Document:

Exhibit 10.1

THIRD AMENDMENT TO CREDIT AGREEMENT

THIS THIRD AMENDMENT TO CREDIT AGREEMENT dated as of
May 10, 2007 (the “Amendment”) is entered into among Georgia Gulf
Corporation, a Delaware corporation (“GGC”), Royal Group, Inc. (formerly
known as Royal Group Technologies Limited), a Canadian federal corporation (the
“Canadian Borrower”; together with GGC, the “Borrowers”), the
Guarantors, the Lenders party hereto, Bank of America, National Association, as
Domestic Administrative Agent and Bank of America, National Association acting
through its Canada branch, as Canadian Administrative Agent.  All capitalized terms used herein and not
otherwise defined herein shall have the meanings given to such terms in the
Credit Agreement (as defined below).

RECITALS

WHEREAS, the Borrowers, the Guarantors, the Lenders,
Bank of America, National Association, as Domestic Administrative Agent,
Domestic Collateral Agent and Domestic L/C Issuer, Bank of America, National
Association acting through its Canada branch, as Canadian Administrative Agent,
Canadian Collateral Agent and Canadian L/C Issuer and The Bank of Nova Scotia,
as Canadian Swing Line Lender entered into that certain Credit Agreement dated
as of October 3, 2006 (as amended from time to time, the “Credit Agreement”);
and

WHEREAS, GGC has requested that the Lenders amend the
Credit Agreement as set forth below;

NOW, THEREFORE, in consideration of the premises and
the mutual covenants contained herein, and for other good and valuable
consideration, the receipt and sufficiency of which are hereby acknowledged,
the parties hereto agree as follows:

1.                                       Amendments.

(a)                                  The
following definition is hereby added to Section 1.01 of the Credit Agreement in
the appropriate alphabetical order to read as follows:

“Third Amendment
Effective Date” means May 10, 2007.

(b)                                 The
definition of “Applicable Rate” in Section 1.01 of the Credit Agreement is
hereby amended to read as follows:

“Applicable
Rate” means (a) with respect to the Revolving Loans that are Base Rate
Loans, Eurodollar Rate Loans or Bankers’ Acceptance Advances, Letters of Credit
and Commitment Fees, the following percentages per annum, based upon the
Consolidated Adjusted Leverage Ratio as set forth in the most recent Compliance
Certificate received by the Domestic Administrative Agent pursuant to Section 7.02(b):

	
  Pricing

  Tier

  	
   

  	
  Consolidated Adjusted

  Leverage Ratio

  	
   

  	
  Commitment

  Fees

  	
   

  	
  Eurodollar

  Rate Loans

  and Letter

  of Credit

  Fee

  	
   

  	
  Bankers

  Acceptance

  Advances

  	
   

  	
  Base Rate

  Loans

  	
   

  
	
  1

  	
   

  	
  3
  5.00:1.00

  	
   

  	
  0.50

  	
  %

  	
  2.50

  	
  %

  	
  2.50

  	
  %

  	
  1.50

  	
  %

  
	
  2

  	
   

  	
  3
  4.50:1.0 < 5.00:1.00

  	
   

  	
  0.50

  	
  %

  	
  2.375

  	
  %

  	
  2.375

  	
  %

  	
  1.375

  	
  %

  
	
  3

  	
   

  	
  3
  4.00:1.0 < 4.50:1.00

  	
   

  	
  0.50

  	
  %

  	
  2.00

  	
  %

  	
  2.00

  	
  %

  	
  1.00

  	
  %

  
	
  4

  	
   

  	
  3
  3.50:1.0 < 4.00:1.00

  	
   

  	
  0.375

  	
  %

  	
  1.75

  	
  %

  	
  1.75

  	
  %

  	
  0.75

  	
  %

  
	
  5

  	
   

  	
  3
  3.00:1.0 < 3.50:1.00

  	
   

  	
  0.375

  	
  %

  	
  1.50

  	
  %

  	
  1.50

  	
  %

  	
  0.50

  	
  %

  
	
  6

  	
   

  	
  3
  2.50:1.0 < 3.00:1.00

  	
   

  	
  0.375

  	
  %

  	
  1.25

  	
  %

  	
  1.25

  	
  %

  	
  0.25

  	
  %

  
	
  7

  	
   

  	
  < 2.50:1.00

  	
   

  	
  0.375

  	
  %

  	
  1.00

  	
  %

  	
  1.00

  	
  %

  	
  0.00

  	
  %

  

 

and (b) with respect to the
Term Loan, the following percentages per annum, based upon the Consolidated
Adjusted Leverage Ratio as set forth in the most recent Compliance Certificate
received by the Domestic Administrative Agent pursuant to Section 7.02(b):

	
  Pricing

  Tier

  	
   

  	
  Consolidated Adjusted

  Leverage Ratio

  	
   

  	
  Term Loan Eurodollar

  Rate Loans

  	
   

  	
  Term Loan Base Rate

  Loans

  	
   

  
	
  1

  	
   

  	
  3
  5.00:1.00

  	
   

  	
  2.50

  	
  %

  	
  1.50

  	
  %

  
	
  2

  	
   

  	
  3
  3.50:1.0 < 5.00:1.00

  	
   

  	
  2.00

  	
  %

  	
  1.00

  	
  %

  
	
  3

  	
   

  	
  < 3.50:1.00

  	
   

  	
  1.75

  	
  %

  	
  0.75

  	
  %

  

 

Any increase or decrease in
the Applicable Rate resulting from a change in the Consolidated Adjusted
Leverage Ratio shall become effective as of the first Business Day immediately
following the date a Compliance Certificate is delivered pursuant to Section 7.02(b);
provided, however, that if a Compliance Certificate is not
delivered when due in accordance with such Section, then Pricing Tier 1 with
respect to both pricing grids shall apply as of the first Business Day after
the date on which such Compliance Certificate was required to have been
delivered and shall continue to apply until the first Business Day immediately
following the date a Compliance Certificate is delivered in accordance with Section
7.02(b), whereupon the Applicable Rate shall be adjusted based upon the
calculation of the Consolidated Adjusted Leverage Ratio contained in such
Compliance Certificate.  Notwithstanding
the foregoing, (i) the Applicable Rate for Revolving Loans, Bankers’ Acceptance
Advances, Letters of Credit and Commitment Fees in effect from the Third
Amendment Effective Date through the first Business Day immediately following
the date a Compliance Certificate is required to be delivered pursuant to Section
7.02(b) for the fiscal quarter ending March 31, 2007 shall be determined
based upon Pricing Tier 1 in the first pricing grid and (ii) the Applicable
Rate for the Term Loan in effect from the Third Amendment Effective Date
through the first Business Day immediately following the date a Compliance
Certificate is required to be delivered pursuant to Section 7.02(b) for
the fiscal quarter ending March 31, 2007 shall be determined based upon Pricing
Tier 1 in the second pricing grid.

(c)                                  The
definition of “Canadian Letter of Credit Sublimit” in Section 1.01 of
the Credit Agreement is hereby amended to read as follows:

“Canadian
Letter of Credit Sublimit” means an amount equal to US$80,000,000.  The Canadian Letter of Credit Sublimit is
part of, and not in addition to, the Aggregate Canadian Revolving Commitments.

(d)                                 The
definition of “Consolidated EBITDA” in Section 1.01 of the Credit
Agreement is hereby amended to read as follows:

“Consolidated
EBITDA” means, for any period, for GGC and its Subsidiaries on a
consolidated basis, the sum of (a) Consolidated Net Income for such period, plus
(b) to the extent deducted in determining such Consolidated Net Income for such
period, the

 2
 

aggregate amount of (i)
interest expense, (ii) income tax expense, (iii) depreciation and amortization
(including without limitation amortization of debt issuance costs), (iv)
non-cash charges (including any non-cash charges resulting from purchase
accounting adjustment entries associated with the Royal Acquisition in an
aggregate amount not to exceed $17,999,000 for the fiscal quarter ending
December 31, 2006 and in an aggregate amount not to exceed $2,101,000 for the
fiscal quarter ending March 31, 2007) which do not represent a cash item in
such period or any future period and (v) for the fiscal quarter ending December
31, 2006 only, forward contract losses during such period related to the
forward contracts purchased by GGC to protect against fluctuations in the
US$/CAN$ exchange rate in an aggregate amount not to exceed $4,997,000.  For purposes of this definition, “interest”
shall include yield, discount or other similar financing costs pursuant to any
Securitization Transaction; provided that Consolidated EBITDA for the
fiscal quarter periods ending March 31, 2006, June 30, 2006 and September 30,
2006 shall be deemed to equal the amounts set forth on Schedule 1.01(a)
opposite each such fiscal quarter period.

(e)                                  Clause
(b) in the definition of “Domestic L/C Issuer” in Section 1.01 of the
Credit Agreement is hereby amended to read as follows:

(b) with respect to all
other Domestic Letters of Credit, Bank of America, JPMorgan Chase Bank and one
other Domestic Revolving Lender who has been selected by GGC and who has agreed
to act as a Domestic L/C Issuer hereunder in accordance with the terms hereof,
or any successor issuer of Domestic Letters of Credit hereunder.

(f)                                    The
following sentence is hereby added at the end of the definition of “Domestic
Letter of Credit” in Section 1.01 of the Credit Agreement:

The Lenders agree that the letters of credit
identified on Schedule 1.01(e) are Domestic Letters of Credit under this
Agreement and shall be subject to and governed by the terms and conditions of
this Agreement.

(g)                                 The
following sentence is hereby added at the end of Section 7.01(b) of the Credit
Agreement:

Notwithstanding the foregoing provisions of this Section
7.01(b), (x) the Loan Parties shall have until the earlier of the date that
is sixty (60) days after the end of the fiscal quarter of GGC ending March 31,
2007 or the date such information is filed with the SEC to deliver the
financial statements required by this Section 7.01(b) for such fiscal
quarter, (y) the Loan Parties shall have until the earlier of the date that is
sixty (60) days after the end of the fiscal quarter of GGC ending June 30, 2007
or the date such information is filed with the SEC to deliver the financial
statements required by this Section 7.01(b) for such fiscal quarter and
(z) the Loan Parties shall have until the earlier of the date that is fifty
(50) days after the end of the fiscal quarter of GGC ending September 30, 2007
or the date such information is filed with the SEC to deliver the financial
statements required by this Section 7.01(b) for such fiscal quarter.

(h)                                 Section
8.11 of the Credit Agreement is hereby amended to read as follows:

 3
 

8.11                        Financial Covenants.

(a)                                  Consolidated Interest Coverage Ratio. 
Permit the Consolidated Interest Coverage Ratio as of the end of any
fiscal quarter of GGC to be less than the ratio set forth opposite such fiscal
quarter below:

	
  Fiscal Quarter Ending

  	
   

  	
  Consolidated Interest

  Coverage Ratio

  	
   

  
	
  March 31, 2007

  	
   

  	
  1.50:1.0

  	
   

  
	
  June 30, 2007

  	
   

  	
  1.50:1.0

  	
   

  
	
  September 30, 2007

  	
   

  	
  1.50:1.0

  	
   

  
	
  December 31, 2007

  	
   

  	
  1.75:1.0

  	
   

  
	
  March 31, 2008

  	
   

  	
  1.75:1.0

  	
   

  
	
  June 30, 2008

  	
   

  	
  2.00:1.0

  	
   

  
	
  September 30, 2008

  	
   

  	
  2.00:1.0

  	
   

  
	
  December 31, 2008

  	
   

  	
  2.25:1.0

  	
   

  
	
  March 31, 2009

  	
   

  	
  2.50:1.0

  	
   

  
	
  June 30, 2009

  	
   

  	
  2.50:1.0

  	
   

  
	
  September 30, 2009

  	
   

  	
  2.75:1.0

  	
   

  
	
  December 31, 2009 and thereafter

  	
   

  	
  3.00:1.0

  	
   

  

 

(b)                                 Consolidated Leverage Ratio.  Permit the Consolidated Leverage Ratio as of the
end of any fiscal quarter of GGC to be greater than the ratio set forth
opposite such fiscal quarter below:

	
  Fiscal Quarter Ending

  	
   

  	
  Consolidated Leverage Ratio

  	
   

  
	
  March 31, 2007

  	
   

  	
  6.50:1.0

  	
   

  
	
  June 30, 2007

  	
   

  	
  8.50:1.0

  	
   

  
	
  September 30, 2007

  	
   

  	
  8.25:1.0

  	
   

  
	
  December 31, 2007

  	
   

  	
  7.00:1.0

  	
   

  
	
  March 31, 2008

  	
   

  	
  6.25:1.0

  	
   

  
	
  June 30, 2008

  	
   

  	
  6.25:1.0

  	
   

  
	
  September 30, 2008

  	
   

  	
  5.75:1.0

  	
   

  
	
  December 31, 2008

  	
   

  	
  5.25:1.0

  	
   

  
	
  March 31, 2009

  	
   

  	
  4.75:1.0

  	
   

  
	
  June 30, 2009

  	
   

  	
  4.25:1.0

  	
   

  
	
  September 30, 2009

  	
   

  	
  4.00:1.0

  	
   

  
	
  December 31, 2009

  	
   

  	
  3.75:1.0

  	
   

  
	
  March 31, 2010 and thereafter

  	
   

  	
  3.50:1.0

  	
   

  

 

(i)                                     Section
8.15 of the Credit Agreement is hereby amended to read as follows:

8.15                        Capital Expenditures.

Permit
Consolidated Capital Expenditures during any fiscal year to exceed an amount
equal to the amount set forth opposite such fiscal year below:

 4
 

 

	
  Fiscal Year

  	
   

  	
  Consolidated Capital

  Expenditures

  	
   

  
	
  2007

  	
   

  	
  $

  	
  100,000,000

  	
   

  
	
  2008

  	
   

  	
  $

  	
  90,000,000

  	
   

  
	
  2009 and thereafter

  	
   

  	
  $

  	
  135,000,000

  	
   

  

 

(j)                                     A new Schedule 1.01(e) is hereby added to the
Credit Agreement to read as provided on Schedule 1.01(e) attached hereto.

2.                                       Conditions Precedent.  This
Amendment shall be effective upon satisfaction of the following conditions
precedent:

(a)                                  Receipt by the Domestic Administrative Agent
of counterparts of this Amendment duly executed by the Borrowers, the
Guarantors, the Required Lenders, the Required Domestic Revolving Lenders and
the Required Canadian Revolving Lenders and Bank of America, N.A., as
Administrative Agent;

(b)                                 Receipt by the Domestic Administrative Agent
(i) for the account of each Lender who executes this Amendment on or
before May 10, 2007, an agreed upon fee on the aggregate amount of each such
Lender’s (A) Canadian Revolving Commitment, (B) Canadian Swing Line Commitment,
(C) Domestic Revolving Commitment and (D) portion of the Term Loan outstanding
and (ii) any fees and expenses of the Administrative Agents (including
reasonable attorneys’ fees of the Administrative Agents); and

(c)                                  Receipt by any Administrative Agent of such
other documents, instruments, agreements and information as reasonably
requested by such Administrative Agent.

3.                                       Miscellaneous.

(a)                                  The
Credit Agreement, and the obligations of the Loan Parties thereunder and under
the other Loan Documents, are hereby ratified and confirmed and shall remain in
full force and effect according to their terms.

(b)                                 Each Guarantor (a) acknowledges and consents
to all of the terms and conditions of this Amendment, (b) affirms all of
its obligations under the Loan Documents and (c) agrees that this
Amendment and all documents executed in connection herewith do not operate to
reduce or discharge its obligations under the Credit Agreement or the Loan
Documents.

(c)                                  The
Borrowers and the Guarantors hereby represent and warrant as follows:

(i)                                     Each
Loan Party has taken all necessary action to authorize the execution, delivery
and performance of this Amendment.

(ii)                                  This
Amendment has been duly executed and delivered by the Loan Parties and
constitutes each of the Loan Parties’ legal, valid and binding obligations,
enforceable in accordance with its terms, except as such enforceability may be
limited by Debtor Relief Laws and general principles of equity (regardless of
whether such enforceability is considered in a proceeding in equity or at law).

