized Signatory 	 
	 

 

 

 

	 	 	 	 	 
	 	MAXPACK, S. DE R.L. DE C.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorized Signatory 	 
	 

	 	 	 	 	 
	 	PACTIV MÉXICO, S. DE R.L. DE C.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorized Signatory 	 
	 

	 	 	 	 	 
	 	REYNOLDS METALS COMPANY DE MÉXICO, S. DE

R.L. DE C.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorized Signatory 	 
	 

	 	 	 	 	 
	 	SERVICIOS INDUSTRIALES JAGUAR, S.A. DE C.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorized Signatory 	 
	 

	 	 	 	 	 
	 	SERVICIO TERRESTRE JAGUAR, S.A. DE C.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorized Signatory 	 
	 

	 	 	 	 	 
	 	TÉCNICOS DE TAPAS INNOVATIVAS, S.A. DE C.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorized Signatory 	 
	 

 

 

 

	 	 	 	 	 
	 	CLOSURE SYSTEMS INTERNATIONAL B.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Its authorised representative:
Attorney 	 
	 

	 	 	 	 	 
	 	EVERGREEN PACKAGING INTERNATIONAL B.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Its authorised representative:
Attorney 	 
	 

	 	 	 	 	 
	 	REYNOLDS CONSUMER PRODUCTS INTERNATIONAL B.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Its authorised representative:
Attorney 	 
	 

	 	 	 	 	 
	 	REYNOLDS PACKAGING INTERNATIONAL B.V.

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Its authorised representative:
Attorney 	 

	 	 	 	 	 
	 	WHAKATANE MILL LIMITED

 	 
	 	By   	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Authorised Signatory 	 
	 
	 	 	 
	 	and witnessed by
 	 
	 	 	/s/ Maya Greenberg 	 
	 	 	Name: Maya Greenberg

Address: Sydney, Australia

Occupation: Solicitor 	 
	 

 

 

 

	 	 	 	 	 
	 	SIG ALLCAP AG 

 	 
	 	By  	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Attorney 	 
	 
	 	SIG COMBIBLOC GROUP AG

 	 
	 	By  	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Attorney 	 
	 
	 	SIG COMBIBLOC PROCUREMENT AG

 	 
	 	By  	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Attorney 	 
	 
	 	SIG COMBIBLOC (SCHWEIZ) AG

 	 
	 	By  	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Attorney 	 
	 
	 	SIG REINAG AG

 	 
	 	By  	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Attorney 	 
	 

 

 

 

	 	 	 	 	 
	 	SIG SCHWEIZERISCHE INDUSTRIE-GESELLSCHAFT AG

 	 
	 	By  	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Attorney 	 
	 
	 	SIG TECHNOLOGY AG

 	 
	 	By  	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Attorney 	 
	 

	 	 	 	 	 
	 	SIG COMBIBLOC LTD.

 	 
	 	By  	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Attorney 	 
	 
	 	CLOSURE SYSTEMS INTERNATIONAL (UK) LIMITED

 	 
	 	By  	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Attorney 	 
	 
	 	IVEX HOLDINGS, LTD.

 	 
	 	By  	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Attorney 	 
	 
	 	J. & W. BALDWIN (HOLDINGS) LIMITED

 	 
	 	By  	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Attorney 	 
	 

 

 

 

	 	 	 	 	 
	 	KAMA EUROPE LIMITED

 	 
	 	By  	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Attorney 	 
	 
	 	OMNI-PAC U.K. LIMITED

 	 
	 	By  	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Attorney 	 
	 
	 	REYNOLDS CONSUMER PRODUCTS (UK) LIMITED

 	 
	 	By  	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Attorney 	 
	 
	 	REYNOLDS SUBCO (UK) LIMITED

 	 
	 	By  	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Attorney 	 
	 
	 	SIG HOLDINGS (UK) LIMITED

 	 
	 	By  	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Attorney 	 

 

 

 

	 	 	 	 	 
	 	SIG COMBIBLOC LIMITED

 	 
	 	By  	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Attorney 	 
	 
	 	THE BALDWIN GROUP LIMITED

 	 
	 	By  	/s/ Karen Michelle Mower
 	 
	 	 	Name:  	Karen Michelle Mower 	 
	 	 	Title:  	Attorney 	 
	 
	 	BAKERS CHOICE PRODUCTS, INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Assistant Secretary 	 
	 
	 	BLUE RIDGE HOLDING CORP.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Secretary 	 
	 
	 	BLUE RIDGE PAPER PRODUCTS INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Secretary 	 
	 

 

 

 

	 	 	 	 	 
	 	BRPP, LLC

By: BLUE RIDGE PAPER PRODUCTS INC., its

Sole Member and Manager

 	 
	 	  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Secretary 	 
	 
	 	CLOSURE SYSTEMS INTERNATIONAL AMERICAS, INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Assistant Secretary 	 
	 
	 	CLOSURE SYSTEMS INTERNATIONAL HOLDINGS INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Vice President and
Secretary 	 
	 
	 	CLOSURE SYSTEMS INTERNATIONAL INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Assistant Secretary 	 
	 
	 	CLOSURE SYSTEMS INTERNATIONAL PACKAGING
MACHINERY INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Assistant Secretary 	 
	 
	 	CLOSURE SYSTEMS MEXICO HOLDINGS LLC

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Assistant Secretary 	 
	 

 

 

 

	 	 	 	 	 
	 	CSI MEXICO LLC

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Assistant Secretary 	 
	 
	 	CSI SALES & TECHNICAL SERVICES INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Vice President and Assistant Secretary 	 
	 
	 	DOPACO, INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Vice President 	 
	 
	 	EVERGREEN PACKAGING INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Secretary 	 
	 
	 	EVERGREEN PACKAGING INTERNATIONAL (US) INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Secretary 	 
	 
	 	EVERGREEN PACKAGING USA INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Secretary 	 
	 

 

 

 

	 	 	 	 	 
	 	NEWSPRING INDUSTRIAL CORP.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Vice President 	 
	 
	 	PACTIV CORPORATION

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Vice President 	 
	 
	 	PACTIV FACTORING LLC

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Vice President 	 
	 
	 	PACTIV GERMANY HOLDINGS, INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Vice President 	 
	 
	 	PACTIV INTERNATIONAL HOLDINGS INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Vice President 	 
	 

 

 

 

	 	 	 	 	 
	 	PACTIV MANAGEMENT COMPANY LLC

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Vice President 	 
	 
	 	PACTIV RETIREMENT ADMINISTRATION LLC

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Vice President 	 
	 
	 	PACTIV RSA LLC

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Vice President 	 
	 
	 	PCA WEST INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Vice President 	 
	 
	 	PRAIRIE PACKAGING, INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Vice President 	 
	 

 

 

 

	 	 	 	 	 
	 	PWP HOLDINGS, INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Vice President 	 
	 
	 	PWP INDUSTRIES, INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Vice President 	 
	 
	 	REYNOLDS CONSUMER PRODUCTS, INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Assistant Secretary 	 
	 
	 	REYNOLDS FLEXIBLE PACKAGING INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Assistant Secretary 	 
	 
	 	REYNOLDS FOIL INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Assistant Secretary 	 
	 

 

 

 

	 	 	 	 	 
	 	REYNOLDS FOOD PACKAGING LLC

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Assistant Secretary 	 
	 
	 	REYNOLDS GROUP ISSUER INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Secretary 	 
	 
	 	REYNOLDS GROUP ISSUER LLC

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Secretary 	 
	 
	 	REYNOLDS PACKAGING INC.

 	 
	 	By  	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Assistant Secretary 	 
	 
	 	REYNOLDS PACKAGING KAMA INC.

 	 
	 	By  	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Assistant
Secretary 	 
	 

 

 

 

	 	 	 	 	 
	 	REYNOLDS PACKAGING LLC

 	 
	 	By  	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Assistant
Secretary 	 
	 
	 	REYNOLDS SERVICES INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Secretary 	 
	 
	 	SIG COMBIBLOC INC.

 	 
	 	By  	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Assistant
Secretary 	 
	 
	 	SIG HOLDING USA, INC.

 	 
	 	By  	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Assistant
Secretary 	 
	 
	 	SOUTHERN PLASTICS INC.

 	 
	 	By  	/s/ Helen Dorothy Golding
 	 
	 	 	Name:  	Helen Dorothy Golding 	 
	 	 	Title:  	Assistant Secretary 	 

	 	 	 	 	 
	 	ULTRA PAC, INC.

 	 
	 	By  	/s/ Cindi Lefari
 	 
	 	 	Name:  	Cindi Lefari 	 
	 	 	Title:  	Assistant
Secretary 	 
	 

 

 

 

	 	 	 	 	 
	 	CREDIT SUISSE AG, CAYMAN
ISLANDS BRANCH, as Administrative

Agent,

 	 
	 	by  	/s/ Ari Bruger
 	 
	 	 	Name:  	Ari Bruger 	 
	 	 	Title:  	Vice President 	 
	 
	 	 	 
	 	by  	/s/ Kevin Buddhdew
 	 
	 	 	Name:  	Kevin Buddhdew 	 
	 	 	Title:  	Associate 	 
	 

STATE OF NEW YORK

COUNTY OF NEW YORK

On the 31 day of August in the year 2011 before me, the
undersigned,
personally appeared Ari Bruger, VP, personally known to me or
proved to me
on the basis of satisfactory evidence to be the individual whose name is subscribed to the within
instrument and acknowledged to me that she executed the same in her capacity, and that by her
signature on the instrument, the individual, or the person upon behalf of which the individual
acted,
executed the instrument.

	 	 	 	 	 
	 	 	 
	 	     /s/  Marjorie E. Bull
 	 
	 	Name:  	Marjorie E. Bull 	 
	 	 	 
	 

Sworn to before me this 31 day of August, 2011

Notary Public

Printed Name: Marjorie E. Bull

My Commission Expires:

	 	 	 

	 
	 	02/20/2015

STATE OF NEW YORK

COUNTY OF NEW YORK

On the 31 day of August in the year 2011 before me, the
undersigned,
personally appeared Kevin Buddhdew, Associate, personally known to me
or proved to me
on the basis of satisfactory evidence to be the individual whose name is subscribed to the within
instrument and acknowledged to me that she executed the same in her capacity, and that by her
signature on the instrument, the individual, or the person upon behalf of which the individual
acted,
executed the instrument.

