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T-Mobile US, Inc. – ‘10-Q’ for 6/30/13 – ‘EX-10.2’

On:  Thursday, 8/8/13, at 10:16am ET   ·   For:  6/30/13   ·   Accession #:  1283699-13-115   ·   File #:  1-33409

Previous ‘10-Q’:  ‘10-Q’ on 4/25/13 for 3/31/13   ·   Next:  ‘10-Q’ on 11/7/13 for 9/30/13   ·   Latest:  ‘10-Q’ on 4/26/24 for 3/31/24   ·   10 References:   

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  As Of               Filer                 Filing    For·On·As Docs:Size

 8/08/13  T-Mobile US, Inc.                 10-Q        6/30/13  177:29M

Quarterly Report   —   Form 10-Q   —   Sect. 13 / 15(d) – SEA’34
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 10-Q        Tmus Form 10-Q                                      HTML   1.05M 
 2: EX-4.17     Tmus Exhibit 4.17                                   HTML     87K 
 3: EX-4.18     Tmus Exhibit 4.18                                   HTML     72K 
 4: EX-4.19     Tmus Exhibit 4.19                                   HTML     76K 
 5: EX-4.20     Tmus Exhibit 4.20                                   HTML     74K 
 6: EX-10.1     Tmus Exhibit 10.1                                   HTML    563K 
14: EX-10.10    Tmus Exhibit 10.10                                  HTML     55K 
15: EX-10.17    Tmus Exhibit 10.17                                  HTML    134K 
16: EX-10.18    Tmus Exhibit 10.18                                  HTML    134K 
17: EX-10.19    Tmus Exhibit 10.19                                  HTML    144K 
 7: EX-10.2     Tmus Exhibit 10.2                                   HTML     67K 
18: EX-10.20    Tmus Exhibit 10.20                                  HTML    159K 
19: EX-10.21    Tmus Exhibit 10.21                                  HTML    132K 
20: EX-10.22    Tmus Exhibit 10.22                                  HTML     83K 
21: EX-10.24    Tmus Exhibit 10.24                                  HTML     94K 
22: EX-10.25    Tmus Exhibit 10.25                                  HTML     96K 
 8: EX-10.3     Tmus Exhibit 10.3                                   HTML    431K 
 9: EX-10.4     Tmus Exhibit 10.4                                   HTML    377K 
10: EX-10.5     Tmus Exhibit 10.5                                   HTML     56K 
11: EX-10.6     Tmus Exhibit 10.6                                   HTML    327K 
12: EX-10.7     Tmus Exhibit 10.7                                   HTML     56K 
13: EX-10.8     Tmus Exhibit 10.8                                   HTML     93K 
23: EX-31.1     Tmus Exhibit 31.1                                   HTML     54K 
24: EX-31.2     Tmus Exhibit 31.2                                   HTML     54K 
25: EX-32.1     Tmus Exhibit 32.1                                   HTML     48K 
26: EX-32.2     Tmus Exhibit 32.2                                   HTML     48K 
172: R1          Document and Entity Information                     HTML     68K  
115: R2          Condensed Consolidated Balance Sheets (Unaudited)   HTML    173K  
108: R3          Condensed Consolidated Balance Sheets (Unaudited)   HTML     78K  
                (Parenthetical)                                                  
40: R4          Condensed Consolidated Statements of Comprehensive  HTML    150K 
                Income (Unaudited)                                               
112: R5          Condensed Consolidated Statements of Comprehensive  HTML     54K  
                Income (Unaudited) (Parenthetical)                               
79: R6          Condensed Consolidated Statements of Cash Flows     HTML     95K 
                (Unaudited)                                                      
146: R7          Condensed Consolidated Statements of Stockholders'  HTML     84K  
                Equity (Unaudited)                                               
82: R8          Consolidation and Basis of Presentation             HTML     61K 
89: R9          Transaction with MetroPCS                           HTML    122K 
41: R10         Equipment Installment Plan Receivables              HTML     85K 
85: R11         Property and Equipment                              HTML     67K 
145: R12         Licenses, Goodwill and Intangible Assets            HTML     74K  
138: R13         Fair Value Measurements and Derivative Instruments  HTML    117K  
109: R14         Notes Payable to Affiliates and Debt                HTML    102K  
165: R15         Stock-Based Compensation                            HTML     68K  