(iii)                               No
consent, approval, authorization or order of, or filing, registration or
qualification with, any court or governmental authority or third party is
required in

 5
 

connection with the execution, delivery or performance
by any Loan Party of this Amendment.

(d)                                 The
Loan Parties represent and warrant to the Lenders that (i) the representations
and warranties of the Loan Parties set forth in Article VI of the Credit
Agreement and in each other Loan Document are true and correct in all material
respects as of the date hereof with the same effect as if made on and as of the
date hereof, except to the extent such representations and warranties expressly
relate solely to an earlier date and (ii) no event has occurred and is
continuing which constitutes a Default or an Event of Default.

(e)                                  This
Amendment may be executed in any number of counterparts, each of which when so
executed and delivered shall be an original, but all of which shall constitute
one and the same instrument.  Delivery of
an executed counterpart of this Amendment by telecopy shall be effective as an
original and shall constitute a representation that an executed original shall
be delivered.

(f)                                    THIS AMENDMENT AND THE RIGHTS AND OBLIGATIONS OF THE PARTIES HEREUNDER
SHALL BE GOVERNED BY AND CONSTRUED AND INTERPRETED IN ACCORDANCE WITH THE LAWS
OF THE STATE OF NEW YORK.

[remainder of page
intentionally left blank]

 6

Each of the
parties hereto has caused a counterpart of this Amendment to be duly executed
and delivered as of the date first above written.

	
  BORROWERS:

  	
  GEORGIA GULF CORPORATION,

  
	
   

  	
  a Delaware corporation, as a Borrower and, with

  
	
   

  	
  respect to the Canadian Obligations, as a Guarantor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOEL I. BEERMAN

  
	
   

  	
  Name:

  	
  Joel I. Beerman

  
	
   

  	
  Title:

  	
  Vice President & Secretary

  
	
   

  	
   

  	
   

  
	
   

  	
  ROYAL GROUP, INC. (formerly known as ROYAL 

  
	
   

  	
  GROUP TECHNOLOGIES LIMITED),

  
	
   

  	
  a Canadian federal corporation, as a Borrower

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOEL I. BEERMAN

  
	
   

  	
  Name:

  	
  Joel I. Beerman

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
  DOMESTIC GUARANTORS:

  	
  GEORGIA GULF CHEMICALS & VINYLS, LLC,

  
	
   

  	
  a Delaware limited liability company

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOEL I. BEERMAN

  
	
   

  	
  Name:

  	
  Joel I. Beerman

  
	
   

  	
  Title:

  	
  Vice President & Secretary

  
	
   

  	
   

  	
   

  
	
   

  	
  GEORGIA GULF LAKE CHARLES, LLC,

  
	
   

  	
  a Delaware limited liability company

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOEL I. BEERMAN

  
	
   

  	
  Name:

  	
  Joel I. Beerman

  
	
   

  	
  Title:

  	
  Vice President & Secretary

  
	
   

  	
   

  	
   

  
	
   

  	
  GREAT RIVER OIL & GAS CORPORATION,
  a 

  
	
   

  	
  Delaware corporation

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOEL I. BEERMAN

  
	
   

  	
  Name:

  	
  Joel I. Beerman

  
	
   

  	
  Title:

  	
  Vice President & Secretary

  
	
   

  	
   

  	
   

  
	
   

  	
  ROME DELAWARE CORP.,

  
	
   

  	
  a Delaware corporation

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOEL I. BEERMAN

  
	
   

  	
  Name:

  	
  Joel I. Beerman

  
	
   

  	
  Title:

  	
  Vice President & Secretary

  
					

 

 

	
  

  	
  ROYAL PLASTICS GROUP (U.S.A.) LIMITED, a

  
	
   

  	
  Delaware corporation

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOEL I. BEERMAN

  
	
   

  	
  Name:

  	
  Joel I. Beerman

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  PLASTIC TRENDS, INC.,

  
	
   

  	
  a Michigan corporation

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOEL I. BEERMAN

  
	
   

  	
  Name:

  	
  Joel I. Beerman

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  ROYBRIDGE INVESTMENTS (U.S.A.) LIMITED, 

  
	
   

  	
  a Delaware corporation

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOEL I. BEERMAN

  
	
   

  	
  Name:

  	
  Joel I. Beerman

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
  CANADIAN GUARANTORS:

  	
  ROME ACQUISITION HOLDING CORP.,

  
	
   

  	
  a Nova Scotia unlimited liability company

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOEL I. BEERMAN

  
	
   

  	
  Name:

  	
  Joel I. Beerman

  
	
   

  	
  Title:

  	
  Vice President & Secretary

  
	
   

  	
   

  	
   

  
	
   

  	
  6632149 CANADA INC.,

  
	
   

  	
  a Canadian federal corporation

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOEL I. BEERMAN

  
	
   

  	
  Name:

  	
  Joel I. Beerman

  
	
   

  	
  Title:

  	
  Vice President

  
						

 

	
  DOMESTIC

  	
   

  
	
  ADMINISTRATIVE AGENT:

  	
  BANK OF AMERICA,

  
	
   

  	
  NATIONAL ASSOCIATION,

  
	
   

  	
  as Domestic Administrative Agent and Domestic

  Collateral Agent

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ COLLEEN M. BRISCOE

  
	
   

  	
  Name:

  	
  Colleen M. Briscoe

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
  CANADIAN

  	
   

  	
   

  
	
  ADMINISTRATIVE AGENT:

  	
  BANK OF AMERICA,

  
	
   

  	
  NATIONAL ASSOCIATION,

  
	
   

  	
  acting through its Canada branch, as Canadian

  Administrative Agent and Canadian Collateral Agent

  
	
   

  	
   

  
	
   

  	
  By: 

  	
  /s/ MEDINA SALES DE ANDRADE

  
	
   

  	
  Name: 

  	
  Medina Sales de Andrade

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
  LENDERS:

  	
  BANK OF AMERICA,

  
	
   

  	
  NATIONAL ASSOCIATION,

  
	
   

  	
  as a Lender and a Domestic L/C Issuer

  
	
   

  	
   

  
	
   

  	
  By: 

  	
  /s/ COLLEEN M. BRISCOE

  
	
   

  	
  Name: 

  	
  Colleen M. Briscoe

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  BANK OF AMERICA,

  
	
   

  	
  NATIONAL ASSOCIATION,

  
	
   

  	
  acting through its Canada branch,

  
	
   

  	
  as a Lender and a Canadian L/C Issuer

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ MEDINA SALES DE ANDRADE

  
	
   

  	
  Name:

  	
  Medina Sales de Andrade

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  THE BANK OF NOVA SCOTIA,

  
	
   

  	
  as a Lender and Canadian Swing Line Lender

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ANDREW OSTOV

  
	
   

  	
  Name:

  	
  Andrew Ostov

  
	
   

  	
  Title:

  	
  Director

  
	
   

  	
   

  	
   

  
	
   

  	
  SCOTIABANC INC.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/

  
	
   

  	
  Name:

  	
   

  
	
   

  	
  Title:

  	
   

  
					

 

 

	
  

  	
  LEHMAN COMMERCIAL PAPER INC.

  
	
   

  	
   

  	
   

  
	
   

  	
  By: 

  	
  /s/ MARIA M. LUND

  
	
   

  	
  Name:

  	
  Maria M. Lund

  
	
   

  	
  Title:

  	
  Authorized signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  BANK OF TOKYO-MITSUBISHI

  
	
   

  	
  UFJ TRUST COMPANY

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ MARY COSEO

  
	
   

  	
  Name:

  	
  Mary Coseo

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  MIZUHO CORPORATE BANK, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ LEON MO

  
	
   

  	
  Name:

  	
  Leon Mo

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  COMMERZBANK AG NEW YORK

  
	
   

  	
  AND GRAND CAYMAN BRANCHES

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ EDWARD C. A. FORSBERG, JR.

  
	
   

  	
  Name:

  	
  Edward C. A. Forsberg, Jr.

  
	
   

  	
  Title:

  	
  Senior Vice President & Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PETER WESEMEIER

  
	
   

  	
  Name:

  	
  Peter Wesemeier

  
	
   

  	
  Title:

  	
  Assistant Treasurer

  
	
   

  	
   

  	
   

  
	
   

  	
  MERRILL LYNCH CAPITAL CORPORATION

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ DON BURKITT

  
	
   

  	
  Name:

  	
  Don Burkitt

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  MERRILL LYNCH CAPITAL CANADA, INC.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ MARCELO CORNOA

  
	
   

  	
  Name:

  	
  Marcelo Cornoa

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  LASALLE BANK NATIONAL ASSOCIATION

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ W. P. FISCHER

  
	
   

  	
  Name:

  	
   W. P. Fischer

  
	
   

  	
  Title:

  	
  Senior Vice President

  
				

 

 

	
  

  	
  ABN AMRO BANK N.V.

  
	
   

  	
   

  
	
   

  	
  By: 

  	
  /s/ NAZMIN ADATIA

  
	
   

  	
  Name: 

  	
  Nazmin Adatia

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  By: 

  	
  /s/ H. BAYU BUDIATMANTO

  
	
   

  	
  Name: 

  	
  H. Bayu Budiatmanto

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  WACHOVIA BANK NATIONAL ASSOCIATION

  
	
   

  	
   

  
	
   

  	
  By: 

  	
  /s/ BARBARA VAN MEERTEN

  
	
   

  	
  Name: 

  	
  Barbara Van Meerten

  
	
   

  	
  Title:

  	
  Director

  
	
   

  	
   

  	
   

  
	
   

  	
  WACHOVIA CAPITAL FINANCE

  CORPORATION (CANADA)

  
	
   

  	
   

  
	
   

  	
  By: 

  	
  /s/ RAYMOND EGHOBAMIEN

  
	
   

  	
  Name: 

  	
  Raymond Eghobamien

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  BAYERISCHE LANDESBANK,

  
	
   

  	
  New York Branch

  
	
   

  	
   

  
	
   

  	
  By: 

  	
  /s/ EDWARD J. CRIPPS

  
	
   

  	
  Name: 

  	
  Edward J. Cripps

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  By: 

  	
  /s/ GEORGINA FIORDALISI

  
	
   

  	
  Name: 

  	
  Georgina Fiordalisi

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  NORTHERN TRUST COMPANY

  
	
   

  	
   

  
	
   

  	
  By: 

  	
  /s/ JOHN C. CAMTY

  
	
   

  	
  Name: 

  	
  John C. Camty

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  JPMORGAN CHASE BANK, N.A.,

  
	
   

  	
  Toronto Branch

  
	
   

  	
   

  
	
   

  	
  By: 

  	
  /s/ PETER A. DEDOUSIS

  
	
   

  	
  Name: 

  	
  Peter A. Dedousis

  
	
   

  	
  Title:

  	
  Managing Director

  
				

 

 

	
  

  	
  JPMORGAN CHASE BANK, N.A.

  
	
   

  	
   

  
	
   

  	
  By: 

  	
  /s/ PETER A. DEDOUSIS

  
	
   

  	
  Name: 

  	
  Peter A. Dedousis

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  AMMC CLO III, LIMITED

  
	
   

  	
   

  
	
   

  	
  By:

  	
  American Money Management Corp.,

  
	
   

  	
   

  	
  as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By: 

  	
  /s/ CHESTER M. ENG

  
	
   

  	
  Name: 

  	
  Chester M. Eng

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  AMMC CLO IV, LIMITED

  
	
   

  	
   

  
	
   

  	
  By:

  	
  American Money Management Corp.,

  
	
   

  	
   

  	
  as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By: 

  	
  /s/ CHESTER M. ENG

  
	
   

  	
  Name: 

  	
  Chester M. Eng

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  AMMC CLO VI, LIMITED

  
	
   

  	
   

  
	
   

  	
  By:

  	
  American Money Management Corp.,

  
	
   

  	
   

  	
  as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By: 

  	
  /s/ CHESTER M. ENG

  
	
   

  	
  Name: 

  	
  Chester M. Eng

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  CONFLUENT 4 LIMITED, as Lender

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Loomis, Sayles & Company, L.P., as Sub-Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Loomis, Sayles & Company, Incorporated, its

  General Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  By: 

  	
  /s/ KEVIN J. PERRY

  
	
   

  	
  Name: 

  	
  Kevin J. Perry

  
	
   

  	
  Title:

  	
  Vice President

  
				

 

 

	
  

  	
  IXIS LOOMIS SAYLES SENIOR LOAN FUND

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Loomis, Sayles and Company, L.P., its Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Loomis, Sayles and Company, Inc., its General

  Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ KEVIN J. PERRY

  
	
   

  	
  Name: 

  	
  Kevin J. Perry

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  LOOMIS SAYLES CLO I, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Loomis, Sayles and Company, L.P., its Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Loomis, Sayles and Company, Inc., its General

  Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ KEVIN P. CHARLESTON

  
	
   

  	
  Name: 

  	
  Kevin P. Charleston

  
	
   

  	
  Title:

  	
  Executive Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  THE LOOMIS SAYLES SENIOR LOAN FUND,

  LLC

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Loomis, Sayles and Company, L.P., its Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Loomis, Sayles and Company, Inc., its General

  Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ KEVIN J. PERRY

  
	
   

  	
  Name: 

  	
  Kevin J. Perry

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  THE LOOMIS SAYLES SENIOR LOAN FUND II

  LLC

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Loomis, Sayles & Company, L.P., its Managing

  Member

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Loomis, Sayles & Company, Inc., its General

  Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ KEVIN J. PERRY

  
	
   

  	
  Name: 

  	
  Kevin J. Perry

  
	
   

  	
  Title:

  	
  Vice President

  
				

 

 

	
  

  	
  HYPO PUBLIC FINANCE BANK

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CYNTHIA GREY-INCIONG

  
	
   

  	
  Name:

  	
  Cynthia Grey-Inciong

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  HYPO PUBLIC FINANCE BANK

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PAUL SCUDERI

  
	
   

  	
  Name:

  	
  Paul Scuderi

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  HILLMARK FUNDING

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Hillmark Capital Management, L.P., as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ KEVIN CUSKLEY

  
	
   

  	
  Name:

  	
  Kevin Cuskley

  
	
   

  	
  Title:

  	
  Senior Portfolio Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  HILLMARK FUNDING II

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Hillmark Capital Management, L.P., as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ KEVIN CUSKLEY

  
	
   

  	
  Name:

  	
  Kevin Cuskley

  
	
   

  	
  Title:

  	
  Senior Portfolio Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  STONEY LANE FUNDING II LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Hillmark Capital Management, L.P., as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ KEVIN CUSKLEY

  
	
   

  	
  Name:

  	
  Kevin Cuskley

  
	
   

  	
  Title:

  	
  Senior Portfolio Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  WESTBROOK CLO, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Shenkman Capital Management, Inc.,

  
	
   

  	
   

  	
  as Investment Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ RICHARD H. WEINSTEIN

  
	
   

  	
  Name:

  	
  Richard H. Weinstein

  
	
   

  	
  Title:

  	
  Executive Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  CONTINENTAL CASUALTY COMPANY

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ MARILOU R. MCGIRR

  
	
   

  	
  Name:

  	
  Marilou R. McGirr

  
	
   

  	
  Title:

  	
  Vice President and Assistant Treasurer

  
					

 

 

	
  

  	
  CONTINENTAL ASSURANCE COMPANY ON

  BEHALF OF ITS SEPARATE ACCOUNT (E)

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ MARILOU R. MCGIRR

  
	
   

  	
  Name:

  	
  Marilou R. McGirr

  
	
   

  	
  Title:

  	
  Vice President and Assistant Treasurer

  
	
   

  	
   

  	
   

  
	
   

  	
  PTRS CBNA LOAN FUNDING LLC

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ RICHARD NEWCOMB

  
	
   

  	
  Name:

  	
  Richard Newcomb

  
	
   

  	
  Title:

  	
  Attorney-in-fact

  
	
   

  	
   

  	
   

  
	
   

  	
  AETNA LIFE INSURANCE COMPANY

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ALAN C. PETERSEN

  
	
   

  	
  Name:

  	
  Alan C. Petersen

  
	
   

  	
  Title:

  	
  Investment Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  BACCHUS (US) 2006-1, LTD

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ MICKEY CHADHA

  
	
   

  	
  Name:

  	
  Mickey Chadha

  
	
   

  	
  Title:

  	
  Portfolio Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  IKB CAPITAL CORPORATION

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ MICKEY CHADHA

  
	
   

  	
  Name:

  	
  Mickey Chadha

  
	
   

  	
  Title:

  	
  Portfolio Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  THE NORTHWESTERN MUTUAL LIFE

  INSURANCE COMPANY

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ STEVEN P. SWANSON

  
	
   

  	
  Name:

  	
  Steven P. Swanson

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  ACA CLO 2006-2, LIMITED

  
	
   

  	
   

  
	
   

  	
  By:

  	
  ACA Management, LLC

  
	
   

  	
   

  	
  as Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ VINCENT INGATO

  
	
   

  	
  Name:

  	
  Vincent Ingato

  
	
   

  	
  Title:

  	
  Managing Director

  
				

 

 

	
  

  	
  GALLATIN FUNDING I LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Bear Stearns Asset Management, Inc.,

  
	
   

  	
   

  	
  as its Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JUSTIN DRISCOLL

  
	
   

  	
  Name:

  	
  Justin Driscoll

  
	
   

  	
  Title:

  	
  Senior Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  GALLATIN CLO II 2005-1 LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Bear Stearns Asset Management, Inc.,

  
	
   

  	
   

  	
  as its Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JUSTIN DRISCOLL

  
	
   

  	
  Name:

  	
  Justin Driscoll

  
	
   

  	
  Title:

  	
  Senior Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  GALLATIN CLO III 2007-1 LTD.