	 	 	 	 	 
	 	 	 
	 	     /s/ Marjorie E. Bull
 	 
	 	Name:  	Marjorie E. Bull 	 
	 	 	 
	 

Sworn to before me this 31 day of August, 2011

Notary Public

Printed Name: Marjorie E. Bull

My Commission Expires:

	 	 	 

	 
	 	02/20/2015

 

 

	 	 	 	 	 
	 	THE BANK OF NEW YORK MELLON,

in its capacity as Collateral Agent

 	 
	 	by  	/s/  Catherine F. Donohue
 	 
	 	 	Name:  	Catherine F. Donohue 	 
	 	 	Title:  	Vice President 	 
	 

STATE OF NEW YORK

COUNTY OF NEW YORK

On the 31 day of August in the year 2011 before me, the undersigned,
personally appeared Catherine F. Donohue , personally known to me or proved to
me
on the basis of satisfactory evidence to be the individual whose name is subscribed to the within
instrument and acknowledged to me that she executed the same in her capacity, and that by her
signature on the instrument, the individual, or the person upon behalf of which the individual
acted,
executed the instrument.

	 	 	 	 	 
	 	 	 
	 	     /s/   Caroline Jose
 	 
	 	Name:  	Caroline Jose 	 
	 	 	 
	 

Sworn to before me this 31 day of August, 2011

Notary Public

Printed Name: Caroline Jose

My Commission Expires:

	 	 	 

	 
	 	April 13, 2013

 

 

	 	 	 	 	 
	 	THE BANK OF NEW YORK MELLON, in

its capacity as New 2011 Trustee, 2011

Trustee, 2010 Trustee and 2009 Trustee,

 	 
	 	By:  	/s/ Catherine F. Donohue
 	 
	 	 	Name:  	Catherine F. Donohue 	 
	 	 	Title:  	Vice President 	 
	 

STATE OF NEW YORK

COUNTY OF NEW YORK

On the 31 day of August in the year 2011 before me, the
undersigned,
personally appeared Catherine F. Donohue, personally known to me or
proved to me
on the basis of satisfactory evidence to be the individual whose name is subscribed to the within
instrument and acknowledged to me that she executed the same in her capacity, and that by her
signature on the instrument, the individual, or the person upon behalf of which the individual
acted,
executed the instrument.

	 	 	 	 	 
	 	 	 
	 	     /s/   Caroline Jose
 	 
	 	Name:  	Caroline Jose 	 
	 	 	 
	 

Sworn to before me this 31 day of August, 2011

Notary Public

Printed Name: Caroline Jose

My Commission Expires:

	 	 

	 
	April 13, 2013

 

 

	 	 	 	 	 
	 	WILMINGTON TRUST (LONDON) LIMITED,

in its capacity as Collateral Agent

 	 
	 	by  	/s/ Paul Barton
 	 
	 	 	Name:  	Paul Barton 	 
	 	 	Title:  	Relationship Manager 	 
	 

 

 

SCHEDULE A

TO REAFFIRMATION AGREEMENT

List of the Security Reaffirming Parties

	 	 	 
	JURISDICTION	 	ENTITY
	BRAZIL

	 	Closure Systems International (Brazil) Sistemas de

Vedacao Ltda
	 

	 	SIG Beverages Brasil Ltda.
	 

	 	SIG Combibloc do Brasil Ltda
	 
	 	 
	BRITISH VIRGIN ISLANDS

	 	CSI Latin American Holdings Corporation
	 
	 	 
	CANADA

	 	Pactiv Canada Inc.
	 

	 	Conference Cup Ltd.
	 

	 	Dopaco Canada, Inc.
	 

	 	Garven Incorporated
	 

	 	Evergreen Packaging Canada Limited
	 
	 	 
	GERMANY

	 	SIG Euro Holding AG & Co. KGaA
	 

	 	SIG Beverages Germany GmbH
	 

	 	SIG Combibloc Holding GmbH
	 

	 	SIG Vietnam Beteiligungs GmbH
	 

	 	SIG Combibloc GmbH
	 

	 	SIG Combibloc Systems GmbH
	 

	 	SIG Combibloc Zerspanungstechnik GmbH
	 

	 	SIG Information Technology GmbH
	 

	 	SIG International Services GmbH
	 

	 	Closure Systems International Holdings (Germany) GmbH
	 

	 	Closure Systems International Deutschland GmbH
	 

	 	Pactiv Deutschland Holdinggesellschaft mbH
	 

	 	Omni-Pac Ekco GmbH Verpackungsmittel
	 

	 	Omni-Pac GmbH Verpackungsmittel
	 

	 	Pactiv Hamburg Holdings GmbH
	 
	 	 
	GUERNSEY

	 	SIG Asset Holdings Limited
	 
	 	 
	HONG KONG

	 	SIG Combibloc Limited
	 

	 	Closure Systems International (Hong Kong) Limited
	 

	 	Evergreen Packaging (Hong Kong) Limited
	 
	 	 
	HUNGARY

	 	Closure Systems International Holdings (Hungary) Kft

CSI Hungary Kft
	 
	 	 
	LUXEMBOURG

	 	Beverage Packaging Holdings (Luxembourg) I S.A.
	 

	 	Beverage Packaging Holdings (Luxembourg) II S.A.
	 

	 	Beverage Packaging Holdings (Luxembourg) III S.à.r.l.
	 

	 	Reynolds Group Issuer (Luxembourg) S.A.
	 

	 	Evergreen Packaging (Luxembourg) S.à r.l.
	 
	 	 
	MEXICO

	 	Grupo CSI de México, S. de R.L. de C.V.
	 

	 	CSI en Saltillo, S. de R.L. de C.V.
	 

	 	CSI en Ensenada, S. de R.L. de C.V.
	 

	 	CSI Tecniservicio, S. de R.L. de C.V.
	 

	 	Bienes Industriales del Norte, S.A. de C.V.
	 

	 	Técnicos de Tapas Innovativas, S.A. de C.V.
	 

	 	Evergreen Packaging México, S. de R.L. de C.V.
	 

	 	Reynolds Metals Company de México, S. de R.L. de C.V.
	 

	 	Maxpack, S. de R.L. de C.V.
	 

	 	Central de Bolsas, S. de R.L. de C.V.
	 

	 	Servicios Industriales Jaguar, S.A. de C.V.
	 

	 	Servicio Terrestre Jaguar, S.A. de C.V.
	 

	 	Grupo Corporativo Jaguar, S.A. de C.V.
	 

	 	Pactiv México, S. de R.L. de C.V.

 

 

	 	 	 
	JURISDICTION	 	ENTITY
	NETHERLANDS

	 	Closure Systems International B.V.
	 

	 	Reynolds Consumer Products International B.V.
	 

	 	Evergreen Packaging International B.V.
	 

	 	Reynolds Packaging International B.V.
	 
	 	 
	NEW ZEALAND

	 	Reynolds Group Holdings Limited
	 

	 	Whakatane Mill Limited
	 
	 	 
	SWITZERLAND

	 	SIG Combibloc Group AG
	 

	 	SIG Reinag AG
	 

	 	SIG Technology AG
	 

	 	SIG allCap AG
	 

	 	SIG Combibloc Procurement AG
	 

	 	SIG Schweizerische Industrie-Gesellschaft AG
	 

	 	SIG Combibloc (Schweiz) AG
	 
	 	 
	THAILAND

	 	SIG Combibloc Ltd.
	 
	 	 
	UNITED KINGDOM

	 	SIG Combibloc Limited
	 

	 	Closure Systems International (UK) Limited
	 

	 	Reynolds Subco (UK) Limited
	 

	 	SIG Holdings (UK) Limited
	 

	 	Reynolds Consumer Products (UK) Limited
	 

	 	Ivex Holdings, Ltd.
	 

	 	Kama Europe Limited
	 

	 	The Baldwin Group Limited
	 

	 	J. & W. Baldwin (Holdings) Limited
	 

	 	Omni-Pac U.K. Limited
	 
	 	 
	UNITED STATES

	 	Bakers Choice Products, Inc.
	 

	 	Closure Systems International Holdings Inc.
	 

	 	Closure Systems International Inc.
	 

	 	Closure Systems Mexico Holdings LLC
	 

	 	CSI Mexico LLC
	 

	 	CSI Sales & Technical Services Inc.
	 

	 	Reynolds Consumer Products Holdings Inc.
	 

	 	Reynolds Consumer Products, Inc.
	 

	 	Reynolds Foil Inc.
	 

	 	Reynolds Group Holdings Inc.
	 

	 	Reynolds Group Issuer LLC
	 

	 	Reynolds Group Issuer Inc.
	 

	 	Closure Systems International Packaging Machinery Inc.
	 

	 	Reynolds Services Inc.
	 

	 	SIG Combibloc Inc.
	 

	 	SIG Holding USA, Inc.
	 

	 	Southern Plastics Inc.
	 

	 	Closure Systems International Americas, Inc.
	 

	 	Blue Ridge Holding Corp.
	 

	 	Blue Ridge Paper Products Inc.
	 

	 	BRPP, LLC
	 

	 	Evergreen Packaging Inc.
	 

	 	Evergreen Packaging USA Inc.

 

 

	 	 	 
	JURISDICTION	 	ENTITY
	 

	 	Evergreen Packaging International (US) Inc.
	 

	 	Reynolds Packaging, Inc.
	 

	 	Reynolds Flexible Packaging Inc.
	 

	 	Ultra Pac, Inc.
	 

	 	Reynolds Food Packaging LLC
	 

	 	Reynolds Packaging Kama Inc.
	 

	 	Reynolds Packaging LLC
	 

	 	Pactiv Corporation
	 

	 	Pactiv Factoring LLC
	 

	 	Pactiv RSA LLC
	 

	 	Pactiv Retirement Administration LLC
	 

	 	Pactiv Germany Holdings, Inc.
	 

	 	Pactiv International Holdings Inc.
	 

	 	Pactiv Management Company LLC
	 

	 	PCA West Inc.
	 

	 	Prairie Packaging, Inc.
	 

	 	PWP Holdings, Inc.
	 

	 	PWP Industries, Inc.
	 

	 	Newspring Industrial Corp.
	 

	 	Dopaco, Inc.