143: R16         Income Taxes                                        HTML     57K  
37: R17         Related Party Transactions                          HTML     82K 
47: R18         Commitments and Contingencies                       HTML     93K 
164: R19         Guarantor Financial Information                     HTML    942K  
170: R20         Additional Financial Information                    HTML    158K  
174: R21         Subsequent Events                                   HTML     49K  
168: R22         Consolidation and Basis of Presentation (Policies)  HTML     90K  
126: R23         Transaction with MetroPCS (Tables)                  HTML     96K  
42: R24         Equipment Installment Plan Receivables (Tables)     HTML     81K 
77: R25         Property and Equipment (Tables)                     HTML     64K 
57: R26         Licenses, Goodwill and Intangible Assets (Tables)   HTML     68K 
56: R27         Fair Value Measurements and Derivative Instruments  HTML    106K 
                (Tables)                                                         
91: R28         Notes Payable to Affiliates and Debt (Tables)       HTML     91K 
125: R29         Stock-Based Compensation (Tables)                   HTML     57K  
141: R30         Related Party Transactions (Tables)                 HTML     75K  
65: R31         Commitments and Contingencies (Tables)              HTML     75K 
92: R32         Guarantor Financial Information (Tables)            HTML    939K 
154: R33         Additional Financial Information (Tables)           HTML    157K  
60: R34         Consolidation and Basis of Presentation             HTML     49K 
                Consolidation and Basis of Presentation (Details)                
135: R35         Transaction with MetroPCS (Transaction Overview)    HTML     62K  
                (Details)                                                        
136: R36         Transaction with MetroPCS (Debt Recapitalization)   HTML     59K  
                (Details)                                                        
96: R37         Transaction with MetroPCS (Reverse Stock Split)     HTML     54K 
                (Details)                                                        
55: R38         Transaction with MetroPCS (Consideration            HTML     66K 
                Transferred) (Details)                                           
132: R39         Transaction with MetroPCS (Preliminary Purchase     HTML     98K  
                Price Allocation) (Details)                                      
63: R40         Transaction with MetroPCS (Consolidated Statement   HTML     52K 
                of Comprehensive Income (Loss) for the period May                
                1, 2013 through June 30, 2013) (Details)                         
90: R41         Transaction with MetroPCS (Proforma Financial       HTML     62K 
                Information) (Details)                                           
142: R42         Equipment Installment Plan Receivables (Narrative)  HTML     57K  
                (Details)                                                        
72: R43         Equipment Installment Plan Receivables (Gross       HTML     62K 
                Receivables by Credit Category) (Details)                        
127: R44         Equipment Installment Plan Receivables (Allowance   HTML     57K  
                for Credit Losses) (Details)                                     
107: R45         Property and Equipment (Details)                    HTML     70K  
59: R46         Licenses, Goodwill and Intangible Assets (Goodwill  HTML     55K 
                and Licenses) (Details)                                          
150: R47         Licenses, Goodwill and Intangible Assets (Other     HTML     83K  
                Intangibles) (Details)                                           
52: R48         Fair Value Measurements and Derivative Instruments  HTML     55K 
                (Narrative) (Details)                                            
64: R49         Fair Value Measurements and Derivative Instruments  HTML     71K 
                (Fair Value of Financial Instruments by Level)                   
                (Details)                                                        
106: R50         Fair Value Measurements and Derivative Instruments  HTML     52K  