  
	
   

  	
  as Assignee

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Bear Stearns Asset Management, Inc.,

  
	
   

  	
   

  	
  as its Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JUSTIN DRISCOLL

  
	
   

  	
  Name:

  	
  Justin Driscoll

  
	
   

  	
  Title:

  	
  Senior Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  GRAYSTON CLO II 2005-1 LTD.

  
	
   

  	
   

  
	
   

  	
  By: Bear Stearns Asset Management, Inc.,

  
	
   

  	
  as its Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JUSTIN DRISCOLL

  
	
   

  	
  Name:

  	
  Justin Driscoll

  
	
   

  	
  Title:

  	
  Senior Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  BANK OF AMERICA, N.A.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ MICHAEL ROOF

  
	
   

  	
  Name:

  	
  Michael Roof

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  MALIBU CBNA LOAN FUNDING LLC,  for itself or

  as agent for Malibu CFPI Loan Funding LLC

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ALICIA MARTHALER

  
	
   

  	
  Name:

  	
  Alicia Marthaler

  
	
   

  	
  Title:

  	
  Attorney-in-fact

  
				

 

	
  

  	
  GALAXY IV CLO, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  AIG Global Investment Corp., its Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ STEVEN S. OH

  
	
   

  	
  Name:

  	
  Steven S. Oh

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  GALAXY V CLO, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  AIG Global Investment Corp., its Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ STEVEN S. OH

  
	
   

  	
  Name:

  	
  Steven S. Oh

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  GALAXY VII CLO, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  AIG Global Investment Corp., as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ STEVEN S. OH

  
	
   

  	
  Name:

  	
  Steven S. Oh

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  GALAXY VIII CLO, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  AIG Global Investment Corp., as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ STEVEN S. OH

  
	
   

  	
  Name:

  	
  Steven S. Oh

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  AIG-AIG ANNUITY

  
	
   

  	
   

  
	
   

  	
  By:

  	
  AIG Global Investment Corp., its Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ STEVEN S. OH

  
	
   

  	
  Name:

  	
  Steven S. Oh

  
	
   

  	
  Title:

  	
  Managing Director

  
				

 

 

	
  

  	
  AVENUE CLO II, LIMITED

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ RICHARD D’ADDARIO

  
	
   

  	
  Name:

  	
  Richard D’Addario

  
	
   

  	
  Title:

  	
  Senior Portfolio Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  AVENUE CLO V, LIMITED

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ RICHARD D’ADDARIO

  
	
   

  	
  Name:

  	
  Richard D’Addario

  
	
   

  	
  Title:

  	
  Senior Portfolio Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  AVENUE CLO VI, LIMITED

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ RICHARD D’ADDARIO

  
	
   

  	
  Name:

  	
  Richard D’Addario

  
	
   

  	
  Title:

  	
  Senior Portfolio Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  HSH NORDBANK AG NEW YORK BRANCH

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ GARRY WEISS

  
	
   

  	
  Name:

  	
  Garry Weiss

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ THOMAS D’AVANZO

  
	
   

  	
  Name:

  	
  Thomas D’Avanzo

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  LIGHTPOINT CLO IV, LTD.

  
	
   

  	
  LIGHTPOINT CLO VII, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ COLIN DONLAN

  
	
   

  	
  Name:

  	
  Colin Donlan

  
	
   

  	
  Title:

  	
  Director

  
	
   

  	
   

  	
   

  
	
   

  	
  LATITUDE CLO I, LTD

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHAUNCEY F. LUFKIN, III

  
	
   

  	
  Name:

  	
  Chauncey F. Lufkin, III

  
	
   

  	
  Title:

  	
  CIO

  
	
   

  	
   

  	
   

  
	
   

  	
  LATITUDE CLO II, LTD

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHAUNCEY F. LUFKIN, III

  
	
   

  	
  Name:

  	
  Chauncey F. Lufkin, III

  
	
   

  	
  Title:

  	
  CIO

  
				

 

 

	
  

  	
  SOUND BEACH CLO 1, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ERIC BOTHWELL

  
	
   

  	
  Name:

  	
  Eric Bothwell

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  PRIMUS CLO 1 LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHARLES MCLENDON

  
	
   

  	
  Name:

  	
  Charles McLendon

  
	
   

  	
  Title:

  	
  President, Primus Asset Management

  
	
   

  	
   

  	
   

  
	
   

  	
  THE HARTFORD MUTUAL FUNDS, INC.,
  on

  behalf of the Hartford Floating Rate Fund by Hartford

  Investment Management Company, its sub-advisor, as a

  lender

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ADRAYLL ASKEW

  
	
   

  	
  Name:

  	
  Adrayll Askew

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  LMP CORPORATE LOAN FUND, INC.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Citigroup Alternative Investments LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ROGER YEE

  
	
   

  	
  Name:

  	
  Roger Yee

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  REGATTA FUNDING LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Citigroup Alternative Investments LLC, attorney-

  in-fact

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ROGER YEE

  
	
   

  	
  Name:

  	
  Roger Yee

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  ROSEDALE CLO LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Princeton Advisory Group, Inc.

  
	
   

  	
   

  	
  the Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PARESH R. SHAH

  
	
   

  	
  Name:

  	
  Paresh R. Shah

  
	
   

  	
  Title:

  	
  Senior Analyst

  
				

 

 

	
  

  	
  ROSEDALE CLO II LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Princeton Advisory Group, Inc.

  
	
   

  	
   

  	
  the Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PARESH R. SHAH

  
	
   

  	
  Name:

  	
  Paresh R. Shah

  
	
   

  	
  Title:

  	
  Senior Analyst

  
	
   

  	
   

  	
   

  
	
   

  	
  CARLYLE LOAN OPPORTUNITY FUND

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ LINDA PACE

  
	
   

  	
  Name:

  	
  Linda Pace

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  CARLYLE LOAN INVESTMENT, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ LINDA PACE

  
	
   

  	
  Name:

  	
  Linda Pace

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  CARLYLE HIGH YIELD PARTNERS X, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ LINDA PACE

  
	
   

  	
  Name:

  	
  Linda Pace

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  CARLYLE HIGH YIELD PARTNERS VIII, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ LINDA PACE

  
	
   

  	
  Name:

  	
  Linda Pace

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  CARLYLE HIGH YIELD PARTNERS VII, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ LINDA PACE

  
	
   

  	
  Name:

  	
  Linda Pace

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  CARLYLE HIGH YIELD PARTNERS VI, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ LINDA PACE

  
	
   

  	
  Name:

  	
  Linda Pace

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  CARLYLE HIGH YIELD PARTNERS IV, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ LINDA PACE

  
	
   

  	
  Name:

  	
  Linda Pace

  
	
   

  	
  Title:

  	
  Managing Director

  
				

 

 

	
  

  	
  CARLYLE HIGH YIELD PARTNERS IX, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ LINDA PACE

  
	
   

  	
  Name:

  	
  Linda Pace

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  FALL CREEK CLO, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JASON M. RIEHLE

  
	
   

  	
  Name:

  	
  Jason M. Riehle

  
	
   

  	
  Title:

  	
  Authorized Signor

  
	
   

  	
   

  	
   

  
	
   

  	
  EMERALD ORCHARD LIMITED

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ NEAM AHMED

  
	
   

  	
  Name:

  	
  Neam Ahmed

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  BEECHER CBNA LOAN FUNDING LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PATRICK REICHART

  
	
   

  	
  Name:

  	
  Patrick Reichart

  
	
   

  	
  Title:

  	
  Attorney-in-fact

  
	
   

  	
   

  	
   

  
	
   

  	
  TRUMBULL THC2 LOAN FUNDING LLC,
  for

  itself or as agent for Trumbull THC2 CFPI Loan

  Funding LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PATRICK REICHART

  
	
   

  	
  Name:

  	
  Patrick Reichart

  
	
   

  	
  Title:

  	
  Attorney-in-fact

  
	
   

  	
   

  	
   

  
	
   

  	
  COLE BROOK CBNA LOAN FUNDING LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JEFF PARKINSON

  
	
   

  	
  Name:

  	
  Jeff Parkinson

  
	
   

  	
  Title:

  	
  Attorney-in-fact

  
	
   

  	
   

  	
   

  
	
   

  	
  VICTORIA COURT CBNA LOAN FUNDING LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JEFF PARKINSON

  
	
   

  	
  Name:

  	
  Jeff Parkinson

  
	
   

  	
  Title:

  	
  Attorney-in-fact

  
	
   

  	
   

  	
   

  
	
   

  	
  MOUNTAIN CAPITAL CLO VI LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JONATHAN DIETZ

  
	
   

  	
  Name:

  	
  Jonathan Dietz

  
	
   

  	
  Title:

  	
  Director

  
				

 

 

	
  

  	
  OLIGRA 43

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ NEAM AHMED

  
	
   

  	
  Name:

  	
  Neam Ahmed

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  SERVES 2006-1, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  PPM America, Inc., as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHRIS KAPPAS

  
	
   

  	
  Name:

  	
  Chris Kappas

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  PPM GRAYHAWK CLO, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  PPM America, Inc., as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHRIS KAPPAS

  
	
   

  	
  Name:

  	
  Chris Kappas

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  ABN AMRO BANK N.V.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  LaSalle Bank N.A., as Trustee

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JANET HAACK

  
	
   

  	
  Name:

  	
  Janet Haack

  
	
   

  	
  Title:

  	
  Attorney-in-fact

  
	
   

  	
   

  	
   

  
	
   

  	
  THE SUMITOMO TRUST AND BANKING CO.,

  LTD., NEW YORK BRANCH

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ELIZABETH A. QUIRK

  
	
   

  	
  Name:

  	
  Elizabeth A. Quirk

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  CSAM FUNDING II

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ DAVID H. LERNER

  
	
   

  	
  Name:

  	
  David H. Lerner

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  ATRIUM CDO

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ DAVID H. LERNER

  
	
   

  	
  Name:

  	
  David H. Lerner

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
				

 

 

	
  

  	
  ATRIUM II

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ DAVID H. LERNER

  
	
   

  	
  Name:

  	
  David H. Lerner

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  CSAM FUNDING IV

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ DAVID H. LERNER

  
	
   

  	
  Name:

  	
  David H. Lerner

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  CREDIT SUISSE SYNDICATED LOAN FUND

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ DAVID H. LERNER

  
	
   

  	
  Name:

  	
  David H. Lerner

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  MADISON PARK FUNDING II, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ DAVID H. LERNER

  
	
   

  	
  Name:

  	
  David H. Lerner

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  MADISON PARK FUNDING V, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ DAVID H. LERNER

  
	
   

  	
  Name:

  	
  David H. Lerner

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  MADISON PARK FUNDING IV, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ DAVID H. LERNER

  
	
   

  	
  Name:

  	
  David H. Lerner

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  THE TRAVELERS INDEMNITY COMPANY

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ANNETTE MASTERSON

  
	
   

  	
  Name:

  	
  Annette Masterson

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  TRALEE CDO I, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Par-Four Investment Management, LLC, as

  Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ EDWARD LABRENZ

  
	
   

  	
  Name:

  	
  Edward Labrenz

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
				

 

 

	
  

  	
  FAIRWAY LOAN FUNDING COMPANY

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Pacific Investment Management Company LLC,

  
	
   

  	
   

  	
  as its Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ARTHUR Y. D. ONG

  
	
   

  	
  Name:

  	
  Arthur Y. D. Ong

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  LOAN FUNDING III LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Pacific Investment Management Company LLC,

  
	
   

  	
   

  	
  as its Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ARTHUR Y. D. ONG

  
	
   

  	
  Name:

  	
  Arthur Y. D. Ong

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  MAYPORT CLO LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Pacific Investment Management Company LLC,

  
	
   

  	
   

  	
  as its Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ARTHUR Y. D. ONG

  
	
   

  	
  Name:

  	
  Arthur Y. D. Ong

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  PIMCO FLOATING RATE STRATEGY FUND

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Pacific Investment Management Company LLC,

  
	
   

  	
   

  	
  as its Investment Advisor, acting through Investors

  
	
   

  	
   

  	
  Fiduciary Trust Company in the Nominee Name of

  
	
   

  	
   

  	
  IFTCO

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ARTHUR Y. D. ONG

  
	
   

  	
  Name:

  	
  Arthur Y. D. Ong

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  SOUTHPORT CLO, LIMITED

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Pacific Investment Management Company LLC,

  
	
   

  	
   

  	
  as its Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ARTHUR Y. D. ONG

  
	
   

  	
  Name:

  	
  Arthur Y. D. Ong

  
	
   

  	
  Title:

  	
  Senior Vice President

  
				

 

 

	
  

  	
  WAVELAND – INGOTS, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Pacific Investment Management Company LLC,

  
	
   

  	
   

  	
  as its Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ARTHUR Y. D. ONG

  
	
   

  	
  Name:

  	
  Arthur Y. D. Ong

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  EMPLOYERS INSURANCE COMPANY OF

  WAUSSA

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Highland Capital Management, L.P., its Investment

  Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Strand Advisors, Inc., its General Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ BRIAN LOHRDING

  
	
   

  	
  Name:

  	
  Brian Lohrding

  
	
   

  	
  Title:

  	
  Treasurer, Strand Advisors, Inc.

  
	
   

  	
   

  	
  General Partner of Highland Capital

  
	
   

  	
   

  	
  Management, L.P.

  
	
   

  	
   

  	
   

  
	
   

  	
  GRAYSON CLO, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Highland Capital Management, L.P., as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Strand Advisors, Inc., its General Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ BRIAN LOHRDING

  
	
   

  	
  Name:

  	
  Brian Lohrding

  
	
   

  	
  Title:

  	
  Treasurer, Strand Advisors, Inc.

  
	
   

  	
   

  	
  General Partner of Highland Capital

  
	
   

  	
   

  	
  Management, L.P.

  
	
   

  	
   

  	
   

  
	
   

  	
  SCOTLAND CLO, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Highland Capital Management, L.P., as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Strand Advisors, Inc., its General Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ BRIAN LOHRDING

  
	
   

  	
  Name:

  	
  Brian Lohrding

  
	
   

  	
  Title:

  	
  Treasurer, Strand Advisors, Inc.

  
	
   

  	
   

  	
  General Partner of Highland Capital

  
	
   

  	
   

  	
  Management, L.P.

  
				

 

 

	
  

  	
  HARRISON CLO, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Highland Capital Management, L.P., as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Strand Advisors, Inc., its General Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ BRIAN LOHRDING

  
	
   

  	
  Name:

  	
  Brian Lohrding

  
	
   

  	
  Title:

  	
  Treasurer, Strand Advisors, Inc.

  
	
   

  	
   

  	
  General Partner of Highland Capital

  
	
   

  	
   

  	
  Management, L.P.