 

 

SCHEDULE B

TO THE REAFFIRMATION AGREEMENT

Part I

List of the Reaffirmed Security Documents

Collateral Agent: The Bank of New York Mellon

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined in
	JURISDICTION	 	DOCUMENTS	 	the FLICA
	BRAZIL

	 	Pledge Agreement over
Receivables and other
Credit Rights between
The Bank of New York
Mellon and Closure
Systems International
(Brazil) Sistemas de
Vedação Ltda. dated
as of January 29,
2010.
	 	“Secured Obligations”
	 
	 	 	 	 
	 

	 	Accounts Pledge
Agreement between The
Bank of New York
Mellon and Closure
Systems International
(Brazil) Sistemas de
Vedação Ltda. dated
as of January 29,
2010.	 	 
	 
	 	 	 	 
	 

	 	Pledge Agreement over
Inventory, Equipment
and other Assets
between The Bank of
New York Mellon and
Closure Systems
International
(Brazil) Sistemas de
Vedação Ltda. dated
as of January 29,
2010.	 	 
	 
	 	 	 	 
	 

	 	Quota Pledge
Agreement between The
Bank of New York
Mellon, Closure
Systems International
B.V., Closure Systems
International
Holdings, Inc. and
Closure Systems
International
(Brazil) Sistemas de
Vedação Ltda. dated
as of January 29,
2010.	 	 
	 
	 	 	 	 
	 

	 	Accounts Pledge
Agreement between The
Bank of New York
Mellon and SIG
Combibloc do Brasil
Ltda. dated as of
March 30, 2010.	 	 
	 
	 	 	 	 
	 

	 	Pledge Agreement over
Receivables and other
Credit Rights between
The Bank of New York
Mellon and SIG
Combibloc do Brasil
Ltda. dated as of
March 30, 2010.	 	 
	 
	 	 	 	 
	 

	 	Quota Pledge
Agreement between The
Bank of New York
Mellon, SIG Euro
Holding AG & Co.
KGaA, SIG Beverages
Germany GmbH and SIG
Beverages Brasil
Ltda. dated as of
March 30, 2010.	 	 
	 
	 	 	 	 
	BRITISH VIRGIN ISLANDS

	 	Debenture dated
December 2, 2009
granted by CSI Latin
American Holdings
Corporation.
	 	“Secured Liabilities”
	 
	 	 	 	 
	 

	 	Share charge dated
December 2, 2009
granted by Closure
Systems International
B.V. over shares in
CSI Latin American
Holdings Corporation.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined in
	JURISDICTION	 	DOCUMENTS	 	the FLICA
	CANADA

	 	Canadian General
Security Agreement
dated as of December
2, 2009 granted by
Closure Systems
International
(Canada) Limited (a
predecessor of Pactiv
Canada Inc.) to The
Bank of New York
Mellon, as collateral
agent.
	 	“Obligations”
	 
	 	 	 	 
	 

	 	Canadian General
Security Agreement
dated as of May 4,
2010 granted by
Evergreen Packaging
Canada Limited in
favour of The Bank of
New York Mellon.	 	 
	 
	 	 	 	 
	 

	 	Canadian Pledge
Agreement dated as of
May 4, 2010 granted
by Evergreen
Packaging
International B.V. in
favour of The Bank of
New York Mellon in
respect of shares in
Evergreen Packaging
Canada Limited.	 	 
	 
	 	 	 	 
	 

	 	Deed of Hypothec
granted by Evergreen
Packaging Canada
Limited in favour of
The Bank of New York
Mellon dated June 28,
2010.	 	 
	 
	 	 	 	 
	 

	 	Bond issued under
said Deed of Hypothec
by Evergreen
Packaging Canada
Limited in favour of
The Bank of New York
Mellon dated June 28,
2010.	 	 
	 
	 	 	 	 
	 

	 	Bond Pledge Agreement
granted by Evergreen
Packaging Canada
Limited in favour of
The Bank of New York
Mellon dated June 28,
2010.	 	 
	 
	 	 	 	 
	 

	 	Canadian General
Security agreement
dated as of September
1, 2010 granted by
Reynolds Food
Packaging Canada Inc.
(a predecessor of a
company formerly
known as Pactiv
Canada Inc.) in
favour of The Bank of
New York Mellon.	 	 
	 
	 	 	 	 
	 

	 	Canadian Pledge
Agreement dated as of
September 1, 2010
granted by Reynolds
Packaging
International B.V. in
favour of The Bank of
New York Mellon,
relating to shares in
Pactiv Canada Inc.,
as amended by an
amending agreement
No. 1 dated April 28,
2011, an amending
agreement No. 2 dated
April 28, 2011 and an
amending agreement
dated July 1, 2011.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined in
	JURISDICTION	 	DOCUMENTS	 	the FLICA
	 

	 	Deed of Hypothec
granted by Reynolds
Food Packaging Canada
Inc. (a predecessor
of Pactiv Canada
Inc.) in favour of
The Bank of New York
Mellon dated
September 1, 2010.	 	 
	 
	 	 	 	 
	 

	 	Bond issued under
said Deed of Hypothec
by Reynolds Food
Packaging Canada Inc.
(a predecessor of
Pactiv Canada Inc.)
in favour of The Bank
of New York Mellon
dated September 1,
2010.	 	 
	 
	 	 	 	 
	 

	 	Bond Pledge Agreement
granted by Reynolds
Food Packaging Canada
Inc. (a predecessor
of Pactiv Canada
Inc.) in favour of
The Bank of New York
Mellon dated
September 1, 2010.	 	 
	 
	 	 	 	 
	 

	 	Deed of Hypothec
granted by Evergreen
Packaging Canada
Limited in favour of
The Bank of New York
Mellon dated November
16, 2010.	 	 
	 
	 	 	 	 
	 

	 	Bond issued under
said Deed of Hypothec
by Evergreen
Packaging Canada
Limited in favour of
The Bank of New York
Mellon dated November
16, 2010.	 	 
	 
	 	 	 	 
	 

	 	Bond Pledge Agreement
granted by Evergreen
Packaging Canada
Limited in favour of
The Bank of New York
Mellon dated November
16, 2010.	 	 
	 
	 	 	 	 
	 

	 	Deed of Hypothec
granted by Reynolds
Food Packaging Canada
Inc. (a predecessor
of Pactiv Canada
Inc.) in favour of
The Bank of New York
Mellon dated November
16, 2010.	 	 
	 
	 	 	 	 
	 

	 	Bond issued under
said Deed of Hypothec
by Reynolds Food
Packaging Canada Inc.
(a predecessor of
Pactiv Canada Inc.)
in favour of The Bank
of New York Mellon
dated November 16,
2010.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined in
	JURISDICTION	 	DOCUMENTS	 	the FLICA
	 

	 	Bond Pledge Agreement
granted by Reynolds
Food Packaging Canada
Inc. (a predecessor
of Pactiv Canada
Inc.) in favour of
The Bank of New York
Mellon dated November
16, 2010.	 	 
	 
	 	 	 	 
	 

	 	Canadian General
Security Agreement
dated as of November
16, 2010 granted by
Pactiv Canada Inc. in
favour of The Bank of
New York Mellon.	 	 
	 
	 	 	 	 
	 

	 	Canadian General
Security Agreement
dated as of November
16, 2010 granted by
Newspring Canada Inc.
(a predecessor of
Pactiv Canada Inc.)
in favour of The Bank
of New York Mellon.	 	 
	 
	 	 	 	 
	 

	 	Canadian Pledge
Agreement dated as of
November 16, 2010
granted by Reynolds
Food Packaging Canada
Inc. (a predecessor
of Pactiv Canada
Inc.) in favour of
The Bank of New York
Mellon, relating to
shares in Dopaco
Canada, Inc. as
amended by Amending
Agreement No. 1 dated
28 April 2011 and
Amending Agreement
No. 2 dated 2 May
2011 (each delivered
by Reynolds Food
Packaging Canada
Inc., a predecessor
of Pactiv Canada
Inc.) and an amending
agreement No. 3 dated
July 1, 2011
delivered by Pactiv
Canada Inc. (as
successor to Reynolds
Food Packaging Canada
Inc.).	 	 
	 
	 	 	 	 
	 

	 	Canadian General
Security Agreement
dated as of November
16, 2010 granted by
798795 Ontario
Limited (a
predecessor of Pactiv
Canada Inc.) in
favour of The Bank of
New York Mellon.	 	 
	 
	 	 	 	 
	 

	 	Canadian General
Security Agreement
dated as of May 2,
2011 granted by
Conference Cup Ltd.
in favour of The Bank
of New York Mellon.	 	 
	 
	 	 	 	 
	 

	 	Canadian General
Security Agreement
dated as of May 2,
2011 granted by
Dopaco Canada, Inc.
in favour of The Bank
of New York Mellon.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined in
	JURISDICTION	 	DOCUMENTS	 	the FLICA
	 

	 	Canadian Pledge
Agreement dated as of
May 2, 2011 granted
by Dopaco Canada,
Inc. in favour of The
Bank of New York
Mellon, relating to
shares in Garven
Incorporated.	 	 
	 
	 	 	 	 
	 

	 	Canadian General
Security Agreement
dated as of May 2,
2011 granted by
Garven Incorporated.
in favour of The Bank
of New York Mellon.	 	 
	 
	 	 	 	 
	 

	 	Canadian Pledge
Agreement dated as of
May 2, 2011 granted
by Garven
Incorporated in
favour of The Bank of
New York Mellon,
relating to shares in
Conference Cup Ltd.	 	 

	 	 	 	 	 

	GERMANY

	 	Notarial share pledge agreement dated November
5, 2009 and entered into between SIG Combibloc
Group AG as pledgor and The Bank of New York
Mellon as Collateral Agent and as pledgee and
others as pledgees relating to the shares in
SIG Combibloc Holding GmbH, as amended by a
notarial confirmation and amendment agreement
dated May 4, 2010.
	 	“Obligations”
	 
	 	 	 	 
	 

	 	Notarial share pledge agreement dated November
16, 2010 and entered into between SIG Combibloc
Group AG as pledgor and The Bank of New York
Mellon as Collateral Agent and as pledgee and
others as pledgees relating to the shares in
SIG Combibloc Holding GmbH.	 	 
	 
	 	 	 	 
	 

	 	Notarial share pledge agreement dated March 2,
2011 and entered into between SIG Combibloc
Group AG as pledgor and The Bank of New York
Mellon as Collateral Agent and as pledgee and
others as pledgees relating to the shares in
SIG Combibloc Holding GmbH.	 	 
	 