                (Effect Of Derivative Instruments On Earnings And                
                Other Comprehensive Income) (Details)                            
119: R51         Notes Payable to Affiliates and Debt (Narrative)    HTML     86K  
                (Details)                                                        
148: R52         Notes Payable to Affiliates and Debt (Notes         HTML     87K  
                Payable to Affiliates) (Details)                                 
38: R53         Notes Payable to Affiliates and Debt (Long-term     HTML     69K 
                Debt) (Details)                                                  
130: R54         Notes Payable to Affiliates and Debt (Carrying      HTML     52K  
                Values and Fair Values of Notes Payable) (Details)               
100: R55         Stock-Based Compensation (Stock Awards) (Details)   HTML     97K  
46: R56         Stock-Based Compensation (Stock Options) (Details)  HTML     73K 
54: R57         Income Taxes (Details)                              HTML     57K 
114: R58         Related Party Transactions (Transactions with       HTML     83K  
                Deutsche Telekom) (Details)                                      
159: R59         Related Party Transactions (Narrative) (Details)    HTML     52K  
177: R60         Commitments and Contingencies (Operating Leases)    HTML     79K  
                (Details)                                                        
176: R61         Commitments and Contingencies (Other Commitments)   HTML     70K  
                (Details)                                                        
139: R62         Guarantor Financial Information (Narrative)         HTML     55K  
                (Details)                                                        
71: R63         Guarantor Financial Information (Condensed Balance  HTML    226K 
                Sheet) (Details)                                                 
67: R64         Guarantor Financial Information (Condensed          HTML    175K 
                Statement of Comprehensive Income (Loss))                        
                (Details)                                                        
131: R65         Guarantor Financial Information (Condensed          HTML    129K  
                Statement of Cash Flow) (Details)                                
157: R66         Additional Financial Information (Variable          HTML     54K  
                Interest Entities) (Details)                                     
44: R67         Additional Financial Information (Components of     HTML     80K 
                AOCI) (Details)                                                  
167: R68         Additional Financial Information (Earnings (Loss)   HTML     74K  
                Per Share) (Details)                                             
73: R69         Additional Financial Information (Restructuring     HTML     61K 
                Costs) (Details)                                                 
97: R70         Additional Financial Information (Supplemental      HTML     77K 
                Cash Flows) (Details)                                            
93: R71         Subsequent Events (Details)                         HTML     49K 
104: XML         IDEA XML File -- Filing Summary                      XML    170K  
175: XML.R1      Document and Entity Information                      XML    154K  
87: XML.R2      Condensed Consolidated Balance Sheets (Unaudited)    XML    421K 
124: XML.R3      Condensed Consolidated Balance Sheets (Unaudited)    XML    171K  
                (Parenthetical)                                                  
103: XML.R4      Condensed Consolidated Statements of Comprehensive   XML    599K  
                Income (Unaudited)                                               
99: XML.R5      Condensed Consolidated Statements of Comprehensive   XML    109K 
                Income (Unaudited) (Parenthetical)                               
35: XML.R6      Condensed Consolidated Statements of Cash Flows      XML    233K 
                (Unaudited)                                                      
117: XML.R7      Condensed Consolidated Statements of Stockholders'   XML    495K  
                Equity (Unaudited)                                               
34: XML.R8      Consolidation and Basis of Presentation              XML     75K 