  
	
   

  	
   

  	
   

  
	
   

  	
  ROCKWELL CLO II, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Highland Capital Management, L.P., as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Strand Advisors, Inc., its General Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ BRIAN LOHRDING

  
	
   

  	
  Name:

  	
  Brian Lohrding

  
	
   

  	
  Title:

  	
  Treasurer, Strand Advisors, Inc.

  
	
   

  	
   

  	
  General Partner of Highland Capital

  
	
   

  	
   

  	
  Management, L.P.

  
	
   

  	
   

  	
   

  
	
   

  	
  LIBERTY MUTUAL INSURANCE COMPANY

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Highland Capital Management, L.P., its Investment

  Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Strand Advisors, Inc., its General Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ BRIAN LOHRDING

  
	
   

  	
  Name:

  	
  Brian Lohrding

  
	
   

  	
  Title:

  	
  Treasurer, Strand Advisors, Inc.

  
	
   

  	
   

  	
  General Partner of Highland Capital

  
	
   

  	
   

  	
  Management, L.P.

  
				

 

	
   

  	
  LIBERTY MUTUAL FIRE INSURANCE

  COMPANY

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Highland Capital Management, L.P., its Investment

  Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Strand Advisors, Inc., its General Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ BRIAN LOHRDING

  
	
   

  	
  Name:

  	
  Brian Lohrding

  
	
   

  	
  Title:

  	
  Treasurer, Strand Advisors, Inc.

  
	
   

  	
   

  	
  General Partner of Highland Capital

  
	
   

  	
   

  	
  Management, L.P.

  
	
   

  	
   

  	
   

  
	
   

  	
  SEI INSTITUTIONAL MANAGED TRUST –

  ENHANCED INCOME FUND

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ M. JASON BLACKBURN

  
	
   

  	
  Name:

  	
  M. Jason Blackburn

  
	
   

  	
  Title:

  	
  Treasurer

  
	
   

  	
   

  	
   

  
	
   

  	
  SEI GLOBAL BANK LOAN POOL/HIGHLAND,

  for the benefit of SEI Global Investment Fund plc – The

  SEI Enhanced Income Fund

  
	
   

  	
  SEI Global Master Fund plc – The SEI Enhanced

  Income Fund

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ M. JASON BLACKBURN

  
	
   

  	
  Name:

  	
  M. Jason Blackburn

  
	
   

  	
  Title:

  	
  Treasurer

  
	
   

  	
   

  	
   

  
	
   

  	
  HIGHLAND FLOATING RATE ADVANTAGE

  FUND

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ M. JASON BLACKBURN

  
	
   

  	
  Name:

  	
  M. Jason Blackburn

  
	
   

  	
  Title:

  	
  Treasurer

  
	
   

  	
   

  	
   

  
	
   

  	
  MORGAN STANLEY SENIOR FUNDING, INC.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ IAN J. SANDLER

  
	
   

  	
  Name:

  	
  Ian J. Sandler

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
				

 

 

	
  

  	
  ATLAS LOAN FUNDING (HARTFORD), LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Atlas Capital Funding, Ltd.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Structured Asset Investors, LLC, its Investment

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ DIANA M. HIMES

  
	
   

  	
  Name:

  	
  Diana M. Himes

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  ATLAS LOAN FUNDING (NAVIGATOR), LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Atlas Capital Funding, Ltd.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Structured Asset Investors, LLC,

  
	
   

  	
   

  	
  its Investment Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ DIANA M. HIMES

  
	
   

  	
  Name:

  	
  Diana M. Himes

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  WB LOAN FUNDING 1, LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ DIANA M. HIMES

  
	
   

  	
  Name:

  	
  Diana M. Himes

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  DUANE STREET CLO III, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  DiMaio Ahmad Capital LLC,

  
	
   

  	
   

  	
  as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PAUL TRAVERS

  
	
   

  	
  Name:

  	
  Paul Travers

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  BLACK DIAMOND CLO 2006-1/(CAYMAN), LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Black Diamond CLO 2006-1 Advisor, L.L.C., as its

  Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ STEPHEN H. DUCKOFF

  
	
   

  	
  Name:

  	
  Stephen H. Duckoff

  
	
   

  	
  Title:

  	
  Managing Principal

  
				

 

 

	
  

  	
  BLACK DIAMOND CLO 2005-2, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Black Diamond CLO 2005-2 Advisor, L.L.C., as its
  Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ STEPHEN H. DUCKOFF

  
	
   

  	
  Name:

  	
  Stephen H. Duckoff

  
	
   

  	
  Title:

  	
  Managing Principal

  
	
   

  	
   

  	
   

  
	
   

  	
  BLACK DIAMOND CLO 2005-1, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Black Diamond CLO 2005-1 Advisor, L.L.C., as its

  Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ STEPHEN H. DUCKOFF

  
	
   

  	
  Name:

  	
  Stephen H. Duckoff

  
	
   

  	
  Title:

  	
  Managing Principal

  
	
   

  	
   

  	
   

  
	
   

  	
  ING INVESTMENT MANAGEMENT CLO I, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  ING Investment Management Co., as its Investment

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHARLES E. LEMIEUX, CFA

  
	
   

  	
  Name:

  	
  Charles E. Lemieux, CFA

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  ING INVESTMENT MANAGEMENT CLO II,

  LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  ING Alternative Asset Management LLC, as its

  Investment Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHARLES E. LEMIEUX, CFA

  
	
   

  	
  Name:

  	
  Charles E. Lemieux, CFA

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  ING INVESTMENT MANAGEMENT CLO III,

  LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  ING Alternative Asset Management LLC, as its

  Investment Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHARLES E. LEMIEUX, CFA

  
	
   

  	
  Name:

  	
  Charles E. Lemieux, CFA

  
	
   

  	
  Title:

  	
  Senior Vice President

  
				

 

 

	
  

  	
  ING INVESTMENT MANAGEMENT CLO IV,

  LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  ING Alternative Asset Management LLC, as its

  Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHARLES E. LEMIEUX, CFA

  
	
   

  	
  Name:

  	
  Charles E. Lemieux, CFA

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  ING PRIME RATE TRUST

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  ING Investment Management Co., as its Investment

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHARLES E. LEMIEUX, CFA

  
	
   

  	
  Name:

  	
  Charles E. Lemieux, CFA

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  ING SENIOR INCOME FUND

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  ING Investment Management Co., as its Investment

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHARLES E. LEMIEUX, CFA

  
	
   

  	
  Name:

  	
  Charles E. Lemieux, CFA

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  ING INTERNATIONAL (II) – SENIOR BANK

  LOANS EURO

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  ING Investment Management Co., as its Investment

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHARLES E. LEMIEUX, CFA

  
	
   

  	
  Name:

  	
  Charles E. Lemieux, CFA

  
	
   

  	
  Title:

  	
  Senior Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  ING INTERNATIONAL (II) – SENIOR BANK

  LOANS USD

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  ING Investment Management Co., as its Investment

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHARLES E. LEMIEUX, CFA

  
	
   

  	
  Name:

  	
  Charles E. Lemieux, CFA

  
	
   

  	
  Title:

  	
  Senior Vice President

  
				

 

 

	
  

  	
  ALZETTE EUROPEAN CLO S.A.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  INVESCO Senior Secured Management, Inc.,

  
	
   

  	
   

  	
  as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ THOMAS EWALD

  
	
   

  	
  Name:

  	
  Thomas Ewald

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  BELHURST CLO LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  INVESCO Senior Secured Management, Inc.

  
	
   

  	
   

  	
  as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ THOMAS EWALD

  
	
   

  	
  Name:

  	
  Thomas Ewald

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  CHAMPLAIN CLO, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  INVESCO Senior Secured Management, Inc.

  
	
   

  	
   

  	
  as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ THOMAS EWALD

  
	
   

  	
  Name:

  	
  Thomas Ewald

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  CHARTER VIEW PORTFOLIO

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  INVESCO Senior Secured Management, Inc.

  
	
   

  	
   

  	
  as Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ THOMAS EWALD

  
	
   

  	
  Name:

  	
  Thomas Ewald

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  DIVERSIFIED CREDIT PORTFOLIO LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  INVESCO Senior Secured Management, Inc.

  
	
   

  	
   

  	
  as Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ THOMAS EWALD

  
	
   

  	
  Name:

  	
  Thomas Ewald

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
				

 

 

	
  

  	
  AIM FLOATING RATE FUND

  
	
   

  	
   

  
	
   

  	
  By:

  	
  INVESCO Senior Secured Management, Inc.

  
	
   

  	
   

  	
  as Sub-Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ THOMAS EWALD

  
	
   

  	
  Name:

  	
  Thomas Ewald

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  KATONAH V, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  INVESCO Senior Secured Management, Inc.

  
	
   

  	
   

  	
  as Investment Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ THOMAS EWALD

  
	
   

  	
  Name:

  	
  Thomas Ewald

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  LOAN FUNDING IX LLC,

  
	
   

  	
  for itself or as agent for Corporate Loan Funding IX

  LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  INVESCO Senior Secured Management, Inc.

  
	
   

  	
   

  	
  as Portfolio Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ THOMAS EWALD

  
	
   

  	
  Name:

  	
  Thomas Ewald

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  LIMEROCK CLO I

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  INVESCO Senior Secured Management, Inc.

  
	
   

  	
   

  	
  as Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ THOMAS EWALD

  
	
   

  	
  Name:

  	
  Thomas Ewald

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  MOSELLE CLO S.A.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  INVESCO Senior Secured Management, Inc.

  
	
   

  	
   

  	
  as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ THOMAS EWALD

  
	
   

  	
  Name:

  	
  Thomas Ewald

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
				

 

 

	
  

  	
  NAUTIQUE FUNDING II LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  INVESCO Senior Secured Management, Inc.

  
	
   

  	
   

  	
  as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ THOMAS EWALD

  
	
   

  	
  Name:

  	
  Thomas Ewald

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  NAUTIQUE FUNDING LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  INVESCO Senior Secured Management, Inc.

  
	
   

  	
   

  	
  as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ THOMAS EWALD

  
	
   

  	
  Name:

  	
  Thomas Ewald

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  PETRUSSE EUROPEAN CLO S.A.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  INVESCO Senior Secured Management, Inc.

  
	
   

  	
   

  	
  as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ THOMAS EWALD

  
	
   

  	
  Name:

  	
  Thomas Ewald

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  SAGAMORE CLO LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  INVESCO Senior Secured Management, Inc.

  
	
   

  	
   

  	
  as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ THOMAS EWALD

  
	
   

  	
  Name:

  	
  Thomas Ewald

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  SARATOGA CLO I, LIMITED

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  INVESCO Senior Secured Management, Inc.

  
	
   

  	
   

  	
  as Asset Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ THOMAS EWALD

  
	
   

  	
  Name:

  	
  Thomas Ewald

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
				

 

 

	
  

  	
  WASATCH CLO LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  INVESCO Senior Secured Management, Inc.

  
	
   

  	
   

  	
  as Portfolio Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ THOMAS EWALD

  
	
   

  	
  Name:

  	
  Thomas Ewald

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  EMERSON PLACE CLO, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ R. IAN O’KEEFFE

  
	
   

  	
  Name:

  	
  R. Ian O’Keeffe

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  AVERY STREET CLO, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ R. IAN O’KEEFFE

  
	
   

  	
  Name:

  	
  R. Ian O’Keeffe

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  BABSON CLO LTD. 2004-I

  
	
   

  	
  BABSON CLO LTD. 2005-I

  
	
   

  	
  BABSON CLO LTD. 2005-II

  
	
   

  	
  BABSON CLO LTD. 2005-III

  
	
   

  	
  BABSON CLO LTD. 2006-I

  
	
   

  	
  BABSON CLO LTD. 2006-II

  
	
   

  	
  BABSON CLO LTD. 2007-I

  
	
   

  	
  SAPPHIRE VALLEY CDO I, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Babson Capital Management LLC, as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ GEOFFREY TAKACS

  
	
   

  	
  Name:

  	
  Geoffrey Takacs

  
	
   

  	
  Title:

  	
  Director

  
	
   

  	
   

  	
   

  
	
   

  	
  BILL & MELINDA GATES FOUNDATION TRUST

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Babson Capital Management LLC, as Investment

  Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ GEOFFREY TAKACS

  
	
   

  	
  Name:

  	
  Geoffrey Takacs

  
	
   

  	
  Title:

  	
  Director

  
				

 

 

	
  

  	
  MAPLEWOOD (CAYMAN) LIMITED

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Babson Capital Management LLC, as Investment

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ GEOFFREY TAKACS

  
	
   

  	
  Name:

  	
  Geoffrey Takacs

  
	
   

  	
  Title:

  	
  Director

  
	
   

  	
   

  	
   

  
	
   

  	
  HAKONE FUND LLC

  
	
   

  	
  HAKONE FUND II LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Babson Capital Management LLC, as Investment

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ GEOFFREY TAKACS

  
	
   

  	
  Name:

  	
  Geoffrey Takacs

  
	
   

  	
  Title:

  	
  Director

  
	
   

  	
   

  	
   

  
	
   

  	
  MASSACHUSETTS MUTUAL LIFE INSURANCE

  COMPANY

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Babson Capital Management LLC, as Investment

  Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ GEOFFREY TAKACS

  
	
   

  	
  Name:

  	
  Geoffrey Takacs

  
	
   

  	
  Title:

  	
  Director

  
	
   

  	
   

  	
   

  
	
   

  	
  NAVIGARE FUNDING I CLO LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Navigare Partners LLC, its Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOEL G. SEREBRANSKY

  
	
   

  	
  Name:

  	
  Joel G. Serebransky

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  NAVIGARE TOTAL RETURN LOAN FUND I

  (SEGREGATED PORTFOLIO)

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOEL G. SEREBRANSKY

  
	
   

  	
  Name:

  	
  Joel G. Serebransky

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  GRAND CENTRAL ASSET TRUST, BDC SERIES

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ BEATA KONOPKO

  
	
   

  	
  Name:

  	
  Beata Konopko

  
	
   

  	
  Title:

  	
  Attorney-in-fact

  
				

 

 

	
  

  	
  WESTERN ASSET ABSOLUTE RETURN

  PORTFOLIO

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ KELLY OLSEN

  
	
   

  	
  Name:

  	
  Kelly Olsen

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  MT WILSON CLO II LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ KELLY OLSEN

  
	
   

  	
  Name:

  	
  Kelly Olsen

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  MT WILSON CLO LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ KELLY OLSEN

  
	
   

  	
  Name:

  	
  Kelly Olsen

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  WESTERN ASSET FLOATING RATE HIGH

  INCOME FUND, LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ KELLY OLSEN

  
	
   

  	
  Name:

  	
  Kelly Olsen

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  THE CIT GROUP/EQUIPMENT FINANCING,

  INC.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PATRICK E. FLYNN

  
	
   

  	
  Name:

  	
  Patrick E. Flynn

  
	
   

  	
  Title:

  	
  Duly Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  GULF STREAM-SEXTANT CLO 2006-1 LTD

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Gulf Stream Asset Management, LLC, as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ BARRY LOVE

  
	
   

  	
  Name:

  	
  Barry Love

  
	
   

  	
  Title:

  	
  Chief Credit Officer

  
	
   

  	
   

  	
   

  
	
   

  	
  GULF STREAM-NAVIGATOR LOAN FUND 2006,

  Segregated Portfolio

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Gulf Stream Asset Management, LLC, as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ BARRY LOVE

  
	
   

  	
  Name:

  	
  Barry Love

  
	
   

  	
  Title:

  	
  Chief Credit Officer

  
				

 

	
  

  	
  GULF STREAM-RASHINBAN CLO 2006-1 LTD

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Gulf Stream Asset Management, LLC, as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ BARRY LOVE

  
	
   

  	
  Name:

  	
  Barry Love

  
	
   

  	
  Title:

  	
  Chief Credit Officer

  
	
   

  	
   

  	
   

  
	
   

  	
  GULF STREAM-SEXTANT CLO 2007-1 LTD

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Gulf Stream Asset Management, LLC, as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ BARRY LOVE

  
	
   

  	
  Name:

  	
  Barry Love

  
	
   

  	
  Title:

  	
  Chief Credit Officer

  
	
   

  	
   

  	
   

  
	
   

  	
  VENTURE CDO 2002, LIMITED

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  MJX Asset Management LLC, its Investment

  Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ HANS L. CHRISTENSEN

  
	
   

  	
  Name:

  	
  Hans L. Christensen

  
	
   

  	
  Title:

  	
  Chief Investment Officer

  
	
   

  	
   

  	
   

  
	
   

  	
  VENTURE II CDO 2002, LIMITED

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  MJX Asset Management LLC, its Investment

  Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ HANS L. CHRISTENSEN

  
	
   

  	
  Name:

  	
  Hans L. Christensen

  
	
   

  	
  Title:

  	
  Chief Investment Officer

  
	
   

  	
   

  	
   

  
	
   

  	
  VENTURE III CDO LIMITED

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  MJX Asset Management LLC, its Investment

  Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ HANS L. CHRISTENSEN

  
	
   

  	
  Name:

  	
  Hans L. Christensen

  
	
   

  	
  Title:

  	
  Chief Investment Officer

  
				

 

 

	
  

  	
  VENTURE IV CDO LIMITED

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  MJX Asset Management LLC, its Investment

  Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ HANS L. CHRISTENSEN

  
	
   

  	
  Name:

  	
  Hans L. Christensen

  
	
   

  	
  Title:

  	
  Chief Investment Officer

  
	
   

  	
   

  	
   

  
	
   

  	
  VENTURE V CDO LIMITED

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  MJX Asset Management LLC, its Investment

  Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ HANS L. CHRISTENSEN

  
	
   

  	
  Name:

  	
  Hans L. Christensen

  
	
   

  	
  Title:

  	
  Chief Investment Officer

  
	
   

  	
   

  	
   

  
	
   

  	
  VENTURE VI CDO LIMITED

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  MJX Asset Management LLC, its Investment

  Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ HANS L. CHRISTENSEN

  
	
   

  	
  Name:

  	
  Hans L. Christensen

  
	
   

  	
  Title:

  	
  Chief Investment Officer

  
	
   

  	
   

  	
   

  
	
   

  	
  VENTURE VII CDO LIMITED

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  MJX Asset Management LLC, its Investment

  Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ HANS L. CHRISTENSEN

  
	
   

  	
  Name:

  	
  Hans L. Christensen

  
	
   

  	
  Title:

  	
  Chief Investment Officer

  
	
   

  	
   

  	
   

  
	
   

  	
  VISTA LEVERAGED INCOME FUND

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  MJX Asset Management LLC, its Investment

  Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ HANS L. CHRISTENSEN

  
	
   

  	
  Name:

  	
  Hans L. Christensen

  
	
   

  	
  Title:

  	
  Chief Investment Officer

  
				

 

 

	
  

  	
  AMERIPRISE CERTIFICATE COMPANY

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  RiverSource Investments, LLC, as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ YVONNE E. STEVENS

  
	
   

  	
  Name:

  	
  Yvonne E. Stevens

  
	
   

  	
  Title:

  	
  Senior Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  ATLAS LOAN FUNDING (CENT I) LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  RiverSource Investments, LLC, Attorney-in-Fact

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ROBIN C. STANCIL

  
	
   

  	
  Name:

  	
  Robin C. Stancil

  
	
   

  	
  Title:

  	
  Director of Operations

  
	
   

  	
   

  	
   

  
	
   

  	
  CENTURION CDO VI, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  RiverSource Investments, LLC, as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ROBIN C. STANCIL

  
	
   

  	
  Name:

  	
  Robin C. Stancil

  
	
   

  	
  Title:

  	
  Director of Operations

  
	
   

  	
   

  	
   

  
	
   

  	
  CENTURION CDO VII, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  RiverSource Investments, LLC, as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ROBIN C. STANCIL

  
	
   

  	
  Name:

  	
  Robin C. Stancil

  
	
   

  	
  Title:

  	
  Director of Operations

  
	
   

  	
   

  	
   

  
	
   

  	
  CENTURION CDO 8, LIMITED

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  RiverSource Investments, LLC, as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ROBIN C. STANCIL

  
	
   

  	
  Name:

  	
  Robin C. Stancil

  
	
   

  	
  Title:

  	
  Director of Operations

  
				

 

 

	
  

  	
  CENTURION CDO 9, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  RiverSource Investments, LLC, as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ROBIN C. STANCIL

  
	
   

  	
  Name:

  	
  Robin C. Stancil

  
	
   

  	
  Title:

  	
  Director of Operations

  
	
   

  	
   

  	
   

  
	
   

  	
  CENTURION CDO 10, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  RiverSource Investments, LLC, as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ROBIN C. STANCIL

  
	
   

  	
  Name:

  	
  Robin C. Stancil

  
	
   

  	
  Title:

  	
  Director of Operations

  
	
   

  	
   

  	
   

  
	
   

  	
  CENTURION CDO XI, LIMITED

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  RiverSource Investments, LLC, as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ROBIN C. STANCIL

  
	
   

  	
  Name:

  	
  Robin C. Stancil

  
	
   

  	
  Title:

  	
  Director of Operations

  
	
   

  	
   

  	
   

  
	
   

  	
  CENTURION CDO 12, LIMITED

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  RiverSource Investments, LLC, as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ROBIN C. STANCIL

  
	
   

  	
  Name:

  	
  Robin C. Stancil

  
	
   

  	
  Title:

  	
  Director of Operations

  
	
   

  	
   

  	
   

  
	
   

  	
  CENTURION CDO 14, LIMITED

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  RiverSource Investments, LLC, as Collateral

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ROBIN C. STANCIL

  
	
   

  	
  Name:

  	
  Robin C. Stancil

  
	
   

  	
  Title:

  	
  Director of Operations

  
				

 

 

	
  

  	
  RIVERSOURCE BOND SERIES, INC. –

  RIVERSOURCE FLOATING RATE FUND

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ROBIN C. STANCIL

  
	
   

  	
  Name:

  	
  Robin C. Stancil

  
	
   

  	
  Title:

  	
  Assistant Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  COLUMBUSNOVA CLO LTD. 2006-II

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOHN BENGOUGH

  
	
   

  	
  Name:

  	
  John Bengough

  
	
   

  	
  Title:

  	
  Director

  
	
   

  	
   

  	
   

  
	
   

  	
  KINGSLAND II, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Kingsland Capital Management, LLC, as Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ VINCENT SIINO

  
	
   

  	
  Name:

  	
  Vincent Siino

  
	
   

  	
  Title:

  	
  Authorized Officer

  
	
   

  	
   

  	
  Kingsland Capital Management, LLC, as

  
	
   

  	
   

  	
  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  KINGSLAND III, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Kingsland Capital Management, LLC, as Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ VINCENT SIINO

  
	
   

  	
  Name:

  	
  Vincent Siino

  
	
   

  	
  Title:

  	
  Authorized Officer

  
	
   

  	
   

  	
  Kingsland Capital Management, LLC, as

  
	
   

  	
   

  	
  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  KINGSLAND IV, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Kingsland Capital Management, LLC, as Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ VINCENT SIINO

  
	
   

  	
  Name:

  	
  Vincent Siino

  
	
   

  	
  Title:

  	
  Authorized Officer

  
	
   

  	
   

  	
  Kingsland Capital Management, LLC, as

  
	
   

  	
   

  	
  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  STANFIELD AZURE CLO, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Stanfield Capital Partners, LLC,

  
	
   

  	
   

  	
  as its Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHRISTOPHER E. JANSON

  
	
   

  	
  Name:

  	
  Christopher E. Janson

  
	
   

  	
  Title:

  	
  Managing Partner

  
				

 

 

	
  

  	
  STANFIELD BRISTOL CLO, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Stanfield Capital Partners, LLC,

  
	
   

  	
   

  	
  as its Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHRISTOPHER E. JANSON

  
	
   

  	
  Name:

  	
  Christopher E. Janson

  
	
   

  	
  Title:

  	
  Managing Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  STANFIELD CARRERA CLO, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Stanfield Capital Partners, LLC,

  
	
   

  	
   

  	
  as its Asset Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHRISTOPHER E. JANSON

  
	
   

  	
  Name:

  	
  Christopher E. Janson

  
	
   

  	
  Title:

  	
  Managing Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  STANFIELD DAYTONA CLO, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Stanfield Capital Partners, LLC,

  
	
   

  	
   

  	
  as its Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHRISTOPHER E. JANSON

  
	
   

  	
  Name:

  	
  Christopher E. Janson

  
	
   

  	
  Title:

  	
  Managing Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  STANFIELD MODENA CLO, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Stanfield Capital Partners, LLC,

  
	
   

  	
   

  	
  as its Asset Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHRISTOPHER E. JANSON

  
	
   

  	
  Name:

  	
  Christopher E. Janson

  
	
   

  	
  Title:

  	
  Managing Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  STANFIELD VANTAGE CLO, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Stanfield Capital Partners, LLC,

  
	
   

  	
   

  	
  as its Asset Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHRISTOPHER E. JANSON

  
	
   

  	
  Name:

  	
  Christopher E. Janson

  
	
   

  	
  Title:

  	
  Managing Partner

  
				

 

 

	
  

  	
  STANFIELD VEYRON CLO, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Stanfield Capital Partners, LLC,

  
	
   

  	
   

  	
  as its Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHRISTOPHER E. JANSON

  
	
   

  	
  Name:

  	
  Christopher E. Janson

  
	
   

  	
  Title:

  	
  Managing Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  COLUMBUSNOVA CLO LTD. 2006-II

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOHN BENGOUGH

  
	
   

  	
  Name:

  	
  John Bengough

  
	
   

  	
  Title:

  	
  Director

  
	
   

  	
   

  	
   

  
	
   

  	
  ONE WALL STREET CLO II, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ WILLIAM LEMBERG

  
	
   

  	
  Name:

  	
  William Lemberg

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  OWS CLO I, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ WILLIAM LEMBERG

  
	
   

  	
  Name:

  	
  William Lemberg

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  PROSPERO CLO II, BV

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOHN T. SPELLMAN

  
	
   

  	
  Name:

  	
  John T. Spellman

  
	
   

  	
  Title:

  	
  Attorney-in-Fact

  
	
   

  	
   

  	
   

  
	
   

  	
  VERITAS CLO II, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOHN T. SPELLMAN

  
	
   

  	
  Name:

  	
  John T. Spellman

  
	
   

  	
  Title:

  	
  Attorney-in-Fact

  
	
   

  	
   

  	
   

  
	
   

  	
  GOLDMAN SACHS CREDIT PARTNERS, L.P.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PEDRO RAMIREZ

  
	
   

  	
  Name:

  	
  Pedro Ramirez

  
	
   

  	
  Title:

  	
  Authorized Signatory

  
				

 

 

	
  

  	
  GENERAL ELECTRIC CAPITAL

  CORPORATION

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ AMANDA J. VAN HEYST

  
	
   

  	
  Name:

  	
  Amanda J. van Heyst

  
	
   

  	
  Title:

  	
  Duly Authorized Signatory

  
	
   

  	
   

  	
   

  
	
   

  	
  SENIOR DEBT PORTFOLIO

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Boston Management and Research, as Investment

  Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PAYSON F. SWAFFIELD

  
	
   

  	
  Name:

  	
  Payson F. Swaffield

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  EATON VANCE SENIOR INCOME TRUST

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Eaton Vance Management, as Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PAYSON F. SWAFFIELD

  
	
   

  	
  Name:

  	
  Payson F. Swaffield

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  EATON VANCE INSTITUTIONAL SENIOR LOAN

  FUND

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Eaton Vance Management, as Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PAYSON F. SWAFFIELD

  
	
   

  	
  Name:

  	
  Payson F. Swaffield

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  EATON VANCE CDO VII PLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Eaton Vance Management, as Interim Investment

  Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PAYSON F. SWAFFIELD

  
	
   

  	
  Name:

  	
  Payson F. Swaffield

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  EATON VANCE CDO VIII, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Eaton Vance Management, as Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PAYSON F. SWAFFIELD

  
	
   

  	
  Name:

  	
  Payson F. Swaffield

  
	
   

  	
  Title:

  	
  Vice President

  
				

 

 

	
  

  	
  EATON VANCE CDO X PLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Eaton Vance Management, as Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PAYSON F. SWAFFIELD

  
	
   

  	
  Name:

  	
  Payson F. Swaffield

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  GRAYSON & CO.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Boston Management and Research, as Investment

  Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PAYSON F. SWAFFIELD

  
	
   

  	
  Name:

  	
  Payson F. Swaffield

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  EATON VANCE VT FLOATING RATE INCOME

  FUND

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Eaton Vance Management, as Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PAYSON F. SWAFFIELD

  
	
   

  	
  Name:

  	
  Payson F. Swaffield

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  EATON VANCE LIMITED DURATION INCOME

  FUND

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Eaton Vance Management, as Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PAYSON F. SWAFFIELD

  
	
   

  	
  Name:

  	
  Payson F. Swaffield

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  EATON VANCE SENIOR FLOATING RATE

  TRUST

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Eaton Vance Management, as Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PAYSON F. SWAFFIELD

  
	
   

  	
  Name:

  	
  Payson F. Swaffield

  
	
   

  	
  Title:

  	
  Vice President

  
				

 

 

	
  

  	
  EATON VANCE FLOATING RATE INCOME

  TRUST

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Eaton Vance Management, as Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PAYSON F. SWAFFIELD

  
	
   

  	
  Name:

  	
  Payson F. Swaffield

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  EATON VANCE VARIABLE LEVERAGE FUND

  LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Eaton Vance Management, as Investment Advisor

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ PAYSON F. SWAFFIELD

  
	
   

  	
  Name:

  	
  Payson F. Swaffield

  
	
   

  	
  Title:

  	
  Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  DENALI CAPITAL LLC,
  managing member of DC

  Funding Partners, LLC, portfolio manager for Denali

  Capital CLO VII, Ltd. or an affiliate

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOHN P. THACKER

  
	
   

  	
  Name:

  	
  John P. Thacker

  
	
   

  	
  Title:

  	
  Chief Credit Officer

  
	
   

  	
   

  	
   

  
	
   

  	
  DENALI CAPITAL LLC, managing member of DC

  Funding Partners, LLC, portfolio manager for Denali

  Capital CLO VI, Ltd. or an affiliate

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOHN P. THACKER

  
	
   

  	
  Name:

  	
  John P. Thacker

  
	
   

  	
  Title:

  	
  Chief Credit Officer

  
	
   

  	
   

  	
   

  
	
   

  	
  SANKATY ADVISORS, LLC, as Collateral Manager

  for Avery Point CLO, Ltd., as Term Lender

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ALAN K. HALFENGER

  
	
   

  	
  Name:

  	
  Alan K. Halfenger

  
	
   

  	
  Title:

  	
  Chief Compliance Officer Assistant Secretary

  
	
   

  	
   

  	
   

  
	
   

  	
  SANKATY ADVISORS, LLC, as Collateral Manager

  for Castle Hill II – INGOTS, Ltd., as Term Lender

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ALAN K. HALFENGER

  
	
   

  	
  Name:

  	
  Alan K. Halfenger

  
	
   

  	
  Title:

  	
  Chief Compliance Officer Assistant Secretary

  
				

 

	
  

  	
  SANKATY ADVISORS, LLC, as Collateral Manager

  for Castle Hill III CLO, Limited, as Term Lender

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ALAN K. HALFENGER

  
	
   

  	
  Name:

  	
  Alan K. Halfenger

  
	
   

  	
  Title:

  	
  Chief Compliance Officer Assistant Secretary

  
	
   

  	
   

  	
   

  
	
   

  	
  SANKATY ADVISORS, LLC, as Collateral Manager

  for Loan Funding XI LLC, as Term Lender

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ALAN K. HALFENGER

  
	
   

  	
  Name:

  	
  Alan K. Halfenger

  
	
   

  	
  Title:

  	
  Chief Compliance Officer Assistant Secretary

  
	
   

  	
   

  	
   

  
	
   

  	
  CHATHAM LIGHT II CLO, LIMITED

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Sankaty Advisors LLC, as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ALAN K. HALFENGER

  
	
   

  	
  Name:

  	
  Alan K. Halfenger

  
	
   

  	
  Title:

  	
  Chief Compliance Officer Assistant Secretary

  
	
   

  	
   

  	
   

  
	
   

  	
  CHATHAM LIGHT III CLO, LTD.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  Sankaty Advisors LLC, as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ALAN K. HALFENGER

  
	
   

  	
  Name:

  	
  Alan K. Halfenger

  
	