	 	 	 	 
	 

	 	Notarial share pledge agreement dated November
5, 2009 and entered into between SIG Euro
Holding AG & Co. KGaA as pledgor and The Bank
of New York Mellon as Collateral Agent and as
pledgee and others as pledgees relating to the
shares in SIG Combibloc Holding GmbH, SIG
Combibloc GmbH, SIG Beverages Germany GmbH, SIG	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined in
	JURISDICTION	 	DOCUMENTS	 	the FLICA
	 

	 	International Services GmbH and SIG Information
Technology GmbH, as amended by a notarial
confirmation and amendment agreement dated May
4, 2010.	 	 
	 
	 	 	 	 
	 

	 	Notarial share pledge agreement dated November
16, 2010 and entered into between SIG Euro
Holding AG & Co. KGaA as pledgor and The Bank
of New York Mellon as Collateral Agent and
pledgee relating to the shares in SIG Combibloc
Holding GmbH, SIG Combibloc GmbH, SIG Beverages
Germany GmbH, SIG International Services GmbH
and SIG Information Technology GmbH.	 	 
	 
	 	 	 	 
	 

	 	Notarial share pledge agreement dated March 2,
2011 and entered into between SIG Euro Holding
AG & Co. KGaA as pledgor and The Bank of New
York Mellon as Collateral Agent and pledgee
relating to the shares in SIG Combibloc Holding
GmbH, SIG Combibloc GmbH, SIG Beverages Germany
GmbH, SIG International Services GmbH and SIG
Information Technology GmbH.	 	 
	 
	 	 	 	 
	 

	 	Notarial Share Pledge Agreement dated November
5, 2009 and entered into between SIG Combibloc
Holding GmbH as pledgor and The Bank of New
York Mellon as Collateral Agent and as pledgee
and others as pledgees relating to the shares
in SIG Combibloc GmbH, SIG Combibloc Systems
GmbH and SIG Vietnam Beteiligungs GmbH, as
amended by a notarial confirmation and
amendment agreement dated May 4, 2010.	 	 
	 
	 	 	 	 
	 

	 	Notarial Share Pledge Agreement dated November
16, 2010 and entered into between SIG Combibloc
Holding GmbH as pledgor and The Bank of New
York Mellon as Collateral Agent and pledgee
relating to the shares in SIG Combibloc GmbH,
SIG Combibloc Systems GmbH and SIG Vietnam
Beteiligungs GmbH.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined in
	JURISDICTION	 	DOCUMENTS	 	the FLICA
	 

	 	Notarial Share Pledge Agreement dated March 2,
2011 and entered into between SIG Combibloc
Holding GmbH as pledgor and The Bank of New
York Mellon as Collateral Agent and pledgee
relating to the shares in SIG Combibloc GmbH,
SIG Combibloc Systems GmbH and SIG Vietnam Beteiligungs GmbH.	 	 
	 
	 	 	 	 
	 

	 	Notarial Share Pledge Agreement dated November
5, 2009 and entered into between SIG Combibloc
Systems GmbH as pledgor and The Bank of New
York Mellon as Collateral Agent and as pledgee
and others as pledgees relating to the shares
in SIG Combibloc Zerspanungstechnik GmbH, as
amended by a notarial confirmation and
amendment agreement dated May 4, 2010.	 	 
	 
	 	 	 	 
	 

	 	Notarial Share Pledge Agreement dated November
16, 2010 and entered into between SIG Combibloc
Systems GmbH as pledgor and The Bank of New
York Mellon as Collateral Agent and pledgee
relating to the shares in SIG Combibloc
Zerspanungstechnik GmbH.	 	 
	 
	 	 	 	 
	 

	 	Notarial Share Pledge Agreement dated March 2,
2011 and entered into between SIG Combibloc
Systems GmbH as pledgor and The Bank of New
York Mellon as Collateral Agent and pledgee
relating to the shares in SIG Combibloc
Zerspanungstechnik GmbH.	 	 
	 
	 	 	 	 
	 

	 	Notarial Share Pledge Agreement dated November
5, 2009 and entered into between Closure
Systems International B.V. as pledgor and The
Bank of New York Mellon as Collateral Agent and
as pledgee and others as pledgees relating to
the shares in Closure Systems International
Holdings (Germany) GmbH, as amended by a
notarial confirmation and amendment agreement
dated May 4, 2010.	 	 
	 
	 	 	 	 
	 

	 	Notarial Share Pledge Agreement dated November
16, 2010 and entered into between Closure
Systems International B.V. as pledgor and The
Bank of New York Mellon as Collateral Agent
relating to the shares in Closure Systems
International Holdings (Germany) GmbH.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Notarial Share Pledge
Agreement dated March
2, 2011 and entered
into between Closure
Systems International
B.V. as pledgor and
The Bank of New York
Mellon as Collateral
Agent relating to the
shares in Closure
Systems International
Holdings (Germany)
GmbH.	 	 
	 
	 

	 	Notarial Share Pledge
Agreement dated
November 5, 2009 and
entered into between
Closure Systems
International Holdings
(Germany) GmbH as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
as pledgee and others
as pledgees relating
to the shares in
Closure Systems
International
Deutschland GmbH, as
amended by a notarial
confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Notarial Share Pledge
Agreement dated
November 16, 2010 and
entered into between
Closure Systems
International Holdings
(Germany) GmbH as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
pledgee relating to
the shares in Closure
Systems International
Deutschland GmbH.	 	 
	 
	 

	 	Notarial Share Pledge
Agreement dated March
2, 2011 and entered
into between Closure
Systems International
Holdings (Germany)
GmbH as pledgor and
The Bank of New York
Mellon as Collateral
Agent and pledgee
relating to the shares
in Closure Systems
International
Deutschland GmbH.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 5, 2009 and
entered into between
SIG Euro Holding AG &
Co. KGaA as pledgor
and The Bank of New
York Mellon as
Collateral Agent and
as pledgee and others
as pledgees, as
amended by a
confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 16, 2010 and
entered into between
SIG Euro Holding AG &
Co. KGaA as pledgor
and The Bank of New
York Mellon as
Collateral Agent and
pledgee.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Account Pledge
Agreement dated March
2, 2011 and entered
into between SIG Euro
Holding AG & Co. KGaA
as pledgor and The
Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 5, 2009 and
entered into between
SIG Combibloc Holding
GmbH as pledgor and
The Bank of New York
Mellon as Collateral
Agent and as pledgee
and others as
pledgees, as amended
by a confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 16, 2010 and
entered into between
SIG Combibloc Holding
GmbH as pledgor and
The Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated March
2, 2011 and entered
into between SIG
Combibloc Holding GmbH
as pledgor and The
Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 5, 2009 and
entered into between
SIG Combibloc Systems
GmbH as pledgor and
The Bank of New York
Mellon as Collateral
Agent and as pledgee
and others as
pledgees, as amended
by a confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 16, 2010 and
entered into between
SIG Combibloc Systems
GmbH as pledgor and
The Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated March
2, 2011 and entered
into between SIG
Combibloc Systems GmbH
as pledgor and The
Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Account Pledge
Agreement dated
November 5, 2009 and
entered into between
SIG Beverages Germany
GmbH as pledgor and
The Bank of New York
Mellon as Collateral
Agent and as pledgee
and others as
pledgees, as amended
by a confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 16, 2010 and
entered into between
SIG Beverages Germany
GmbH as pledgor and
The Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated March
2, 2011 and entered
into between SIG
Beverages Germany GmbH
as pledgor and The
Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 5, 2009 and
entered into between
SIG Combibloc GmbH as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
as pledgee and others
as pledgees, as
amended by a
confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 16, 2010 and
entered into between
SIG Combibloc GmbH as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated March
2, 2011 and entered
into between SIG
Combibloc GmbH as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 5, 2009 and
entered into between
SIG Combibloc
Zerspanungstechnik
GmbH as pledgor and
The Bank of New York
Mellon as Collateral
Agent and as pledgee
and others as
pledgees, as amended
by a confirmation and
amendment agreement
dated May 4, 2010.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Account Pledge
Agreement dated
November 16, 2010 and
entered into between
SIG Combibloc
Zerspanungstechnik
GmbH as pledgor and
The Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated March
2, 2011 and entered
into between SIG
Combibloc
Zerspanungstechnik
GmbH as pledgor and
The Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 5, 2009 and
entered into between
SIG Vietnam
Beteiligungs GmbH as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
as pledgee and others
as pledgees, as
amended by a
confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 16, 2010 and
entered into between
SIG Vietnam
Beteiligungs GmbH as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated March
2, 2011 and entered
into between SIG
Vietnam Beteiligungs
GmbH as pledgor and
The Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 5, 2009 and
entered into between
SIG International
Services GmbH as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
as pledgee and others
as pledgees, as
amended by a
confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 16, 2010 and
entered into between
SIG International
Services GmbH as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
pledgee.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Account Pledge
Agreement dated March
2, 2011 and entered
into between SIG
International Services
GmbH as pledgor and
The Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 5, 2009 and
entered into between
SIG Information
Technology GmbH as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
as pledgee and others
as pledgees, as
amended by a
confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 16, 2010 and
entered into between
SIG Information
Technology GmbH as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
pledgee.	 	 
	 