70: XML.R9      Transaction with MetroPCS                            XML    147K 
95: XML.R10     Equipment Installment Plan Receivables               XML    108K 
83: XML.R11     Property and Equipment                               XML     85K 
75: XML.R12     Licenses, Goodwill and Intangible Assets             XML     93K 
151: XML.R13     Fair Value Measurements and Derivative Instruments   XML    146K  
86: XML.R14     Notes Payable to Affiliates and Debt                 XML    126K 
169: XML.R15     Stock-Based Compensation                             XML     85K  
121: XML.R16     Income Taxes                                         XML     72K  
118: XML.R17     Related Party Transactions                           XML    102K  
123: XML.R18     Commitments and Contingencies                        XML    115K  
62: XML.R19     Guarantor Financial Information                      XML   1.17M 
111: XML.R20     Additional Financial Information                     XML    198K  
140: XML.R21     Subsequent Events                                    XML     64K  
144: XML.R22     Consolidation and Basis of Presentation (Policies)   XML    139K  
153: XML.R23     Transaction with MetroPCS (Tables)                   XML    137K  
94: XML.R24     Equipment Installment Plan Receivables (Tables)      XML    107K 
51: XML.R25     Property and Equipment (Tables)                      XML     83K 
162: XML.R26     Licenses, Goodwill and Intangible Assets (Tables)    XML     91K  
122: XML.R27     Fair Value Measurements and Derivative Instruments   XML    137K  
                (Tables)                                                         
163: XML.R28     Notes Payable to Affiliates and Debt (Tables)        XML    117K  
43: XML.R29     Stock-Based Compensation (Tables)                    XML     74K 
137: XML.R30     Related Party Transactions (Tables)                  XML     97K  
134: XML.R31     Commitments and Contingencies (Tables)               XML    101K  
50: XML.R32     Guarantor Financial Information (Tables)             XML   1.17M 
166: XML.R33     Additional Financial Information (Tables)            XML    213K  
48: XML.R34     Consolidation and Basis of Presentation              XML     81K 
                Consolidation and Basis of Presentation (Details)                
171: XML.R35     Transaction with MetroPCS (Transaction Overview)     XML    241K  
                (Details)                                                        
156: XML.R36     Transaction with MetroPCS (Debt Recapitalization)    XML    119K  
                (Details)                                                        
149: XML.R37     Transaction with MetroPCS (Reverse Stock Split)      XML    146K  
                (Details)                                                        
152: XML.R38     Transaction with MetroPCS (Consideration             XML    151K  
                Transferred) (Details)                                           
102: XML.R39     Transaction with MetroPCS (Preliminary Purchase      XML    275K  
                Price Allocation) (Details)                                      
80: XML.R40     Transaction with MetroPCS (Consolidated Statement    XML     90K 
                of Comprehensive Income (Loss) for the period May                
                1, 2013 through June 30, 2013) (Details)                         
173: XML.R41     Transaction with MetroPCS (Proforma Financial        XML    284K  
                Information) (Details)                                           
133: XML.R42     Equipment Installment Plan Receivables (Narrative)   XML    187K  
                (Details)                                                        
161: XML.R43     Equipment Installment Plan Receivables (Gross        XML    408K  
                Receivables by Credit Category) (Details)                        
49: XML.R44     Equipment Installment Plan Receivables (Allowance    XML    110K 
                for Credit Losses) (Details)                                     
120: XML.R45     Property and Equipment (Details)                     XML    569K  
76: XML.R46     Licenses, Goodwill and Intangible Assets (Goodwill   XML    107K 
                and Licenses) (Details)                                          
116: XML.R47     Licenses, Goodwill and Intangible Assets (Other      XML    667K  
                Intangibles) (Details)                                           