   

  	
  Title:

  	
  Chief Compliance Officer Assistant Secretary

  
	
   

  	
   

  	
   

  
	
   

  	
  KATONAH III, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Sankaty Advisors LLC, as Sub-Advisors

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ALAN K. HALFENGER

  
	
   

  	
  Name:

  	
  Alan K. Halfenger

  
	
   

  	
  Title:

  	
  Chief Compliance Officer Assistant Secretary

  
	
   

  	
   

  	
   

  
	
   

  	
  KATONAH IV, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Sankaty Advisors LLC, as Sub-Advisors

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ALAN K. HALFENGER

  
	
   

  	
  Name:

  	
  Alan K. Halfenger

  
	
   

  	
  Title:

  	
  Chief Compliance Officer Assistant Secretary

  
				

 

 

	
  

  	
  SANKATY ADVISORS, LLC, as Collateral Manager

  for Prospect Loan Funding I LLC, as Term Lender

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ALAN K. HALFENGER

  
	
   

  	
  Name:

  	
  Alan K. Halfenger

  
	
   

  	
  Title:

  	
  Chief Compliance Officer Assistant Secretary

  
	
   

  	
   

  	
   

  
	
   

  	
  SANKATY ADVISORS, LLC, as Collateral Manager

  for Race Point CLO, Limited, as Term Lender

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ALAN K. HALFENGER

  
	
   

  	
  Name:

  	
  Alan K. Halfenger

  
	
   

  	
  Title:

  	
  Chief Compliance Officer Assistant Secretary

  
	
   

  	
   

  	
   

  
	
   

  	
  SANKATY ADVISORS, LLC, as Collateral Manager

  for Race Point II CLO, Limited, as Term Lender

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ALAN K. HALFENGER

  
	
   

  	
  Name:

  	
  Alan K. Halfenger

  
	
   

  	
  Title:

  	
  Chief Compliance Officer Assistant Secretary

  
	
   

  	
   

  	
   

  
	
   

  	
  RACE POINT IV CLO, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Sankaty Advisors LLC, as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ALAN K. HALFENGER

  
	
   

  	
  Name:

  	
  Alan K. Halfenger

  
	
   

  	
  Title:

  	
  Chief Compliance Officer Assistant Secretary

  
	
   

  	
   

  	
   

  
	
   

  	
  SANKATY HIGH YIELD PARTNERS II, L.P.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ALAN K. HALFENGER

  
	
   

  	
  Name:

  	
  Alan K. Halfenger

  
	
   

  	
  Title:

  	
  Chief Compliance Officer Assistant Secretary

  
	
   

  	
   

  	
   

  
	
   

  	
  CIFC FUNDING 2006-IB, LTD.

  
	
   

  	
  CIFC FUNDING 2006-II, LTD.

  
	
   

  	
  CIFC FUNDING 2007-II, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ ELIZABETH CHOW

  
	
   

  	
  Name:

  	
  Elizabeth Chow

  
	
   

  	
  Title:

  	
  Head of Underwriting

  
	
   

  	
   

  	
   

  
	
   

  	
  CITIBANK, N.A.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHRISTINE M. KANICKI

  
	
   

  	
  Name:

  	
  Christine M. Kanicki

  
	
   

  	
  Title:

  	
  Attorney-in-Fact

  
				

 

 

	
  

  	
  MOUNTAIN VIEW FUNDING CLO 2006-I, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Seix Advisors, a fixed income division of Trusco

  Capital Management, Inc., as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ GEORGE GOUDELIAS

  
	
   

  	
  Name:

  	
  George Goudelias

  
	
   

  	
  Title:

  	
  PM, Seix Advisors

  
	
   

  	
   

  	
   

  
	
   

  	
  MOUNTAIN VIEW CLO II, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Seix Advisors, a fixed income division of Trusco

  Capital Management, Inc., as Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ GEORGE GOUDELIAS

  
	
   

  	
  Name:

  	
  George Goudelias

  
	
   

  	
  Title:

  	
  PM, Seix Advisors

  
	
   

  	
   

  	
   

  
	
   

  	
  STI CLASSIC SEIX FLOATING RATE HIGH

  INCOME FUND

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Seix Advisors, a fixed income division of Trusco

  Capital Management, Inc.

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ GEORGE GOUDELIAS

  
	
   

  	
  Name:

  	
  George Goudelias

  
	
   

  	
  Title:

  	
  PM, Seix Advisors

  
	
   

  	
   

  	
   

  
	
   

  	
  LAGUNA FUNDING LLC

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ TARA E. KINNEY

  
	
   

  	
  Name:

  	
  Tara E. Kinney

  
	
   

  	
  Title:

  	
  Assistant Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  OSP FUNDING, LLC

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ TARA E. KINNEY

  
	
   

  	
  Name:

  	
  Tara E. Kinney

  
	
   

  	
  Title:

  	
  Assistant Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  WATERVILLE FUNDING LLC

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ TARA E. KINNEY

  
	
   

  	
  Name:

  	
  Tara E. Kinney

  
	
   

  	
  Title:

  	
  Assistant Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  HARBOUR TOWN FUNDING LLC

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ TARA E. KINNEY

  
	
   

  	
  Name:

  	
  Tara E. Kinney

  
	
   

  	
  Title:

  	
  Assistant Vice President

  
				

 

 

	
  

  	
  KZH SOLEIL-2 LLC

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ WAI KEE LEE

  
	
   

  	
  Name:

  	
  Wai Kee Lee

  
	
   

  	
  Title:

  	
  Authorized Agent

  
	
   

  	
   

  	
   

  
	
   

  	
  MORGAN STANLEY PRIME INCOME TRUST

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ KEVIN FAGAN

  
	
   

  	
  Name:

  	
  Kevin Fagan

  
	
   

  	
  Title:

  	
   

  
	
   

  	
   

  	
   

  
	
   

  	
  CONFLUENT 3 LIMITED

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Morgan Stanley Investment Management Inc., as

  Investment Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ KEVIN FAGAN

  
	
   

  	
  Name:

  	
  Kevin Fagan

  
	
   

  	
  Title:

  	
   

  
	
   

  	
   

  	
   

  
	
   

  	
  QUALCOMM GLOBAL TRADING, INC.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Morgan Stanley Investment Management Inc., as

  Investment Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ KEVIN FAGAN

  
	
   

  	
  Name:

  	
  Kevin Fagan

  
	
   

  	
  Title:

  	
   

  
	
   

  	
   

  	
   

  
	
   

  	
  VAN KAMPEN SENIOR INCOME TRUST

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Van Kampen Asset Management

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHRISTINA JAMIESON

  
	
   

  	
  Name:

  	
  Christina Jamieson

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  VAN KAMPEN SENIOR LOAN FUND

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Van Kampen Asset Management

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ CHRISTINA JAMIESON

  
	
   

  	
  Name:

  	
  Christina Jamieson

  
	
   

  	
  Title:

  	
  Managing Director

  
				

 

 

	
  

  	
  NCRAM SENIOR LOAN TRUST 2005

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Nomura Corporate Research

  
	
   

  	
   

  	
  and Asset Management, Inc.

  
	
   

  	
   

  	
  as investment advisor

  
	
   

  	
  By:

  	
  /s/ RICHARD W. STEWART

  
	
   

  	
  Name:

  	
  Richard W. Stewart

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  CENTAURUS LOAN TRUST

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Nomura Corporate Research

  
	
   

  	
   

  	
  and Asset Management, Inc.

  
	
   

  	
   

  	
  as investment advisor

  
	
   

  	
  By:

  	
  /s/ RICHARD W. STEWART

  
	
   

  	
  Name:

  	
  Richard W. Stewart

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  NCRAM LOAN TRUST

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Nomura Corporate Research

  
	
   

  	
   

  	
  and Asset Management, Inc.

  
	
   

  	
   

  	
  as investment advisor

  
	
   

  	
  By:

  	
  /s/ RICHARD W. STEWART

  
	
   

  	
  Name:

  	
  Richard W. Stewart

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  NOMURA BOND & LOAN FUND

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Mitsubishi UFJ Trust & Banking

  
	
   

  	
   

  	
  Corporation as Trustee

  
	
   

  	
  By:

  	
  Nomura Corporate
  Research & Asset Management

  
	
   

  	
   

  	
  Inc., Attorney-in-fact

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ RICHARD W. STEWART

  
	
   

  	
  Name:

  	
  Richard W. Stewart

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  CLYDESDALE CLO 2003 LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Nomura Corporate Research and Asset

  
	
   

  	
   

  	
  Management Inc. as Collateral Manager

  
	
   

  	
  By:

  	
  /s/ RICHARD W. STEWART

  
	
   

  	
  Name:

  	
  Richard W. Stewart

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  CLYDESDALE CLO 2004 LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Nomura Corporate Research

  
	
   

  	
   

  	
  and Asset Management, Inc.

  
	
   

  	
   

  	
  as investment advisor

  
	
   

  	
  By:

  	
  /s/ RICHARD W. STEWART

  
	
   

  	
  Name:

  	
  Richard W. Stewart

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  CLYDESDALE STRATEGIC CLO I, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Nomura Corporate Research

  
	
   

  	
   

  	
  and Asset Management, Inc.

  
	
   

  	
   

  	
  as investment advisor

  
	
   

  	
  By:

  	
  /s/ RICHARD W. STEWART

  
	
   

  	
  Name:

  	
  Richard W. Stewart

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  CLYDESDALE CLO 2005, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Nomura Corporate Research

  
	
   

  	
   

  	
  and Asset Management, Inc.

  
	
   

  	
   

  	
  as investment advisor

  
	
   

  	
  By:

  	
  /s/ RICHARD W. STEWART

  
	
   

  	
  Name:

  	
  Richard W. Stewart

  
	
   

  	
  Title:

  	
  Managing Director

  
				

 

 

	
  

  	
  CLYDESDALE CLO 2006, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Nomura Corporate Research and

  
	
   

  	
   

  	
  Asset Management Inc. as investment manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ RICHARD W. STEWART

  
	
   

  	
  Name:

  	
  Richard W. Stewart

  
	
   

  	
  Title:

  	
  Managing Director

  
	
   

  	
   

  	
   

  
	
   

  	
  NOB HILL CLO. LIMITED

  
	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ BRADLEY KANE

  
	
   

  	
  Name:

  	
  Bradley Kane

  
	
   

  	
  Title:

  	
  Portfolio Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  GMAM GROUP PENSION TRUST I

  
	
   

  	
   

  
	
   

  	
  By:

  	
  State Street Bank & Trust Company,

  
	
   

  	
   

  	
  as Trustee for GMAM Group Pension Trust I

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/

  
	
   

  	
  Name:

  	
   

  
	
   

  	
  Title:

  	
  Assistant Vice President

  
	
   

  	
   

  	
   

  
	
   

  	
  CANNINGTON FUNDING LTD., as
  Assignee

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Silvermine Capital Management, LLC as

  Investment Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ AARON A. MEYER

  
	
   

  	
  Name:

  	
  Aaron A. Meyer

  
	
   

  	
  Title:

  	
  Principal

  
	
   

  	
   

  	
  Silvermine Capital Management, LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  COMSTOCK FUNDING LTD., as
  Assignee

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Silvermine Capital Management, LLC as

  Investment Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ AARON A. MEYER

  
	
   

  	
  Name:

  	
  Aaron A. Meyer

  
	
   

  	
  Title:

  	
  Principal

  
	
   

  	
   

  	
  Silvermine Capital Management, LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  FRASER SULLIVAN CLO II, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Fraser Sullivan Investment Management, LLC, as

  Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOHN W. FRASER

  
	
   

  	
  Name:

  	
  John W. Fraser

  
	
   

  	
  Title:

  	
  Managing Partner

  
				

 

 

	
  

  	
  FRASER SULLIVAN CLO I, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Fraser Sullivan Investment Management, LLC, as

  Collateral Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ JOHN W. FRASER

  
	
   

  	
  Name:

  	
  John W. Fraser

  
	
   

  	
  Title:

  	
  Managing Partner

  
	
   

  	
   

  	
   

  
	
   

  	
  SYMPHONY CLO II

  
	
   

  	
  Symphony Asset Management, LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ LENNY MASON

  
	
   

  	
  Name:

  	
  Lenny Mason

  
	
   

  	
  Title:

  	
  Portfolio Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  NUVEEN DIVERSIFIED DIVIDEND AND

  INCOME FUND

  
	
   

  	
  Symphony Asset Management, LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ LENNY MASON

  
	
   

  	
  Name:

  	
  Lenny Mason

  
	
   

  	
  Title:

  	
  Portfolio Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  NUVEEN TAX-ADVANTAGED TOTAL RETURN

  STRATEGY FUND

  
	
   

  	
  Symphony Asset Management, LLC

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ LENNY MASON

  
	
   

  	
  Name:

  	
  Lenny Mason

  
	
   

  	
  Title:

  	
  Portfolio Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  OHA PARK AVENUE CLO I, LTD.

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Oak Hill Advisors, L.P., as Investment Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ SCOTT D. KRASE

  
	
   

  	
  Name:

  	
  Scott D. Krase

  
	
   

  	
  Title:

  	
  Authorized Person

  
	
   

  	
   

  	
   

  
	
   

  	
  OAK HILL CREDIT PARTNERS III, LIMITED

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Oak Hill CLO Management III, LLC, as Investment

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ SCOTT D. KRASE

  
	
   

  	
  Name:

  	
  Scott D. Krase

  
	
   

  	
  Title:

  	
  Authorized Person

  
				

 

 

	
  

  	
  SMBC MVI SPC, on
  behalf of and for the account of

  Segregated Portfolio No. 1

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Oak Hill Separate Account Management I, LLC, as
  Investment Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ SCOTT D. KRASE

  
	
   

  	
  Name:

  	
  Scott D. Krase

  
	
   

  	
  Title:

  	
  Authorized Person

  
	
   

  	
   

  	
   

  
	
   

  	
  OAK HILL CREDIT PARTNERS II, LIMITED

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Oak Hill CLO Management II, LLC, as Investment

  Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ SCOTT D. KRASE

  
	
   

  	
  Name:

  	
  Scott D. Krase

  
	
   

  	
  Title:

  	
  Authorized Person

  
	
   

  	
   

  	
   

  
	
   

  	
  OAK HILL CREDIT PARTNERS IV, LIMITED

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Oak Hill CLO Management IV, LLC., as

  Investment Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ SCOTT D. KRASE

  
	
   

  	
  Name:

  	
  Scott D. Krase

  
	
   

  	
  Title:

  	
  Authorized Person

  
	
   

  	
   

  	
   

  
	
   

  	
  CRP V

  
	
   

  	
   

  
	
   

  	
  By:

  	
  Oak Hill Advisors, L.P., as Portfolio Manager

  
	
   

  	
   

  	
   

  
	
   

  	
  By:

  	
  /s/ SCOTT D. KRASE

  
	
   

  	
  Name:

  	
  Scott D. Krase

  
	
   

  	
  Title:

  	
  Authorized Person

  
				

 

Schedule 1.01(e)

	
  Number

  	
   

  	
  Applicant

  	
   

  	
  Issuer

  	
   

  	
  Beneficiary

  	
   

  	
  US$ Amount

  	
   

  	
  Current

  Expiration Date

  	
   

  
	
  S-322531

  	
   

  	
  Georgia Gulf
  Corporation

  	
   

  	
  JPMorgan Chase
  Bank, N.A.

  	
   

  	
  Bridgeline
  Gas Marketing LLC

  	
   

  	
  $

  	
  11,300,000.00

  	
   

  	
  4/9/2008

  	
   

  
	
  S-322594

  	
   

  	
  Georgia Gulf Corporation

  	
   

  	
  JPMorgan Chase Bank, N.A.

  	
   

  	
  Shell Chemical LP

  	
   

  	
  $

  	
  10,000,000.00

  	
   

  	
  4/9/2008Exhibit 10.1

VWR INTERNATIONAL, INC.

NONQUALIFIED DEFERRED COMPENSATION PLAN

(Effective May 1, 2007)

VWR INTERNATIONAL, INC.

NONQUALIFIED DEFERRED COMPENSATION PLAN

(Effective May 1,
2007)

TABLE OF CONTENTS

	
   

  	
   

  	
   

  	
   

  	
  Page

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  1.