	 

	 	Account Pledge Agreement dated March
2, 2011 and entered
into between SIG
Information Technology
GmbH as pledgor and
The Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 5, 2009 and
entered into between
Closure Systems
International Holdings
(Germany) GmbH as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
as pledgee and others
as pledgees, as
amended by a
confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 16, 2010 and
entered into between
Closure Systems
International Holdings
(Germany) GmbH as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated March
2, 2011 and entered
into between Closure
Systems International
Holdings (Germany)
GmbH as pledgor and
The Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Account Pledge
Agreement dated
November 5, 2009 and
entered into between
Closure Systems
International
Deutschland GmbH as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
as pledgee and others
as pledgees, as
amended by a
confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 16, 2010 and
entered into between
Closure Systems
International
Deutschland GmbH as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated March
2, 2011 and entered
into between Closure
Systems International
Deutschland GmbH as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 5, 2009 and
entered into between
Closure Systems
International
Deutschland Real
Estate GmbH & Co. KG
(now collapsed into
Closure Systems
International
Deutschland GmbH) as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
as pledgee and others
as pledgees, as
amended by a
confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 5, 2009, and
entered into between
SIG Combibloc Group AG
as pledgor and The
Bank of New York
Mellon as Collateral
Agent and as pledgee
and others as
pledgees, as amended
by a confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 16, 2010, and
entered into between
SIG Combibloc Group AG
as pledgor and The
Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated
February 1, 2011, and
entered into between
SIG Combibloc Group AG
as pledgor and The
Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Account Pledge
Agreement dated
February 9, 2011, and
entered into between
SIG Combibloc Group AG
as pledgor and The
Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 5, 2009, and
entered into between
SIG Finanz AG (now
assumed by SIG
Combibloc Group AG by
way of merger
effective June 15,
2010) as pledgor and
The Bank of New York
Mellon as Collateral
Agent and as pledgee
and others as
pledgees, as amended
by a confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 5, 2009, and
entered into between
SIG Schweizerische
Industrie-Gesellschaft
AG as pledgor and The
Bank of New York
Mellon as Collateral
Agent and as pledgee
and others as
pledgees, as amended
by a confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 16, 2010, and
entered into between
SIG Schweizerische
Industrie-Gesellschaft
AG as pledgor and The
Bank of New York
Mellon as Collateral
Agent	 	 
	 
	 

	 	Account Pledge
Agreement dated March
2, 2011, and entered
into between SIG
Schweizerische
Industrie-Gesellschaft
AG as pledgor and The
Bank of New York
Mellon as Collateral
Agent	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 5, 2009, and
entered into between
SIG allCap AG as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
as pledgee and others
as pledgees, as
amended by a
confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 16, 2010, and
entered into between
SIG allCap AG as
pledgor and The Bank
of New York Mellon as
Collateral Agent	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Account Pledge
Agreement dated March
2, 2011, and entered
into between SIG
allCap AG as pledgor
and The Bank of New
York Mellon as
Collateral Agent	 	 
	 
	 

	 	Global Assignment
Agreement dated
November 5, 2009 and
entered into between
as SIG Euro Holding AG
& Co. KGaA assignor
and The Bank of New
York Mellon as
Collateral Agent, as
amended by certain
confirmation and
amendment agreements
dated May 4, 2010,
November 16, 2010 and
March 2, 2011.	 	 
	 
	 

	 	Global Assignment
Agreement dated
November 5, 2009 and
entered into between
SIG Combibloc Holding
GmbH as assignor and
The Bank of New York
Mellon as Collateral
Agent, as amended by
certain confirmation
and amendment
agreements dated May
4, 2010, November 16,
2010 and March 2,
2011.	 	 
	 
	 

	 	Global Assignment
Agreement dated
November 5, 2009 and
entered into between
SIG Combibloc Systems
GmbH as assignor and
The Bank of New York
Mellon as Collateral
Agent, as amended by
certain confirmation
and amendment
agreements dated May
4, 2010, November 16,
2010 and March 2,
2011.	 	 
	 
	 

	 	Global Assignment
Agreement dated
November 5, 2009 and
entered into between
SIG Beverages Germany
GmbH as assignor and
The Bank of New York
Mellon as Collateral
Agent, as amended by
certain confirmation
and amendment
agreements dated May
4, 2010, November 16,
2010 and March 2,
2011.	 	 
	 
	 

	 	Global Assignment
Agreement dated
November 5, 2009 and
entered into between
SIG Combibloc GmbH as
assignor and The Bank
of New York Mellon as
Collateral Agent, as
amended by certain
confirmation and
amendment agreements
dated May 4, 2010, November 16, 2010 and
March 2, 2011.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Global Assignment
Agreement dated
November 5, 2009 and
entered into between
SIG Combibloc
Zerspanungstechnik
GmbH as assignor and
The Bank of New York
Mellon as Collateral
Agent, as amended by
certain confirmation
and amendment
agreements dated May
4, 2010, November 16,
2010 and March 2,
2011.	 	 
	 
	 

	 	Global Assignment
Agreement dated
November 5, 2009 and
entered into between
SIG Vietnam
Beteiligungs GmbH as
assignor and The Bank
of New York Mellon as
Collateral Agent, as
amended by certain
confirmation and
amendment agreements
dated May 4, 2010,
November 16, 2010 and
March 2, 2011.	 	 
	 
	 

	 	Global Assignment
Agreement dated
November 5, 2009 and
entered into between
SIG International
Services GmbH as
assignor and The Bank
of New York Mellon as
Collateral Agent, as
amended by certain
confirmation and
amendment agreements
dated May 4, 2010,
November 16, 2010 and
March 2, 2011.	 	 
	 
	 

	 	Global Assignment
Agreement dated
November 5, 2009 and
entered into between
SIG Information
Technology GmbH as
assignor and The Bank
of New York Mellon as
Collateral Agent, as
amended by certain
confirmation and
amendment agreements
dated May 4, 2010,
November 16, 2010 and
March 2, 2011.	 	 
	 
	 

	 	Global Assignment
Agreement dated
November 5, 2009 and
entered into between
Closure Systems
International Holdings
(Germany) GmbH as
assignor and The Bank
of New York Mellon as
Collateral Agent, as
amended by certain
confirmation and
amendment agreements
dated May 4, 2010,
November 16, 2010 and
March 2, 2011.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Global Assignment
Agreement dated
November 5, 2009 and
entered into between
Closure Systems
International
Deutschland GmbH as
assignor and The Bank
of New York Mellon as
Collateral Agent, as
amended by certain
confirmation and
amendment agreements
dated May 4, 2010,
November 16, 2010 and
March 2, 2011.	 	 
	 
	 

	 	Global Assignment
Agreement dated
November 5, 2009 and
entered into between
Closure Systems
International
Deutschland Real
Estate GmbH & Co. KG
(now collapsed into
Closure Systems
International
Deutschland GmbH) as
assignor and The Bank
of New York Mellon as
Collateral Agent, as
amended by certain
confirmation and
amendment agreements
dated May 4, 2010,
November 16, 2010 and
March 2, 2011.	 	 
	 
	 

	 	Security Transfer
Agreement dated
November 5, 2009 and
entered into between
SIG Combibloc Systems
GmbH as transferor and
The Bank of New York
Mellon as Collateral
Agent, as amended by
certain confirmation
and amendment
agreements dated May
4, 2010, November 16,
2010 and March 2,
2011.	 	 
	 
	 

	 	Security Transfer
Agreement dated
November 5, 2009 and
entered into between
SIG Combibloc GmbH as
transferor and The
Bank of New York
Mellon as Collateral
Agent, as amended by
certain confirmation
and amendment
agreements dated May
4, 2010, November 16,
2010 and March 2,
2011.	 	 
	 
	 

	 	Security Transfer
Agreement dated
November 5, 2009 and
entered into between
SIG Combibloc
Zerspanungstechnik
GmbH as transferor and
The Bank of New York
Mellon as Collateral
Agent, as amended by
certain confirmation
and amendment
agreements dated May
4, 2010, November 16,
2010 and March 2,
2011.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Security Transfer
Agreement dated November 5, 2009 and
entered into between
Closure Systems
International
Deutschland GmbH as
transferor and The
Bank of New York
Mellon as Collateral
Agent, as amended by
certain confirmation
and amendment
agreements dated May
4, 2010, November 16,
2010 and March 2,
2011.	 	 
	 
	 

	 	IP Assignment
Agreement dated
November 5, 2009 and
entered into between
SIG Combibloc Systems
GmbH as assignor and
The Bank of New York
Mellon as Collateral
Agent, as amended by
certain confirmation
and amendment
agreements dated May
4, 2010, November 16,
2010 and March 2,
2011.	 	 
	 
	 

	 	IP Assignment
Agreement dated
November 5, 2009 and
entered into between
SIG Combibloc GmbH as
assignor and The Bank
of New York Mellon as
Collateral Agent, as
amended by certain
confirmation and
amendment agreements
dated May 4, 2010,
November 16, 2010 and
March 2, 2011.	 	 
	 
	 

	 	Security Purpose
Agreement dated
November 5, 2009 and
entered into between
SIG Combibloc GmbH and
Closure Systems
International
Deutschland Real
Estate GmbH & Co. KG
(now collapsed into
Closure Systems
International
Deutschland GmbH) as
chargors and The Bank
of New York Mellon as
Collateral Agent
relating to certain
land charges, as
amended by certain
confirmation and
amendment agreements
dated May 4, 2010,
November 16, 2010 and
March 2, 2011.	 	 
	 
	 

	 	IP Assignment
Agreement dated
December 2, 2009, and
entered into between
SIG Technology AG as
assignor and The Bank
of New York Mellon as
Collateral Agent, as
amended by certain
confirmation and
amendment agreements
dated May 4, 2010,
November 16, 2010 and
March 2, 2011.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	IP Assignment
Agreement dated
December 2, 2009, and
entered into between
SIG Finanz AG (now
assumed by SIG
Combibloc Group AG by
way of merger
effective June 15,
2010) as assignor and
The Bank of New York
Mellon as Collateral
Agent, as amended by
certain confirmation
and amendment
agreements dated May
4, 2010, November 16,
2010, February 1, 2011
and February 9, 2011.	 	 
	 
	 

	 	Account Pledge
Agreement dated
December 2, 2009, and
entered into between
SIG Combibloc
Procurement AG as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
pledgee and others as
pledgees, as amended
by a confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Account Pledge
Agreement dated
November 16, 2010, and
entered into between
SIG Combibloc
Procurement AG as
pledgor and The Bank
of New York Mellon as
Collateral Agent.	 	 
	 
	 

	 	Account Pledge
Agreement dated March
2, 2011, and entered
into between SIG
Combibloc Procurement
AG as pledgor and The
Bank of New York
Mellon as Collateral
Agent.	 	 
	 
	 

	 	Partnership Interest
Pledge Agreement dated
January 29, 2010, and
entered into between
SIG Reinag AG as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
pledgee and others as
pledgees relating to
the general
partnership interest
in SIG Euro Holding AG
& Co. KGaA, as amended
by a confirmation and
amendment agreement
dated May 4, 2010.	 	 
	 
	 

	 	Non-notarized Share
Pledge Agreement dated
November 5, 2009 and
entered into between
SIG Combibloc Group AG
as pledgor and The
Bank of New York
Mellon as Collateral
Agent and as pledgee
relating to the shares
in SIG Euro Holding AG
& Co. KGaA, as amended
by a confirmation and
amendment agreement
dated 4 May 2010.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Junior Share and
Partnership Interest
Pledge Agreement dated
November 16, 2010, and entered into between
SIG Combibloc Group AG
and SIG Reinag AG as
pledgors, and The Bank
of New York Mellon as
Collateral Agent and
pledgee and others as
pledgees relating to
the shares and general
partnership interest,
respectively, held in
SIG Euro Holding AG &
Co. KGaA	 	 
	 
	 

	 	Junior Share and
Partnership Interest
Pledge Agreement dated
March 2, 2011, and
entered into between
SIG Combibloc Group AG
and SIG Reinag AG as
pledgors, and The Bank
of New York Mellon as
Collateral Agent and
pledgee and others as
pledgees relating to
the shares and general
partnership interest,
respectively, held in
SIG Euro Holding AG &
Co. KGaA.	 	 
	 