105: XML.R48     Fair Value Measurements and Derivative Instruments   XML    151K  
                (Narrative) (Details)                                            
66: XML.R49     Fair Value Measurements and Derivative Instruments   XML    651K 
                (Fair Value of Financial Instruments by Level)                   
                (Details)                                                        
128: XML.R50     Fair Value Measurements and Derivative Instruments   XML    234K  
                (Effect Of Derivative Instruments On Earnings And                
                Other Comprehensive Income) (Details)                            
68: XML.R51     Notes Payable to Affiliates and Debt (Narrative)     XML    355K 
                (Details)                                                        
81: XML.R52     Notes Payable to Affiliates and Debt (Notes          XML    826K 
                Payable to Affiliates) (Details)                                 
36: XML.R53     Notes Payable to Affiliates and Debt (Long-term      XML    303K 
                Debt) (Details)                                                  
147: XML.R54     Notes Payable to Affiliates and Debt (Carrying       XML    148K  
                Values and Fair Values of Notes Payable) (Details)               
158: XML.R55     Stock-Based Compensation (Stock Awards) (Details)    XML    340K  
58: XML.R56     Stock-Based Compensation (Stock Options) (Details)   XML    159K 
61: XML.R57     Income Taxes (Details)                               XML    125K 
39: XML.R58     Related Party Transactions (Transactions with        XML    437K 
                Deutsche Telekom) (Details)                                      
160: XML.R59     Related Party Transactions (Narrative) (Details)     XML    121K  
98: XML.R60     Commitments and Contingencies (Operating Leases)     XML    502K 
                (Details)                                                        
88: XML.R61     Commitments and Contingencies (Other Commitments)    XML    259K 
                (Details)                                                        
84: XML.R62     Guarantor Financial Information (Narrative)          XML     87K 
                (Details)                                                        
155: XML.R63     Guarantor Financial Information (Condensed Balance   XML   2.99M  
                Sheet) (Details)                                                 
129: XML.R64     Guarantor Financial Information (Condensed           XML   2.39M  
                Statement of Comprehensive Income (Loss))                        
                (Details)                                                        
53: XML.R65     Guarantor Financial Information (Condensed           XML   1.17M 
                Statement of Cash Flow) (Details)                                
69: XML.R66     Additional Financial Information (Variable           XML    104K 
                Interest Entities) (Details)                                     
78: XML.R67     Additional Financial Information (Components of      XML    671K 
                AOCI) (Details)                                                  
45: XML.R68     Additional Financial Information (Earnings (Loss)    XML    190K 
                Per Share) (Details)                                             
74: XML.R69     Additional Financial Information (Restructuring      XML    311K 
                Costs) (Details)                                                 
110: XML.R70     Additional Financial Information (Supplemental       XML    170K  
                Cash Flows) (Details)                                            
33: XML.R71     Subsequent Events (Details)                          XML     77K 
101: EXCEL       IDEA Workbook of Financial Reports (.xls)            XLS   3.33M  
27: EX-101.INS  XBRL Instance -- tmo-20130630                        XML   4.71M 
29: EX-101.CAL  XBRL Calculations -- tmo-20130630_cal                XML    241K 
30: EX-101.DEF  XBRL Definitions -- tmo-20130630_def                 XML   1.00M 
31: EX-101.LAB  XBRL Labels -- tmo-20130630_lab                      XML   1.76M 
32: EX-101.PRE  XBRL Presentations -- tmo-20130630_pre               XML   1.18M 
28: EX-101.SCH  XBRL Schema -- tmo-20130630                          XSD    188K 
113: ZIP         XBRL Zipped Folder -- 0001283699-13-000115-xbrl      Zip    308K  