  	
   

  	
  Purpose

  	
   

  	
  1

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  2.

  	
   

  	
  Definitions

  	
   

  	
  1

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  3.

  	
   

  	
  Participation and Deferral Elections

  	
   

  	
  5

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  4.

  	
   

  	
  Accounts

  	
   

  	
  5

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  5.

  	
   

  	
  Vesting of Accounts

  	
   

  	
  6

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  6.

  	
   

  	
  Payment of Accounts

  	
   

  	
  7

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  7.

  	
   

  	
  Unforeseeable Emergency

  	
   

  	
  8

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  8.

  	
   

  	
  Beneficiary Designation

  	
   

  	
  9

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  9.

  	
   

  	
  Payment to Guardian

  	
   

  	
  9

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  10.

  	
   

  	
  Withholding; Payroll Taxes

  	
   

  	
  9

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  11.

  	
   

  	
  Source of Funds

  	
   

  	
  10

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  12.

  	
   

  	
  Committee

  	
   

  	
  10

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  13.

  	
   

  	
  Claims Procedure

  	
   

  	
  11

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  14.

  	
   

  	
  Nonalienation of Benefits

  	
   

  	
  12

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  15.

  	
   

  	
  Amendment and Termination

  	
   

  	
  12

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  16.

  	
   

  	
  Participating Employers

  	
   

  	
  13

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  17.

  	
   

  	
  No Contract of Employment

  	
   

  	
  13

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  18.

  	
   

  	
  Applicable Law

  	
   

  	
  13

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  19.

  	
   

  	
  Successors

  	
   

  	
  13

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  20.

  	
   

  	
  Headings

  	
   

  	
  13

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  21.

  	
   

  	
  Gender and Number

  	
   

  	
  13

  
	
   

  	
   

  	
   

  	
   

  	
   

  
	
  22.

  	
   

  	
  Top-Hat Plan

  	
   

  	
  14

  

 

VWR INTERNATIONAL, INC.

NONQUALIFIED DEFERRED COMPENSATION PLAN

(Effective May 1, 2007)

PREAMBLE

WHEREAS, VWR International, Inc. (“VWR”) maintains the
VWR International, Inc. Retirement Savings 401(k) Plan (the “Qualified Plan”)
for the benefit of its eligible employees; and

WHEREAS, contributions to the Qualified Plan are
subject to certain limitations under the Internal Revenue Code of 1986, as
amended; and

WHEREAS, VWR desires to provide benefits to a select
group of management and highly compensated employees in excess of those
permitted under the Qualified Plan;

NOW, THEREFORE, effective May 1, 2007, VWR hereby
adopts the VWR International, Inc. Nonqualified Deferred Compensation Plan to
read as follows:

1.                                       Purpose.  This Plan is maintained for the purpose of
providing deferred compensation to certain key employees of the Company on a
nonqualified basis.  This Plan is to be
unfunded and is maintained primarily for the purpose of providing deferred
compensation for a select group of management or highly compensated employees,
within the meaning of §201(2), §301(a)(3), and §401(a)(1) of ERISA.

2.                                       Definitions.

(a)                                  “Account”
means an account or accounts established under Section 4, maintained under
this Plan solely as bookkeeping entries for each Participant, to which the
Participant’s deferred amounts under this Plan are credited and from which
distributions to the Participant or his or her beneficiary are made.

(b)                                 “Base
Pay” means all Pay other than Bonus Amounts.

(c)                                  “Board”
means the Board of Directors of VWR.

(d)                                 “Bonus
Amounts” means that portion of Pay consisting of bonuses (including any
such amounts deferred pursuant to a Deferral Agreement or to a salary reduction
election under the Qualified Plan).

(e)                                  “Change
in Control” means a “change in control event” as defined in Treasury
regulations or other guidance issued pursuant to Code §409A.

(f)                                    “Code”
means the Internal Revenue Code of 1986, as amended.

(g)                                 “Committee”
means the Benefit and Retirement Plan Committee appointed under the Qualified
Plan.

(h)                                 “Company”
means VWR and any Participating Employer.

(i)                                     “Deferral
Agreement” means an agreement filed by a Participant under this Plan to
defer Base Pay and/or Bonus Amounts for a Plan Year.  A Deferral Agreement shall be in the form
prescribed by the Committee and shall be filed within the time limits set forth
in Section 3(b).

(j)                                     “Deferral
Amount” means the amount of Base Pay and Bonus Amounts a Participant elects
to defer for a Plan Year, as indicated in a Deferral Agreement.  The Deferral Amount shall be expressed as a
percentage of Pay, which shall not exceed 50% of Base Pay or 100% of Bonus
Amounts.

(k)                                  “Disability”
means:

(1)                                  The
Participant’s inability to engage in any substantial gainful activity by reason
of any medically determinable physical or mental impairment which can be
expected to result in death or can be expected to last for a continuous period
of not less than 12 months, as determined by the Committee in its sole
discretion; or

(2)                                  The
Participant’s receipt, by reason of any medically determinable physical or
mental impairment which can be expected to result in death or can be expected
to last for a continuous period of not less than 12 months, of income
replacement benefits for a period of not less than three months under an accident
and health plan covering employees of the Participant’s employer.

(l)                                     “ERISA”
means the Employee Retirement Income Security Act of 1974, as amended.

(m)                               “Intervening
Event” means, with respect to an Account of a Participant, any of the
following events specified by such Participant in a Payment Election, if such
event occurs after the date of the Payment Event with respect to such Account:

(1)                                  The
Participant’s death;

(2)                                  The
Participant’s Disability; or

(3)                                  A
Change in Control.

(n)                                 “Key
Employee” means an employee of the Company who is a member of a select
group of management or highly compensated employees, within the meaning of
§201(2), §301(a)(3), and §401(a)(1) of ERISA, and who is:

 2
 

(1)                                  In
pay band C33 or higher; or

(2)                                  Otherwise
designated by the Committee as a Key Employee.

(o)                                 
“Matching Amount” means, with respect to a Plan Year beginning on or
after January 1, 2008, an amount equal to the excess, if any, of:

(1)                                  The
lesser of (i) the sum of a Participant’s Deferral Amounts for such Plan Year
plus the Participant’s maximum salary reduction contributions permitted under
the Qualified Plan for such Plan Year (regardless of whether the Participant
makes any such contributions), or (ii) 4% of the Participant’s Pay for such
Plan Year; over

(2)                                  The
Matching Contributions which the Participant would have received under the
Qualified Plan for such Plan Year had the Participant made salary reduction
contributions under the Qualified Plan in an amount which would result in the
greatest possible Matching Contributions.

With respect to the short Plan Year beginning May 1, 2007, “Matching
Amount” means the excess of (i) the lesser of the sum of Participant’s Deferral
Amounts for such Plan Year plus the Participant’s maximum salary reduction
contributions permitted under the Qualified Plan for 2007 (regardless of
whether the Participant makes any such contributions), or 6% of the
Participant’s Pay for such Plan Year, over (ii) the Matching Contributions
which the Participant would have received under the Qualified Plan for 2007 had
the Participant made salary reduction contributions under the Qualified Plan in
an amount which would result in the greatest possible Matching Contributions.

(p)                                 “Matching
Contributions” means matching contributions allocated to a Participant’s
account under the Qualified Plan.

(q)                                 “Participant”
means a Key Employee who has begun to participate in the Plan under Section 3.

(r)                                    “Participating
Employer” means a subsidiary or other affiliate  of
VWR which has adopted the Plan pursuant to Section 16.

(s)                                  “Pay”
means all cash compensation paid to a Participant by the Company during a Plan
Year (including any bonuses, incentive compensation, or commissions).  Pay excludes reimbursements or other expense
allowances, cash and noncash fringe benefits, moving expenses, deferred
compensation, and welfare benefits, but includes (i) any amount contributed by
salary reduction pursuant to Code §125, §132(f), or §402(e)(3), other than a
salary credit under a plan described in Code §125, and (ii) any amount deferred
at the election of the Participant pursuant to a Deferral Agreement.

(t)                                    “Payment
Election” means a Participant’s election regarding the time and form of
payment with respect to an Account.  A
Payment Election shall be in

 3
 

the form prescribed by the
Committee and shall be filed within the time limits set forth in Section
6(a)(2).

(u)                                 “Payment
Event” means, with respect to an Account of a Participant, the first to
occur of the following events:

(1)                                  The
Participant’s death;

(2)                                  The
Participant’s Disability;

(3)                                  A
Change in Control;

(4)                                  The
Specified Payment Date for such Account or, if there is no Specified Payment
Date, the Participant’s Separation from Service.

If more than one of the above-listed events occur on the same date, the
event which is listed first above shall be deemed to have occurred first for
purposes of determining the time and form of payments under Section 6.

(v)                                 “Plan”
means the VWR International, Inc. Nonqualified Deferred Compensation Plan as
set forth herein and as it may be amended from time to time.

(w)                               “Plan
Year” means (i) the period beginning May 1, 2007, and ending December 31,
2007; and (ii) on and after January 1, 2008, the 12-month period beginning each
January 1 and ending each December 31.

(x)                                   “Qualified
Plan” means the VWR International, Inc. Retirement Savings 401(k) Plan, as
amended from time to time, or any successor thereto.

(y)                                 “Separation
from Service” means a Participant’s separation from service with the
Company and its affiliates within the meaning of Prop. Treas. Reg. §1.409A-1(h)
or any successor thereto.

(z)                                   “Specified
Payment Date” means a date specified by a Participant in a Payment Election
on which an Account shall become payable if such date occurs prior to the
occurrence of another Payment Event.  A
Specified Payment Date with respect to an Account must be at least two years
later than the last day of the Plan Year to which such Account relates.

(aa)                            “Trust”
means the grantor trust established by the Company to set aside amounts to pay
amounts due to the Key Employees under this Plan.

(bb)                          “Trust
Agreement” means the trust agreement pursuant to which the Trust is
established.

(cc)                            “Valuation
Date” means the last day of each calendar year and any other date or dates
on which a Participant’s Accounts are valued.

 4
 

(dd)                          “VWR”
means VWR International, Inc.

3.                                       Participation
and Deferral Elections.

(a)                                  A
Key Employee shall begin to participate in the Plan as of the later of (i) May
1, 2007, or (ii) the 30th day after he or she becomes a Key Employee.

(b)                                 The
following rules shall govern the timing of a Participant’s Deferral Agreement:

(1)                                  A
Participant may, by filing a Deferral Agreement with the Committee during the
period beginning April 16, 2007, and ending April 30, 2007, elect to defer a
portion of his or her Base Pay for the 2007 Plan Year.

(2)                                  A
Participant may elect to defer a portion of his or her Base Pay for any Plan
Year beginning on or after January 1, 2008, by filing a Deferral Agreement with
the Committee on or before December 1 of the prior Plan Year.

(3)                                  A
Participant may elect to defer all or a portion of his or her Bonus Amounts
otherwise payable in any Plan Year beginning on or after January 1, 2008, by
filing a Deferral Agreement with the Committee on or before June 1 of the Plan
Year in which such Bonus Amounts are earned, provided such Bonus Amounts
qualify as “performance-based compensation” within the meaning of Code
§409A(4)(B)(iii).  (Bonus Amounts which
do not qualify as “performance-based compensation” may not be deferred under
the Plan.)

(4)                                  Notwithstanding
paragraphs (2) and (3), in the case of a Participant who first becomes eligible
to participate in the Plan on or after January 1, 2008, and who has not
previously been eligible to participate in any other plan required to be
aggregated with the Plan under Prop. Treas. Reg. §1.409A-1(c) or any successor
thereto, the Participant may file a Deferral Agreement within 30 days after the
date the Participant first becomes eligible to participate, but such election
may apply only with respect to Pay for services to be performed subsequent to
the election (as determined under Prop. Treas. Reg. §1.409A-2(a)(6) or any
successor thereto).

(c)                                  A
Deferral Agreement may be revoked at any time before the deadline described in
subsection (b) but shall be irrevocable after such date with respect to the
Plan Year to which it relates, except as otherwise provided in Section 7(b) in
the event of an unforeseeable emergency or hardship distribution.

(d)                                 A
Deferral Agreement with respect to a Plan Year shall apply only with respect to
the Plan Year for which it is made.

4.                                       Accounts.

(a)                                  The
Company shall establish one or more Accounts on behalf of each Participant in
the Plan.  With respect to each
Participant, the Company shall, to the

 5
 

extent necessary, maintain
a separate Account for each Plan Year in which Deferral Amounts and/or Matching
Amounts are credited to such Participant, and shall maintain separate Accounts
with respect to each Plan Year for Deferral Amounts attributable to Base Pay,
Deferral Amounts attributable to Bonuses, and Matching Amounts.

(b)                                 The
following amounts shall be credited to the applicable Account of each
Participant by the Company as follows:

(1)                                  As
soon as practicable after the end of each payroll period, the Participant’s
Deferral Amount (if any) for such payroll period; and

(2)                                  As
soon as administratively feasible after December 31 of each Plan Year, but not
later than March 31 following such Plan Year, the Participant’s Matching Amount
(if any) for such Plan Year, provided that Matching Amounts shall be credited
for a Plan Year only if the Company achieves the minimum target for earnings
before interest, taxes, and amortization (EBITA) established to trigger bonus
payments under the Company’s Management Incentive Plan, as determined by the
Committee in its sole discretion.

(c)                                  As
soon as practicable after an amount is credited to a Participant’s Account
under subsection (b), the Company shall set aside assets equal to the amount so
credited to the Trust.  Such assets shall
be held in the Trust and invested in accordance with the terms of the Trust
Agreement.  Notwithstanding the
foregoing, or any other provision of the Plan to the contrary, the Company
shall not make any contribution to the Trust to the extent such contribution
would be treated as a transfer of property in connection with the performance
of services for purposes of Code §83 pursuant to Code §409A(b)(3) (as amended
by the Pension Protection Act of 2006) or any successor thereto.

(d)                                 Each
Participant may, from time to time, designate the investment vehicle or
vehicles which shall be used to determine the earnings and losses of his or her
Accounts from among available investment vehicles designated from time to time
by the Committee.  Any such designation
by a Participant shall be made in the form prescribed by the Committee prior to
the effective date of such designation. 
Changes in a participant’s investment designations shall be permitted on
a monthly basis in accordance with rules prescribed by the Committee.  As of each Valuation Date, each Participant’s
Accounts shall be adjusted to reflect the earnings and losses of the designated
investment vehicle or vehicles since the preceding Valuation Date.  In the event that no designation is in effect
under this subsection (d) for any period, the Participant’s Accounts shall be
adjusted to reflect the earnings and losses of a default investment vehicle
designated in advance of such period by the Committee.

5.                                       Vesting
of Accounts.  A Participant’s
Accounts shall be 100% vested at all times.

 6
 

6.                                       Payment
of Accounts.

(a)                                  Except
as otherwise provided below, payment of each of a Participant’s Accounts shall
be made as follows:

(1)                                  A
Participant shall become entitled to payment of an Account upon the occurrence
of a Payment Event with respect to such Account.

(2)                                  A
Participant may file a Payment Election with respect to an Account.  Separate Payment Elections may be made with
respect to each Account.  Payment
Elections with respect to Base Pay and Matching Amounts for 2007 must be filed
during the period beginning April 16, 2007, and ending April 30, 2007.  For any other Plan Year, Payment Elections
with respect to Bonus Amounts and Matching Amounts must be filed not later than
the deadline described in Section 3(b) for filing a Deferral Agreement with
respect to Bonus Amounts paid during such Plan Year (regardless of whether a
Deferral Agreement is filed), and Payment Elections with respect to Base Pay
must be filed not later than the deadline described in Section 3(b) for filing
a Deferral Agreement with respect to Base Pay for such Plan Year.

(3)                                  Payment
of an Account which becomes payable upon the occurrence of a Payment Event
shall be made or commence as of the date of the Payment Event.  Notwithstanding the foregoing, in the event a
Participant is a “specified employee” within the meaning of Code
§409A(a)(2)(B)(i) and the Payment Event is the Participant’s Separation from
Service, payment of the Participant’s Account shall not be made or commence
earlier than the earlier of (i) the date six months after such Separation from
Service, or (ii) the date of the Participant’s death.