	 

	 	Notarial share pledge
agreement dated March
2, 2011 and entered
into between SIG
Combibloc Holding GmbH
as pledgor and The
Bank of New York
Mellon as Collateral
Agent and pledgee
relating to the shares
in Pactiv Hamburg
Holdings GmbH.	 	 
	 
	 

	 	Notarial share pledge
agreement dated March
2, 2011 and entered
into between Pactiv
Corporation and Pactiv
Hamburg Holdings GmbH
as pledgors and The
Bank of New York
Mellon as Collateral
Agent and pledgee
relating to the shares
in Pactiv Deutschland
Holdinggesellschaft
mbH.	 	 
	 
	 

	 	Notarial share pledge
agreement dated March
2, 2011 and entered
into between Pactiv
Deutschland
Holdinggesellschaft
mbH as pledgor and The
Bank of New York
Mellon as Collateral
Agent and pledgee
relating to the shares
in Omni-Pac Ekco GmbH
Verpackungsmittel and
Omni-Pac GmbH
Verpackungsmittel.	 	 
	 
	 

	 	Account Pledge
Agreement dated March
2, 2011 and entered
into between Pactiv
Hamburg Holdings GmbH
as pledgor and The
Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Account Pledge
Agreement dated March
2, 2011 and entered
into between Pactiv
Deutschland
Holdinggesellschaft
mbH as pledgor and The
Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated March
2, 2011 and entered
into between Omni-Pac
Ekco GmbH
Verpackungsmittel as
pledgor and The Bank
of New York Mellon as
Collateral Agent and
pledgee.	 	 
	 
	 

	 	Account Pledge
Agreement dated March
2, 2011 and entered
into between Omni-Pac
GmbH Verpackungsmittel
as pledgor and The
Bank of New York
Mellon as Collateral
Agent and pledgee.	 	 
	 
	JAPAN

	 	Blanket Security Over
Shares Agreement,
dated as of December
2, 2009, among The
Bank of New York
Mellon, as Collateral
Agent, the Secured
Parties (as defined
therein) and Closure
Systems International
B.V.
	 	“Obligations”
	 
	LUXEMBOURG

	 	Share Pledge Agreement
dated November 5, 2009
and entered into
between Reynolds Group
Holdings Limited as
pledgor and the
Collateral Agent, such
pledge being granted
over the shares held
by Reynolds Group
Holdings Limited in
the share capital of
Beverage Packaging
Holdings (Luxembourg)
I S.A.
	 	“Secured Obligations”
	 
	 

	 	Share Pledge Agreement
dated November 5, 2009
and entered into
between Beverage
Packaging Holdings
(Luxembourg) I S.A. as
pledgor and the
Collateral Agent, such
pledge being granted
over the shares held
by Beverage Packaging
Holdings (Luxembourg)
I S.A. in the share
capital of Beverage
Packaging Holdings
(Luxembourg) III S.à
r.l.	 	 
	 
	 

	 	Share Pledge Agreement
dated November 5, 2009
and entered into
between Beverage
Packaging Holdings
(Luxembourg) I S.A. as
pledgor and the
Collateral Agent, such
pledge being granted
over the shares held
by Beverage Packaging
Holdings (Luxembourg)
I S.A. in the share
capital of Reynolds
Group Issuer
(Luxembourg) S.A.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Pledge Over
Receivables dated
November 5, 2009 and
entered into by
Reynolds Group Issuer
(Luxembourg) S.A. as
pledgor and the
Collateral Agent, such
pledge being granted
over certain
receivables held by
Reynolds Group Issuer
(Luxembourg) S.A.
towards Beverage
Packaging Holdings
(Luxembourg) III S.à
r.l. under a proceeds
loan agreement.	 	 
	 
	 

	 	Pledge Over
Receivables dated
November 5, 2009 and
entered into between
Beverage Packaging
Holdings (Luxembourg)
III S.à r.l. as
pledgor and the
Collateral Agent, such
pledge being granted
over certain
receivables held by
Beverage Packaging
Holdings (Luxembourg)
III S.à r.l. towards
Beverage Packaging
Holdings (Luxembourg)
I S.A.	 	 
	 
	 

	 	Pledge Over
Receivables dated
November 5, 2009 and
entered into between
Beverage Packaging
Holdings (Luxembourg)
I S.A. as pledgor and
the Collateral Agent,
such pledge being
granted over certain
receivables held by
Beverage Packaging
Holdings (Luxembourg)
I S.A. towards
Beverage Packaging
Holdings (Luxembourg)
III S.à r.l.	 	 
	 
	 

	 	Pledge Over
Receivables dated
November 5, 2009 and
entered into between
Beverage Packaging
Holdings (Luxembourg)
II S.A. as pledgor and
the Collateral Agent,
such pledge being
granted over the
claims the pledgor
owns against Beverage
Packaging Holdings
(Luxembourg) I S.A.
under certain proceeds
loans made by Beverage
Packaging Holdings
(Luxembourg) II S.A.
to Beverage Packaging
Holdings (Luxembourg)
I S.A.	 	 
	 
	 

	 	Profit Participating
Bonds Pledge Agreement
dated November 5, 2009
and entered into
between Beverage
Packaging Holdings
(Luxembourg) I S.A. as
pledgor and the
Collateral Agent, such
pledge being granted
over the Bonds (as
defined therein)
issued by	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Beverage
Packaging Holdings
(Luxembourg) III S.à
r.l. and held by
Beverage Packaging
Holdings (Luxembourg)
I S.A.	 	 
	 
	 

	 	Pledge Over Bank
Accounts dated
November 5, 2009 and
entered into between
Closure Systems
International
(Luxembourg) S.à r.l.
as pledgor (the
rights, obligations
and liabilities of
which have been
transferred to
Beverage Packaging
Holdings (Luxembourg)
III S.à r.l.) and the
Collateral Agent, over
certain bank accounts
opened with Société
Générale Bank & Trust.	 	 
	 
	 

	 	Pledge Over Bank
Accounts dated
November 5, 2009 and
entered into between
Beverage Packaging
Holdings (Luxembourg)
I S.A. as pledgor and
the Collateral Agent,
over certain bank
accounts opened with
Société Générale Bank
& Trust.	 	 
	 
	 

	 	Pledge Over Bank
Accounts dated
November 5, 2009 and
entered into between
Beverage Packaging
Holdings (Luxembourg)
III S.à r.l. as
pledgor and the
Collateral Agent, over
certain bank accounts
opened with Société
Générale Bank & Trust.	 	 
	 
	 

	 	Pledge Over Bank
Accounts dated
November 5, 2009 and
entered into between
Reynolds Consumer
Products (Luxembourg)
S.à r.l. as pledgor
(the rights,
obligations and
liabilities of which
have been transferred
to Beverage Packaging
Holdings (Luxembourg)
III S.à r.l.) and the
Collateral Agent, over
certain bank accounts
opened with Société
Générale Bank & Trust.	 	 
	 
	 

	 	Pledge Over Bank
Accounts dated
November 5, 2009 and
entered into between
Reynolds Group Issuer
(Luxembourg) S.A. as
pledgor and the
Collateral Agent, over
certain bank accounts
opened with Société
Générale Bank & Trust.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Pledge Over
Receivables dated
December 2, 2009 and
entered into between
Reynolds Group Holdings Limited as
pledgor and the
Collateral Agent in
the presence of
Beverage Packaging
Holdings (Luxembourg)
I S.A., such pledge
being granted over
certain receivables
held by Reynolds Group
Holdings Limited
towards Beverage
Packaging Holdings
(Luxembourg) I S.A.
under an intercompany
loan agreement.	 	 
	 
	 

	 	Pledge Over
Receivables dated
February 23, 2010 and
entered into between
Beverage Packaging
Holdings (Luxembourg)
I S.A. as pledgor and
the Collateral Agent
in the presence of SIG
Austria Holding GmbH
and SIG Euro Holding
AG & Co. KGaA, such
pledge being granted
over certain
receivables held by
Beverage Packaging
Holdings (Luxembourg)
I S.A. towards SIG
Austria Holding GmbH
and SIG Euro Holding
AG & Co. KGaA under
certain intercompany
loan agreements.	 	 
	 
	 

	 	Pledge Over Shares
Agreement dated May 4,
2010 between SIG
Combibloc Holding GmbH
and The Bank of New
York Mellon in respect
of shares in Evergreen
Packaging (Luxembourg)
S.à r.l.	 	 
	 
	 

	 	Pledge Over Bank
Accounts dated May 4,
2010 between Evergreen
Packaging (Luxembourg)
S.à r.l and The Bank
of New York Mellon.	 	 
	 
	 

	 	Pledge Over
Receivables dated May
4, 2010 and entered
into between Beverage
Packaging Holdings
(Luxembourg) III S.à
r.l. as pledgor and
the Collateral Agent
in the presence of SIG
Combibloc Holding
GmbH, such pledge
being granted over
certain receivables
held by Beverage
Packaging Holdings
(Luxembourg) III S.à
r.l. towards SIG
Combibloc Holding GmbH
under certain
intercompany loan
agreements.	 	 
	 
	MEXICO

	 	Floating Lien Pledge
Agreement (Contrato de
Prenda sin Transmisión
de Posesión) dated
January 29, 2010
executed by and among
Grupo CSI de México,
S. de R.L. de C.V.,
CSI en Saltillo, S. de
R.L. de C.V., CSI en
	 	“Obligaciones Garantizadas”

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Ensenada, S. de R.L.
de C.V., CSI
Tecniservicio, S. de
R.L. de C.V., Bienes
Industriales del
Norte, S.A. de C.V.,
and Técnicos de Tapas
Innovativas, S.A. de
C.V. as pledgors, and
The Bank of New York
Mellon acting solely
in its capacity as
Collateral Agent on
behalf and for the
benefit of the Secured
Parties, as pledgee.	 	 
	 