‘EX-10.2’   —   Tmus Exhibit 10.2


This Exhibit is an HTML Document rendered as filed.  [ Alternative Formats ]



 <!   C:   C: 
  TMUS 06/30/2013 EX 10.2  


EXHIBIT 10.2
AMENDMENT NO. 1 TO MASTER AGREEMENT
This AMENDMENT NO. 1 TO MASTER AGREEMENT (this "Amendment"), dated as of November 30, 2012, is among Crown Castle International Corp., a Delaware corporation ("Crown"), CCTMO LLC, a Delaware limited liability company (“Tower Operator” and, together with Crown, the “Crown Parties”), T‑Mobile USA, Inc., a Delaware corporation ("T‑Mobile Parent"), the Subsidiaries of T‑Mobile named on the signature pages hereto as "T‑Mobile Contributors" (each such Subsidiary, a "T‑Mobile Contributor" and, collectively, the "T‑Mobile Contributors"), the Subsidiaries of T‑Mobile named on the signature pages hereto as "T‑Mobile SPEs" (each such Subsidiary, a "T‑Mobile SPE" and, collectively, the "T‑Mobile SPE"), the Subsidiaries of T‑Mobile named on the signature pages hereto as "Sale Site Subsidiaries" (each such Subsidiary, a "Sale Site Subsidiary" and, collectively, the "Sale Site Subsidiaries" and, together with the T-Mobile Parent, the T-Mobile Contributors and the T-Mobile SPEs, the “T-Mobile Parties” and each, a “T-Mobile Party”). Each of the Crown Parties and the T‑Mobile Parties may hereafter be referred to as a "Party" and, collectively, as the "Parties". Initially capitalized terms used and otherwise defined in this Amendment have the meanings ascribed to them in the Master Agreement (as defined below and as amended hereby). The rules of construction set forth in Section 1.2 of the Master Agreement shall apply to this Amendment, mutatis mutandis.
RECITALS:
A.    The Parties entered into, or simultaneously herewith are acceding to, that certain Master Agreement, dated as of September 28, 2012 (as amended, supplemented or otherwise modified from time to time, the "Master Agreement"); and
B.    The Parties desire to make certain amendments to the Master Agreement as set forth in this Amendment.
NOW, THEREFORE, the Parties agree as follows:
1.
Amendments.
(a)
Amendment to the definition of "CA/NV Consent and Acknowledgement" in Section 1.1. The definition of "CA/NV Consent and Acknowledgement" appearing in Section 1.1 of the Master Agreement is hereby amended and restated in its entirety as follows:
"CA/NV Consent and Acknowledgement" means a consent and acknowledgment from the CA/NV Counterparty substantially in the form attached hereto as Schedule 1.
(b)
Amendment to Section 2.11(g). Section 2.11(g) of the Master Agreement is hereby amended and restated in its entirety as follows:
Tax Allocations. Subject to Section 1.3, Section 2.9 and Article 3, the parties agree that the purchase price for the Sites shall be allocated among the groups of




Sites for U.S. federal, state and local income tax purposes in accordance with Schedule 2.11(g).
(c)
Amendment to Section 10.5. Section 10.5 of the Master Agreement is hereby amended and restated in its entirety as follows:
With respect to the CA/NV Sites only, Crown shall have received, on or prior to the Initial Closing Date, the CA/NV Consent and Acknowledgment.
(d)
Amendment to Schedule 1. Schedule 1 to the Master Agreement is hereby replaced in its entirety with Schedule 1 attached to this Amendment.
(e)
Addition of Schedule 2.11(g). Schedule 2.11(g) attached to this Amendment is hereby inserted into and made a part of the Master Agreement as Schedule 2.11(g) thereto.
2.
Acknowledgment and Agreement. The Parties acknowledge and agree that: (i) Crown has received the CA/NV Consent and Acknowledgment as required by Section 10.5 of the Master Agreement; (ii) the CA/NV Sites will be deemed Assignable Sites as of the Initial Closing Date for purposes of Article 3 and Section 10.4 of the Master Agreement; and (iii) for the avoidance of doubt, the CA/NV Inclusion will occur at the Initial Closing.
3.
Consideration. As consideration for this Amendment, for purposes of the Master Agreement and the Collateral Agreements, subject to Section 4 of this Amendment, the amount payable by the Crown Parties to the T-Mobile Parties pursuant to Section 3.2 of the Master Agreement, the Closing Total Consideration and the Final Total Consideration will each be reduced by $15,000,000.
4.
Collateral Agreements. It is the essential intent of the Parties that the consideration payable by the Crown Parties pursuant to the Master Agreement shall be reduced by $15,000,000, and all provisions of the Master Agreement and the Collateral Agreements shall be construed in accordance with this essential intent.
5.
Books and Records. The T-Mobile Parties will use commercially reasonable efforts to continue to facilitate the exchange of information with the Crown Parties in the manner as the T-Mobile Parties have been doing between the Signing Date and the Initial Closing Date during the term of the Transition Services Agreement. This Section 5 shall constitute a covenant for purposes of the Master Agreement, shall survive and continue in full force and effect following the Initial Closing under the Master Agreement and shall be subject to, and entitled to the benefits of, the terms and provisions of the Master Agreement, including Article XII and Section 14.9 of the Master Agreement.
6.
Entire Agreement; Modifications Only in Writing. The Master Agreement (as amended by this Amendment) and the Collateral Agreements constitute the entire agreement between the Parties with respect to the subject matter thereof and supersede all prior agreements, both written and oral, between the Parties with respect to the subject thereof.