(4)                                  A
Participant’s Account which becomes payable on account of the Participant’s
death or Disability or a Change in Control shall be paid in a single sum.  A Participant’s Account which becomes payable
on a Specified Payment Date or upon the Participant’s Separation from Service
shall be paid in a single sum unless a Payment Election provides that payment
shall be made in installments over a period of 60, 120, or 180 months.  If payment is made in installments, the
amount of each installment shall equal (i) the balance of the Account on the
payment commencement date or most recent anniversary thereof, divided by (ii)
the number of remaining payments; provided, however, that (i) the amount of any
installment shall not exceed the remaining balance of the Account, and (ii) the
amount of the last installment shall in any event equal the remaining balance
of the Account.

(5)                                  If
an Intervening Event occurs after the Payment Event with respect to an Account
but before distribution of the Participant’s entire Account, payment of the
remaining Account shall be made in a single sum as of the date of such
Intervening Event.

 7
 

(6)                                  Actual
payment of any amount which is payable under this subsection (a) as of any date
shall be made on such date or as soon as practicable thereafter, but in no
event later than the later of December 31 of the calendar year including such
date or the 15th day of the third calendar month following the month including
such date.

(b)                                 So
long as there is a balance in an Account, the balance shall be adjusted for
earnings and losses pursuant to Section 4(d).

(c)                                  Notwithstanding
the foregoing, in the event the Plan fails to satisfy the requirements of Code
§409A and the regulations thereunder with respect to a Participant, the
Participant shall receive a distribution from his or her Accounts, not to
exceed the amount required to be included in the Participant’s income under
Code §409A as a result of such failure.

7.                                       Unforeseeable
Emergency.

(a)                                  In
the event a Participant experiences an unforeseeable emergency, the Participant
may request, and the Committee, in its sole discretion, may grant, a
distribution in a single sum of a all or a portion of the Participant’s
Accounts to the extent reasonably required to satisfy the emergency need
(including amounts necessary to pay any Federal, state, or local income taxes
or penalties reasonably expected to result from the distribution) and not
reasonably available from the Participant’s other resources.

(b)                                 A
Participant who experiences an unforeseeable emergency may elect to cancel all
outstanding Deferral Agreements. 
Further, if a Participant receives a hardship distribution under the
Qualified Plan pursuant to Treas. Reg. §1.401(k)-1(d)(3) or any successor
thereto, the Participant’s outstanding Deferral Agreements shall automatically
be canceled, and the Participant shall not be permitted to resume deferrals
hereunder until the last day of the first Plan Year which ends at least six
months after the date of such distribution. 
In any event, any subsequent Deferral Agreements by the Participant must
comply with the timing requirements of Section 3(b).

(c)                                  For
purposes of this Section 7, an “unforeseeable emergency” is a severe financial
hardship of the Participant resulting from an illness or accident of the
Participant or of a spouse or dependent (as defined in Code §152(a)), loss of
the Participant’s property due to casualty (including the need to rebuild a
home following damage to a home not otherwise covered by insurance, for
example, not as a result of a natural disaster), or other similar extraordinary
and unforeseeable circumstances arising as a result of events beyond the
control of the Participant.  Payment may
not be made to the extent the emergency need is or may be relieved (i) through
reimbursement or compensation by insurance or otherwise, (ii) by liquidation of
the Participant’s assets, to the extent such liquidation would not itself cause
severe financial hardship, or (iii) by cessation of deferrals hereunder.  The Committee, in its sole discretion, shall
determine whether a Participant has experienced an “unforeseeable emergency”
within the meaning of this Section 7 warranting a distribution.

 8
 

(d)                                 If
the Participant is a member of the Committee, he or she shall take no part in
any decision of the Committee under this Section 7 with respect to such
Participant.

8.                                       Beneficiary
Designation.

(a)                                  Each
Participant shall designate the person or persons as his or her beneficiary or
beneficiaries to whom his or her Accounts shall be paid in the event of his or
her death prior to the complete distribution of his or her Accounts.  Each beneficiary designation shall be in the
form prescribed by the Committee, and shall be effective only if filed with the
Committee or its designee during the Participant’s lifetime.

(b)                                 Any
beneficiary designation may be changed by a Participant without the consent of
any previously designated beneficiary or any other person by the filing of a
new beneficiary designation with the Committee. 
The filing of a new beneficiary designation shall cancel all beneficiary
designations previously filed.

(c)                                  If
any Participant fails to designate a beneficiary in the manner provided above,
or if the beneficiary designated by a Participant predeceases the Participant,
the Committee shall direct such Participant’s Accounts (or the balance thereof)
to be distributed as follows:

(1)                                  To
the Participant’s surviving spouse (within the meaning of Federal law); or

(2)                                  If
the Participant has no surviving spouse, then to the Participant’s estate.

(d)                                 If
the beneficiary designated by a Participant dies after the Participant dies,
but before receiving distribution of the Participant’s Accounts, and no other
beneficiary designation is in effect, the Committee shall direct that the
balance of the Participant’s Accounts be distributed to the beneficiary’s
estate.

9.                                       Payment
to Guardian.  If an amount is payable
under this Plan to a minor, a person declared incompetent, or a person
incapable of handling the disposition of property, the Committee may direct the
payment of the amount to the guardian, legal representative, or person having
the care and custody of the minor, incompetent, or incapable person.  The Committee may require proof of
incompetency, minority, incapacity, or guardianship as it may deem appropriate
prior to the distribution of the amount. 
The distribution shall completely discharge the Committee and the
Company from all liability with respect to the amount distributed.

10.                                 Withholding;
Payroll Taxes.  The Company shall
withhold from payments made under the Plan any taxes required to be withheld
from a Participant’s wages for Federal, state, or local taxes.

 9
 

11.                                 Source
of Funds.

(a)                                  In
General.  This Plan shall be
unfunded, and, except as provided in subsection (b), payment of benefits
hereunder shall be made from the general assets of the Company.  Any assets which may be set aside, earmarked,
or identified as being intended for the payment of benefits under this Plan
shall remain assets of the Company and shall be subject to the claims of its
general creditors.  Each Participant and
beneficiary shall be a general and unsecured creditor of the Company to the
extent of the value of his or her benefit accrued hereunder, and he or she
shall have no right, title, or interest in any specific asset that the Company
may set aside, earmark, or identify as for the payment of benefits under the
Plan.  The Company’s obligation under the
Plan shall be merely that of an unfunded and unsecured promise to pay money in
the future.

(b)                                 Trust.  Notwithstanding subsection (a), assets may be
set aside in a trust and earmarked for the payment of benefits under this Plan,
provided Participants continue to be general and unsecured creditors of the
Company with respect to assets set aside in the trust.

12.                                 Committee.

(a)                                  In
General.  This Plan shall be
administered by the Committee.  Unless
the Plan expressly provides otherwise, the Committee shall have the sole
discretion to construe and interpret the provisions of the Plan and to
determine all questions concerning benefit entitlements, including the power to
construe and determine disputed or doubtful terms.  To the maximum extent permissible under law,
the determinations of the Committee on all such matters shall be final and
binding upon all persons involved.

(b)                                 Records
and Reports.  The Committee shall
keep a record of its proceedings and actions and shall maintain all books of
account, records, and other data as shall be necessary for the proper
administration of the Plan.  Such records
shall contain all relevant data pertaining to individual Participants and their
rights under the Plan.  The Committee
shall have the duty to carry into effect all rights or benefits provided hereunder
to the extent assets of the Company are properly available therefor.

(c)                                  Payment
of Expenses.  The Company shall pay
all expenses of administering the Plan. 
Such expenses shall include any expenses incident to the functioning of
the Committee.

(d)                                 Indemnification
for Liability.  The Company shall
indemnify the members of the Committee and the employees of the Company to whom
the Committee delegates duties under the Plan against any and all claims,
losses, damages, expenses, and liabilities arising from their responsibilities
in connection with the Plan, unless the same is determined to be due to gross
negligence or willful misconduct.

 10
 

13.                                 Claims
Procedure.

(a)                                  Right
to Make Claim.  A Participant or
beneficiary or his or her authorized representative (hereinafter, “Claimant”)
who disagrees with the Committee’s determination of his or her right to Plan
benefits must submit a written claim and exhaust this claim procedure before
legal recourse of any type is sought. 
The claim must include the important issues the Claimant believes
support the claim.  The Committee,
pursuant to the authority provided in this Plan, shall either approve or deny
the claim.

(b)                                 Process
for Denying a Claim.  The Committee’s
partial or complete denial of an initial claim must include an understandable
written or electronic response setting forth, in a manner calculated to be
understood by the Claimant, (i) the specific reasons why the claim is being
denied (with specific reference to the pertinent Plan provisions on which the denial
is based), (ii) a description of any additional material or information
necessary for the Claimant to perfect the claim and an explanation of why such
material or information is necessary, and (iii) a description of the Plan’s
review procedures and the time limits applicable to such procedures, including
a statement of the Claimant’s right to bring a civil action under §502(a) of
ERISA following an adverse benefit determination on review.

(c)                                  Appeal
of Denial and Final Review.  A
Claimant may request in writing that the Committee review the claim
denial.  The Claimant shall be provided,
upon request and free of charge, reasonable access to, and copies of, all
documents, records, and other information relevant to the Claimant’s claim for
benefits.  The Claimant shall also have
the opportunity to submit written comments, documents, records, and other
information relating to the claim for benefits, and the Committee shall take
into account all such information submitted without regard to whether such information
was submitted or considered in the initial benefit determination.

The decision on review shall be written or electronic
and, in the case of an adverse determination, shall include specific reasons
for the decision, written in a manner calculated to be understood by the
Claimant, and specific references to the pertinent Plan provisions on which the
decision is based.  The decision on
review shall also include (i) a statement that the Claimant is entitled to receive,
upon request and free of charge, reasonable access to, and copies of, all
documents, records, or other information relevant to the Claimant’s claim for
benefits, and (ii) a statement describing any voluntary appeal procedures
offered by the Plan, and a statement of the Claimant’s right to bring an action
under §502(a) of ERISA.

(d)                                 Time
Frame.  The initial claim, its
review, appeal, and final review shall be made in a timely fashion, subject to
the following time table:

	
  

  	
   

  	
  Days to
  Respond

  
	
  Action

  	
   

  	
  From Last Action

  
	
  Committee’s
  initial decision

  	
   

  	
  90 days

  
	
  Interested party
  requests final review

  	
   

  	
  60 days

  
	
  Committee’s
  final decision

  	
   

  	
  60 days

  

 

 11
 

However, the Committee may take up to twice the
maximum response time for its initial and final review if it provides an
explanation in writing within the normal period of why an extension is needed
and when its decision will be forthcoming. 
In the event the Claimant fails to submit information necessary to
decide a claim, the applicable period shall be tolled from the date on which the
extension notice is sent to the Claimant until the date on which the Claimant
responds to the request for additional information.

(e)                                  Compliance
with Regulations.  The claims
procedure of this Plan shall be administered in accordance with the claims procedure
regulations of the Department of Labor set forth in 29 C.F.R. §2560.503-1.  Notwithstanding any provision of this Section
13 to the contrary, to the extent such regulations so require, determinations
as to whether Plan provisions regarding Disability apply to a Participant shall
be made in accordance with the Department of Labor’s claims procedure
regulations applicable to claims for disability benefits, and any such
determination shall be made by (1) one member of the Committee in the case of
an initial claim, and (2) the remaining members of the Committee in the case of
the review of a denied claim.

(f)                                    Exhaustion
of Remedies.  A Claimant shall have
no right to bring any action in any court regarding a claim for benefits prior
to filing a claim for benefits and exhausting his or her rights to review under
this Section 13 in accordance with the time frames set forth herein.

14.                                 Nonalienation
of Benefits.  Except as hereinafter
provided with respect to marital disputes, none of the benefits or rights of a
Participant or any beneficiary of a Participant shall be subject to the claim
of any creditor.  In particular, to the
fullest extent permitted by law, all such benefits and rights shall be free
from attachment, garnishment, or any other legal or equitable process available
to any creditor of the Participant and his or her beneficiary.  Neither the Participant nor his or her
beneficiary shall have the right to alienate, anticipate, commute, pledge,
encumber, or assign any of the payments which he or she may expect to receive,
contingently or otherwise, under this Plan, except the right to designate a
beneficiary to receive death benefits provided hereunder.  In cases of marital dispute, the Company
shall observe the terms of the Plan unless and until ordered to do otherwise by
a state or Federal court.  As a condition
of participation, a Participant agrees to hold the Company harmless from any
harm that arises out of the Company’s obeying the final order of any state or
Federal court, whether such order effects a judgment of such court or is issued
to enforce a judgment or order of another court.

15.                                 Amendment
and Termination.

(a)                                  The
Committee may approve and execute changes of a technical nature to the Plan
which do not materially affect the substance thereof and which, in the opinion
of the Committee, are necessary and desirable. 
In addition, the Board reserves the right to amend the Plan, by written
resolution, at any time and from time to time in any fashion (including any
amendment that applies to a Participant who has had a Separation from Service),
and to terminate it at will.

 12
 

(b)                                 No
amendment or termination of this Plan shall affect the rights of any
Participant or his or her beneficiary with respect to the amount of his or her
Accounts determined as of the date of such amendment or termination, as
subsequently adjusted in accordance with Section 4(d) for earnings and losses;
provided, however, that (i) such limitation shall not apply to any amendment or
termination that the Committee or the Board, in its sole discretion, determines
is necessary or appropriate to avoid the additional tax under Code
§409A(a)(1)(B), and (ii) such limitation shall not preclude the Committee from
making changes to the available investment vehicle or vehicles for determining
earnings and losses pursuant to Section 4(d).

16.                                 Participating
Employers.

(a)                                  Any
affiliate of VWR, with the consent of the Committee, may adopt the Plan and
become a Participating Employer hereunder by filing with the Committee a
certified copy of a resolution of that company’s board of directors (or other
governing body) providing for its adoption of the Plan.

(b)                                 Any
action required or permitted to be taken under the Plan by the Company shall be
by resolution of the Board or by a duly authorized committee of the Board or by
a person or persons authorized by resolution of the Board or the
committee.  Each Participating Employer
appoints the Board (or the person or persons authorized by the Board) as its
agent to exercise on its behalf any action required or permitted to be taken
under the Plan by the Company.

17.                                 No
Contract of Employment.  Nothing
contained herein shall be construed as conferring upon any person the right to
be employed by the Company or to continue in the employ of the Company.

18.                                 Applicable
Law.  The provisions of this Plan
shall be construed and interpreted according to the laws of the Commonwealth of
Pennsylvania (without reference to principles of conflicts of law), to the
extent not superseded by Federal law.

19.                                 Successors.  The provisions of this Plan shall bind and
inure to the benefit of the Company and its successors and assigns.  The term “successors” as used herein shall
include any corporate or other business entity which shall, whether by merger,
consolidation, purchase or otherwise, acquire all or substantially all of the
business and assets of the Company, and successors of any such corporation or
other business entity.

20.                                 Headings.  The headings of the Sections of the Plan are
for reference only.  In the event of a conflict
between a heading and the contents of a Section, the contents of the Section
shall control.

21.                                 Gender
and Number.  Whenever any words are
used herein in any specific gender, they shall be construed as though they were
also used in any other applicable gender. 
Whenever any words used herein are in the singular form, they shall be
construed as though they were also used in the plural form in all cases where
they would so apply.

 13
 

22.                                 Top-Hat
Plan.  While, as stated in Section 1,
this Plan is intended to cover a “select group of management or highly
compensated employees,” in the event it is determined not to be a plan
described in §201(2), §301(a)(3), and §401(a)(1) of ERISA, it shall be deemed
to be two plans, one plan covering the group that consists of a select group of
management or highly compensated employees and the other plan covering the
group that does not meet this definition.

IN
WITNESS WHEREOF, VWR INTERNATIONAL, INC. has caused these presents to be duly
executed this           day
of                  ,
2007.

	
  Attest:

  	
   

  	
  VWR INTERNATIONAL, INC.

  	 

	
   

  	
   

  	
   

  	 

	
   

  	 

	
   

  	
   

  	
   

  	
  By:

  	
   

  	
   

  
								

 

 

 14

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