	 

	 	Equity Interests
Pledge Agreement
(Contrato de Prenda
sobre Acciones y
Partes Sociales) dated
January 29, 2010
executed by and among
Grupo CSI de México,
S. de R.L. de C.V.,
Closure Systems
International B.V.,
CSI Mexico LLC, CSI en
Saltillo, S. de R.L.
de C.V., and Closure
Systems Mexico
Holdings LLC, as
pledgors, and The Bank
of New York Mellon
acting solely in its
capacity as Collateral
Agent on behalf and
for the benefit of the
Secured Parties, as
pledgee, with the
acknowledgment of
Bienes Industriales
del Norte, S.A. de
C.V., Técnicos de
Tapas Innovativas,
S.A. de C.V., CSI
Tecniservicio, S. de
R.L. de C.V., and CSI
en Ensenada, S. de
R.L. de C.V.	 	 
	 
	 

	 	Irrevocable Security
Trust Agreement with
Reversion Rights
number F/00737
(Contrato de
Fideicomiso de
Garantía con Derechos
de Reversión No.
F/00737), dated
January 29, 2010
executed by and among
CSI en Saltillo, S. de
R.L. de C.V., as
trustor, The Bank of
New York Mellon, S.A.,
Institución de Banca
Múltiple, as trustee,
and The Bank of New
York Mellon acting
solely in its capacity
as Collateral Agent on
behalf and for the
benefit of the Secured
Parties, as first
place beneficiary.	 	 
	 
	 

	 	Floating Lien Pledge
Agreement (Contrato de
Prenda sin Transmisión
de Posesión) dated May
4, 2010, executed by
and between Evergreen
Packaging Mexico, S.
de R.L. de C.V., as
pledgor, and The Bank
of New York Mellon
acting solely in its
capacity as Collateral
Agent on behalf and
for the benefit of the
Secured Parties, as
pledgee.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Partnership Interest
Pledge Agreement
(Contrato de Prenda
sobre Parte Social)
dated May 4, 2010,
executed by and
between Evergreen
Packaging
International B.V., as
pledgor, and The Bank
of New York Mellon
acting solely in its
capacity as Collateral
Agent on behalf and
for the benefit of the
Secured Parties, as
pledgee, with the
acknowledgment of
Evergreen Packaging
Mexico, S. de R.L. de
C.V.	 	 
	 
	 

	 	Floating Lien Pledge
Agreement (Contrato de
Prenda sin Transmisión
de Posesión) dated
September 1, 2010,
executed by and among
Maxpack, S. de R.L. de
C.V. and Reynolds
Metals Company de
Mexico, S. de R.L. de
C.V., as pledgors, and
The Bank of New York
Mellon acting solely
in its capacity as
Collateral Agent on
behalf and for the
benefit of the Secured
Parties, as pledgee.	 	 
	 
	 

	 	Partnership Interests
Pledge Agreement
(Contrato de Prenda
sobre Partes Sociales)
dated September 1,
2010, executed by and
among Reynolds
Packaging
International B.V.,
Closure Systems
International B.V. and
Reynolds Metals
Company de Mexico, S.
de R.L. de C.V., as
pledgors, and The Bank
of New York Mellon
acting solely in its
capacity as Collateral
Agent on behalf and
for the benefit of the
Secured Parties, as
pledgee, with the
acknowledgment of
Maxpack, S. de R.L. de
C.V.	 	 
	 
	 

	 	Equity Interests
Pledge Agreement
(Contrato de Prenda
sobre Acciones y
Partes Sociales) dated
April 19, 2011
executed by and among
Grupo CSI de México,
S. de R.L. de C.V.,
CSI en Saltillo, S. de
R.L. de C.V., Central
de Bolsas, S. de R.L.
de C.V., Servicios
Industriales Jaguar,
S.A. de C.V., Servicio
Terrestre Jaguar, S.A.
de C.V., Grupo
Corporativo Jaguar,
S.A. de C.V., Pactiv
Corporation and Pactiv
International Holdings
Inc., as pledgors, and
The Bank of New York
Mellon acting solely
in its capacity as Collateral Agent on
behalf and for the
benefit of the Secured
Parties, as pledgee,
with the
acknowledgment of
Pactiv México, S. de
R.L. de C.V.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Floating Lien Pledge
Agreement (Contrato de
Prenda sin Transmisión
de Posesión) dated
April 19, 2011,
executed by and among
Central de Bolsas, S.
de R.L. de C.V.,
Servicios Industriales
Jaguar, S.A. de C.V.,
Servicio Terrestre
Jaguar, S.A. de C.V.,
Grupo Corporativo
Jaguar, S.A. de C.V.
and Pactiv México, S.
de R.L. de C.V., as
pledgors, and The Bank
of New York Mellon
acting solely in its
capacity as Collateral
Agent on behalf and
for the benefit of the
Secured Parties, as
pledgee.	 	 
	 
	NETHERLANDS

	 	Notarial Deed of
Pledge of Registered
Shares dated November
5, 2009 between
Closure Systems
International
(Luxembourg) S.à r.l.
as pledgor, the
Pledgee and Closure
Systems International
B.V. as the Company,
in respect of which
all obligations of the
pledgor have been
assumed by Beverage
Packaging Holdings
(Luxembourg) III S.à
r.l.
	 	“Secured Obligations”
	 
	 

	 	Notarial deed of
pledge of registered
shares dated November
5, 2009 between
Reynolds Consumer
Products (Luxembourg)
S.à r.l. as pledgor,
the Pledgee and
Reynolds Consumer
Products International
B.V. as the Company,
in respect of which
all obligations of the
pledgor have been
assumed by Closure
Systems International
B.V. following a
contribution of the
shares of Reynolds
Consumer Products
International B.V. to
Closure Systems
International B.V.	 	 
	 
	 

	 	Disclosed Pledge of
Bank Accounts dated
November 5, 2009
between Closure
Systems International
B.V. and Reynolds
Consumer Products
International B.V. and
the Pledgee (as
defined therein).	 	 
	 
	 

	 	Disclosed Pledge of
Bank Accounts dated
May 4, 2010 between
Evergreen Packaging
International B.V. and
The Bank of New York Mellon.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Notarial Deed of
Pledge of Registered
Shares dated May 4,
2010 between Evergreen
Packaging (Luxembourg)
S.à.r.l and The Bank
of New York Mellon in
respect of shares in
Evergreen Packaging
International B.V.	 	 
	 
	 

	 	Disclosed Pledge of
Bank Accounts dated
September 1, 2010
between Reynolds
Packaging
International B.V. and
The Bank of New York
Mellon.	 	 
	 
	 

	 	Notarial Deed of
Pledge of Registered
Shares dated September
1, 2010 between
Closure Systems
International B.V. and
The Bank of New York
Mellon in respect of
shares in Reynolds
Packaging
International B.V.	 	 
	 
	NEW ZEALAND

	 	General Security Deed
(first ranking) dated
November 5, 2009
between Reynolds Group
Holdings Limited as
Chargor and The Bank
of New York Mellon in
its capacity as
Collateral Agent
	 	“Secured Liabilities”
	 
	 

	 	Specific Security Deed
(first ranking) dated
November 5, 2009
between Reynolds Group
Holdings Limited as
Chargor and The Bank
of New York Mellon in
its capacity as
Collateral Agent	 	 
	 
	UNITED KINGDOM

	 	Debenture granted by
Reynolds Subco (UK)
Limited (formerly,
BACO Consumer Products
Limited) dated
December 2, 2009.
	 	“Secured Liabilities”
	 
	 

	 	Security Over Shares
Agreement over shares
in Closure Systems
International (UK)
Limited granted by
Closure Systems
International B.V.
dated December 2,
2009.	 	 
	 
	 

	 	Debenture granted by
Closure Systems
International (UK)
Limited dated December
2, 2009.	 	 
	 
	 

	 	Security Over Shares
Agreement over shares
in Reynolds Consumer
Products (UK) Limited
granted by Reynolds
Consumer Products
International B.V.
dated December 2,
2009.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Debenture granted by
Reynolds Consumer
Products (UK) Limited
dated December 2,
2009.	 	 
	 
	 

	 	Debenture granted by
SIG Combibloc Limited
dated December 2,
2009.	 	 
	 
	 

	 	Security Over Shares
Agreement over shares
in SIG Holdings (UK)
Limited granted by SIG
Finanz AG (now assumed
by SIG Combibloc Group
AG by way of merger
effective June 15,
2010) dated December
2, 2009.	 	 
	 
	 

	 	Debenture granted by
SIG Holdings (UK)
Limited dated December
2, 2009.	 	 
	 
	 

	 	Security Assignment of
Contractual Rights
under a global loan
agreement dated
November 5, 2009
granted by Reynolds
Consumer Products
International B.V. in
favour of The Bank of
New York Mellon as
collateral agent dated
March 10, 2010.	 	 
	 
	 

	 	Security Assignment of
Contractual Rights
entered into by and
between The Bank of
New York Mellon and
Beverage Packaging
Holdings (Luxembourg)
III S.à r.l relating
to loans made to SIG
Euro Holding AG & Co
KGaA and Closure
Systems International
B.V., dated December
2, 2009.	 	 
	 
	 

	 	Security Assignment of
Contractual Rights
under a global loan
agreement dated
November 5, 2009
granted by Closure
Systems International
B.V. in favour of The
Bank of New York
Mellon as collateral
agent dated March 10,
2010.	 	 
	 
	 

	 	Security Assignment of
Contractual Rights
under a specific
contract (of around
EUR (7 million))
between Beverage
Packaging Holdings
(Luxembourg) I S.A. as
lender and SIG Austria
Holding GmbH as
borrower dated
February 23, 2010.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Security Over Shares
Agreement between SIG Combibloc Holding GmbH
and The Bank of New
York Mellon, in
respect of the shares
in SIG Combibloc
Limited dated August
16, 2010.	 	 
	 
	 

	 	Debenture between Ivex
Holdings, Ltd. and The
Bank of New York
Mellon dated September
1, 2010.	 	 
	 
	 

	 	Debenture between Kama
Europe Limited and The
Bank of New York
Mellon dated September
1, 2010.	 	 
	 
	 

	 	Security Over Shares
Agreement between
Reynolds Packaging
International B.V. and
The Bank of New York
Mellon, relating to
shares in Ivex
Holdings, Ltd dated
September 1, 2010.	 	 
	 
	 

	 	Debenture granted by
Omni-Pac U.K. Limited
dated November 16,
2010.	 	 
	 
	 

	 	Debenture granted by
The Baldwin Group
Limited dated November
16, 2010.	 	 
	 
	 

	 	Debenture granted by
J. & W. Baldwin
(Holdings) Limited
dated November 16,
2010.	 	 
	 