This Amendment shall be binding upon and inure solely to the benefit of each Party and its successors and permitted assigns.
7.
Counterparts. This Amendment may be executed in counterparts, each of which shall be deemed to be an original, but all of which shall constitute one and the same agreement.

[Remainder of page left blank. Signature pages follow.]







SIGNATURE PAGE
IN WITNESS WHEREOF, this Amendment has been signed by or on behalf of each of the Parties as of the day first above written.
T-MOBILE:

T‑MOBILE USA, INC.

By:    
/s/ David A. Miller
Name: David A. Miller
    Title: EVP & General Counsel
T-MOBILE CONTRIBUTORS:

SUNCOM WIRELESS OPERATING COMPANY, L.L.C
COOK INLET/VS GSM IV PCS HOLDINGS, LLC
T-MOBILE CENTRAL LLC
T-MOBILE SOUTH LLC
POWERTEL/MEMPHIS, INC.
VOICESTREAM PITTSBURGH, L.P.
T-MOBILE WEST LLC
T-MOBILE NORTHEAST LLC
WIRELESS ALLIANCE, LLC
SUNCOM WIRELESS PROPERTY COMPANY, L.L.C.

By:     /s/ David A. Miller
Name: David A. Miller
    Title: EVP & General Counsel
CROWN:

CROWN CASTLE INTERNATIONAL CORP.

By:/s/ Jay A. Brown
Name:    Jay A. Brown     
Title:Senior Vice President, Chief Financial Officer and Treasurer

TOWER OPERATOR:
CCTMO LLC

By:/s/ Jay A. Brown
Name:    Jay A. Brown     
Title:    Senior Vice President, Chief Financial Officer and Treasurer






T-MOBILE SPEs

T-MOBILE USA TOWER LLC

By:     /s/ David A. Miller
Name: David A. Miller
    Title: EVP & General Counsel

T-MOBILE WEST TOWER LLC

By:     /s/ David A. Miller
Name: David A. Miller
    Title: EVP & General Counsel

SALE SITE SUBSIDIARIES:

T3 TOWER 1 LLC

By:     /s/ David A. Miller
Name: David A. Miller
    Title: EVP & General Counsel

T3 TOWER 2 LLC

By:     /s/ David A. Miller
Name: David A. Miller
    Title: EVP & General Counsel











[Signature Page to Amendment No. 1 to Master Agreement]




Dates Referenced Herein   and   Documents Incorporated by Reference

This ‘10-Q’ Filing    Date    Other Filings
Filed on:8/8/138-K,  IRANNOTICE
For Period end:6/30/13
11/30/124
9/28/124
 List all Filings 


10 Subsequent Filings that Reference this Filing

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 2/02/24  T-Mobile US, Inc.                 10-K       12/31/23  134:17M
 2/14/23  T-Mobile US, Inc.                 10-K       12/31/22  140:22M
 5/19/22  T-Mobile US, Inc.                 S-4/A                  6:20M                                    Broadridge Fin’l So… Inc
 5/19/22  T-Mobile US, Inc.                 S-4/A                  6:20M                                    Broadridge Fin’l So… Inc
 4/22/22  T-Mobile US, Inc.                 S-4                    8:7.2M                                   Broadridge Fin’l So… Inc
 4/22/22  T-Mobile US, Inc.                 S-4                   22:28M                                    Broadridge Fin’l So… Inc
 2/11/22  T-Mobile US, Inc.                 10-K       12/31/21  136:23M
 4/21/21  T-Mobile US, Inc.                 S-4/A                  8:3.8M                                   Broadridge Fin’l So… Inc
 3/30/21  T-Mobile US, Inc.                 S-4                   27:17M                                    Broadridge Fin’l So… Inc
 2/23/21  T-Mobile US, Inc.                 10-K       12/31/20  147:25M
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