	 

	 	Security Assignment of
Contractual Rights
under a global loan
agreement dated
November 5, 2009
granted by Beverage
Packaging Holdings
(Luxembourg) III S.à
r.l. in favor of The
Bank of New York
Mellon as collateral
agent dated February
1, 2011	 	 
	 
	UNITED STATES

	 	U.S. Collateral
Agreement, dated as of
November 5, 2009,
among Reynolds Group
Holdings Inc.,
Reynolds Consumer
Products Holdings
Inc., Closure Systems
International Holdings
Inc., Reynolds Group
Issuer LLC, Reynolds
Group Issuer Inc.,
each Subsidiary of
Holdings (as defined
therein) from time to
time party thereto and
The Bank of New York
Mellon, as Collateral
Agent.
	 	“Obligations”
	 
	 

	 	Patent Security
Agreement dated as of
September 1, 2010
among Ultra Pac, Inc.,
Reynolds Food
Packaging LLC,
Reynolds Packaging LLC
and The Bank of New
York Mellon.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Trademark Security
Agreement dated as of
September 1, 2010
among Ultra Pac, Inc.,
Reynolds Food
Packaging LLC,
Reynolds Packaging LLC
and The Bank of New
York Mellon.	 	 
	 
	 

	 	Copyright Security
Agreement dated as of
November 16, 2010
among Pactiv
Corporation and The
Bank of New York
Mellon.	 	 
	 
	 

	 	Patent Security
Agreement dated as of
November 16, 2010
among Pactiv
Corporation, Newspring
Industrial Corp.

Prairie Packaging,
Inc., PWP Industries,
Inc. and The Bank of
New York Mellon.	 	 
	 
	 

	 	Trademark Security
Agreement dated as of
November 16, 2010
among Pactiv
Corporation,
Newspring Industrial
Corp.

Prairie Packaging,
Inc., PWP Industries,
Inc. and The Bank of
New York Mellon.	 	 
	 
	 

	 	Patent Security
Agreement dated as of
May 2, 2011 among
Dopaco, Inc. and The
Bank of New York
Mellon.	 	 
	 
	 

	 	Trademark Security
Agreement dated as of
May 2, 2011 among
Dopaco, Inc. and The
Bank of New York
Mellon	 	 

 

 

SCHEDULE B

TO THE REAFFIRMATION AGREEMENT

Part II

List of the Reaffirmed Security Documents

Collateral Agent: Wilmington Trust

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	AUSTRALIA

	 	Equitable Mortgage of
Shares dated June 17,
2010 between Whakatane
Mill Limited as mortgagor
and Wilmington Trust
(London) Limited as
mortgagee relating to the
Share shares in Whakatane
Mill Australia Pty
Limited.
	 	“Secured Liabilities”
	 
	AUSTRIA

	 	Share Pledge Agreement
dated March 4, 2010 over
the shares in SIG Austria
Holding GmbH granted by
SIG Finanz AG (now
assumed by SIG Combibloc
Group AG by way of merger
effective June 15, 2010)
in favour of the
Collateral Agent.
	 	“Secured Obligations”
	 
	 

	 	Share Pledge Agreement
dated March 4, 2010 over
the shares in SIG
Combibloc GmbH granted by
SIG Finanz AG (now
assumed by SIG Combibloc
Group AG by way of merger
effective June 15, 2010)
in favour of the
Collateral Agent.	 	 
	 
	COSTA RICA

	 	Pledge of Quotas
Agreement, executed by
Closure Systems
International B.V. This
document was executed on
January 29, 2010, by
Closure Systems
International B.V. (as
Pledgor) and also by
Wilmington Trust (London)
Limited (as Pledgee).
	 	“Obligations”
	 
	GERMANY

	 	Account Pledge Agreement
dated February 3, 2010
entered into between SIG
Asset Holdings Limited as
pledgor, Wilmington Trust
(London) Limited as
Collateral Agent and as
pledgee and others as
pledgees, as amended by a
confirmation and
amendment agreement dated
4 May 2010.
	 	“Obligations”
	 
	 

	 	Account Pledge Agreement
dated November 16, 2010
entered into between SIG
Asset Holdings Limited as
pledgor, and Wilmington
Trust (London) Limited as
Collateral Agent.	 	 
	 
	 

	 	Account Pledge Agreement
dated February 1, 2011
entered into between SIG
Asset Holdings Limited as
pledgor, and Wilmington
Trust (London) Limited as
Collateral Agent.	 	 

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Account Pledge Agreement
dated February 9, 2011
entered into between SIG
Asset Holdings Limited as
pledgor, and Wilmington
Trust (London) Limited as
Collateral Agent.	 	 
	 
	GUERNSEY

	 	Security Interest
Agreement over Securities
relating to SIG Asset
Holdings Limited dated
January 29, 2010 between
SIG Combibloc Group AG
and Wilmington Trust
(London) Limited as
Collateral Agent
	 	“Obligations”
	 
	 

	 	Security Interest
Agreement over Third
Party Bank Account of SIG
Asset Holdings Limited
dated January 29, 2010
between SIG Asset
Holdings Limited and
Wilmington Trust (London)
Limited as Collateral
Agent	 	 
	 
	HONG KONG

	 	Security over Shares
Agreement dated February
25, 2010 entered into by
Closure Systems
International B.V. over
its shares in Closure
Systems International
(Hong Kong) Limited.
	 	“Secured Liabilities”
	 
	 

	 	Security over Shares
Agreement dated February
25, 2010 entered into by
SIG Finanz AG (now
assumed by SIG Combibloc
Group AG by way of merger
effective June 15, 2010)
over its shares in SIG
Combibloc Limited.	 	 
	 
	 

	 	Debenture granted by
Closure Systems
International (Hong Kong)
Limited dated February
25, 2010.	 	 
	 
	 

	 	Debenture granted by SIG
Combibloc Limited dated
February 25, 2010.	 	 
	 
	 

	 	Debenture granted by
Evergreen Packaging (Hong
Kong) Limited dated May
4, 2010.	 	 
	 
	 

	 	Security over shares
agreement dated May 4,
2010 entered into by
Evergreen Packaging
International B.V. over
its shares in Evergreen
Packaging (Hong Kong)
Limited.	 	 
	 
	HUNGARY

	 	Quota Charge Agreement
dated January 29, 2010
over quotas in CSI
Hungary Kft granted by
Closure Systems
International B.V. in
favour of Wilmington
Trust (London) Limited.
	 	“Obligations”

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	Quota Charge Agreement
dated January 29, 2010
over quotas in Closure
Systems International
Holdings (Hungary) Kft
granted by Closure
Systems International
B.V. in favour of
Wilmington Trust (London)
Limited.	 	 
	 
	 

	 	Agreement Constituting
Floating Charge dated
January 29, 2010 granted
by Closure Systems
International Holdings
(Hungary) Kft in favour
of Wilmington Trust
(London) Limited.	 	 
	 
	 

	 	Charge and Security
Deposit Over Bank
Accounts Agreement dated
January 29, 2010 granted
by Closure Systems
International Holdings
(Hungary) Kft in favour
of Wilmington Trust
(London) Limited.	 	 
	 
	 

	 	Agreement Constituting
Floating Charge dated
January 29, 2010 granted
by CSI Hungary Kft in
favour of Wilmington
Trust (London) Limited.	 	 
	 
	 

	 	Agreement Constituting
Framework Fixed Charge
Over Moveable Assets
dated January 29, 2010
granted by CSI Hungary
Kft in favour of
Wilmington Trust (London)
Limited.	 	 
	 
	 

	 	Charge and Security
Deposit Over Bank
Accounts Agreement dated
January 29, 2010 granted
by CSI Hungary Kft in
favour of Wilmington
Trust (London) Limited.	 	 
	 
	NEW ZEALAND

	 	General Security Deed
dated May 28, 2010
between Whakatane Mill
Limited and Wilmington
Trust (London) Limited.
	 	“Secured Liabilities”
	 
	 

	 	Specific Security Deed
dated May 28, 2010 in
respect of shares in
Whakatane Mill Limited,
between SIG Combibloc
Holding GmbH and
Wilmington Trust (London)
Limited.	 	 
	 
	 

	 	Real property mortgages
given by Whakatane Mill
Limited in respect of the
following certificates of
title: SA685/3;
SA658/133; SA657/97;
SA1743/3; SA942/52;
SA5B/958; SA26C/782;
SA1006/36; SA1443/56 and
SA802/138.	 	 
	 
	THAILAND

	 	Share Pledge Agreement in
respect of shares in
	 	“Obligations”

 

 

	 	 	 	 	 
	 	 	 	 	Local term covering
	 	 	 	 	“Obligations” as defined
	JURISDICTION	 	DOCUMENTS	 	in the FLICA
	 

	 	SIG
Combibloc Ltd granted by
SIG Combibloc Holding
GmbH dated January 29,
2010 between SIG
Combibloc Holding GmbH as
pledgor, Wilmington Trust
(London) Limited as
collateral agent and the
Secured Parties (as
defined therein) and the
Pledge Supplement dated
July 6, 2011.	 	 
	 
	 

	 	Conditional assignment of
bank accounts agreement
dated January 29, 2010
between SIG Combibloc
Ltd. as assignor,
Wilmington Trust (London)
Limited as collateral
agent and the Secured
Parties (as defined
therein)	 	 
	 
	 

	 	Conditional assignment of
receivables agreement
dated January 29, 2010
between SIG Combibloc
Ltd. as assignor,
Wilmington Trust (London)
Limited as collateral
agent and the Secured
Parties (as defined
therein)	 	 
	 
	UNITED KINGDOM

	 	Security Over Cash
Agreement granted by CSI
Hungary Gyarto es
Kereskedelmi Kft, dated
January 29, 2010, in
favour of Wilmington
Trust (London) Limited as
the collateral agent.
	 	“Secured Liabilities”

 

 

SCHEDULE C

TO THE REAFFIRMATION AGREEMENT

Grantors Reaffirming Guarantees Only

Australia:

Whakatane Mill Australia Pty Limited (ACN 143 793 659)

Costa Rica:

CSI Closure Systems Manufacturing de Centro America Sociedad de Responsabilidad Limitada

Japan:

Closure Systems International Japan, Limited

Closure Systems International Holdings (Japan) KK

 

 

SCHEDULE D

TO THE REAFFIRMATION AGREEMENT

Excluded Grantors

Austria:

SIG Combibloc GmbH

SIG Combibloc GmbH & Co KG

SIG Austria Holding GmbH

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