0001539497-25-002113 Sample Contracts
AGREEMENT BETWEEN NOTE HOLDERS Dated as of June 25, 2025 by and between WELLS FARGO BANK, NATIONAL ASSOCIATION (Initial Note A-1 Holder), and WELLS FARGO BANK, NATIONAL ASSOCIATION (Initial Note A-2 Holder)Agreement Between Note Holders • August 13th, 2025 • Bank5 2025-5yr16 • Asset-backed securities • New York
Contract Type FiledAugust 13th, 2025 Company Industry JurisdictionThis AGREEMENT BETWEEN NOTE HOLDERS (“Agreement”), dated as of June 25, 2025, by and between WELLS FARGO BANK, NATIONAL ASSOCIATION (“WFB” and, together with its successors and assigns in interest, in its capacity as initial owner of Note A-1 (as defined below), the “Initial Note A-1 Holder”, and in its capacity as the initial agent, the “Initial Agent”) and WELLS FARGO BANK, NATIONAL ASSOCIATION (together with its successors and assigns in interest, in its capacity as initial owner of Note A-2 (as defined below), the “Initial Note A-2 Holder” and together with the Initial Note A-1 Holder, the “Initial Note Holders”).
AMENDED AND RESTATED CO-LENDER AGREEMENT Entered into June 26, 2025 and Dated as of June 18, 2025 by and among WELLS FARGO BANK, NATIONAL ASSOCIATION (Note A-1-1 Holder, Note A-2-1 Holder, Note A-3-1 Holder, Note A-4-1 Holder, Note A-5-1-1 Holder,...Co-Lender Agreement • August 13th, 2025 • Bank5 2025-5yr16 • Asset-backed securities • New York
Contract Type FiledAugust 13th, 2025 Company Industry Jurisdiction
CITIGROUP COMMERCIAL MORTGAGE SECURITIES INC., as Depositor, MIDLAND LOAN SERVICES, A DIVISION OF PNC BANK, NATIONAL ASSOCIATION, as Servicer, KeyBank National Association, as Special Servicer, COMPUTERSHARE TRUST COMPANY, NATIONAL ASSOCIATION, as...Trust and Servicing Agreement • August 13th, 2025 • Bank5 2025-5yr16 • Asset-backed securities • New York
Contract Type FiledAugust 13th, 2025 Company Industry Jurisdiction
MORTGAGE LOAN PURCHASE AGREEMENTMortgage Loan Purchase Agreement • August 13th, 2025 • Bank5 2025-5yr16 • Asset-backed securities
Contract Type FiledAugust 13th, 2025 Company IndustryThis Mortgage Loan Purchase Agreement (this “Agreement”), is dated and effective as of August 11, 2025, between JPMorgan Chase Bank, National Association, as seller (in such capacity, together with its successors and permitted assigns hereunder, the “Mortgage Loan Seller” or “Seller”), and Banc of America Merrill Lynch Commercial Mortgage Inc., as purchaser (in such capacity, together with its successors and permitted assigns hereunder, the “Purchaser”).
MORTGAGE LOAN PURCHASE AGREEMENTMortgage Loan Purchase Agreement • August 13th, 2025 • Bank5 2025-5yr16 • Asset-backed securities
Contract Type FiledAugust 13th, 2025 Company IndustryThis Mortgage Loan Purchase Agreement (this “Agreement”) is dated and effective as of August 11, 2025, between Morgan Stanley Mortgage Capital Holdings LLC, as seller (in such capacity, together with its successors and permitted assigns hereunder, the “Mortgage Loan Seller” or “Seller”), and Banc of America Merrill Lynch Commercial Mortgage Inc., as purchaser (in such capacity, together with its successors and permitted assigns hereunder, the “Purchaser”).
AGREEMENT BETWEEN NOTEHOLDERS Dated as of June 26, 2025 by and among CITI REAL ESTATE FUNDING INC. (Initial Note A-1 Holder and Initial Note A-7 Holder) BANK OF AMERICA, N.A. (Initial Note A-2 Holder and Initial Note A-8 Holder) MORGAN STANLEY...Agreement Between Noteholders • August 13th, 2025 • Bank5 2025-5yr16 • Asset-backed securities • New York
Contract Type FiledAugust 13th, 2025 Company Industry JurisdictionTHIS AGREEMENT BETWEEN NOTEHOLDERS, dated as of June 26, 2025, by and between CITI REAL ESTATE FUNDING INC., a New York corporation (together with its successors in interest and assigns, “CREFI”), in its capacity as the initial agent (the “Initial Agent”), as Initial Note A-1 Holder and Initial Note A-7 Holder (each as defined below), BANK OF AMERICA, N.A., a national banking association (together with its successors in interest and assigns, “BANA”), as Initial Note A-2 Holder and Initial Note A-8 Holder (each as defined below), MORGAN STANLEY MORTGAGE CAPITAL HOLDINGS LLC, a New York limited liability company (together with its successors in interest and assigns, “MSMCH”), as Initial Note A-3 Holder and Initial Note A-9 Holder (each as defined below), BANK OF MONTREAL, a Canadian chartered bank (together with its successors in interest and assigns, “BMO”), as Initial Note A-4 Holder and Initial Note A-10 Holder (each as defined below), ROYAL BANK OF CANADA, a Canadian chartered bank (
TRIMONT LLC, Master Servicer and MIDLAND LOAN SERVICES, A DIVISION OF PNC BANK, NATIONAL ASSOCIATION, Primary Servicer PRIMARY SERVICING AGREEMENT Dated as of August 1, 2025 BANK5 2025-5YR16, Commercial Mortgage Pass-Through Certificates Series 2025-5YR16Primary Servicing Agreement • August 13th, 2025 • Bank5 2025-5yr16 • Asset-backed securities • New York
Contract Type FiledAugust 13th, 2025 Company Industry Jurisdiction
BANC OF AMERICA MERRILL LYNCH COMMERCIAL MORTGAGE INC., as Depositor TRIMONT LLC, as Master Servicer LNR PARTNERS, LLC, as Special ServicerPooling and Servicing Agreement • August 13th, 2025 • Bank5 2025-5yr16 • Asset-backed securities • New York
Contract Type FiledAugust 13th, 2025 Company Industry Jurisdiction
BARCLAYS COMMERCIAL MORTGAGE SECURITIES LLC, as Depositor TRIMONT LLC, as Master Servicer K-STAR ASSET MANAGEMENT LLC, as Special Servicer COMPUTERSHARE TRUST COMPANY, NATIONAL ASSOCIATION, as Certificate Administrator and as Trustee and PARK BRIDGE...Pooling and Servicing Agreement • August 13th, 2025 • Bank5 2025-5yr16 • Asset-backed securities • New York
Contract Type FiledAugust 13th, 2025 Company Industry JurisdictionThis Pooling and Servicing Agreement is dated and effective as of August 1, 2025, among Barclays Commercial Mortgage Securities LLC, as Depositor, Trimont LLC, as Master Servicer, K-Star Asset Management LLC, as Special Servicer, Computershare Trust Company, National Association, as Certificate Administrator and as Trustee, and Park Bridge Lender Services LLC, as Operating Advisor and as Asset Representations Reviewer.
BANK5 2025-5YR16 COMMERCIAL MORTGAGE PASS-THROUGH CERTIFICATES, SERIES 2025-5YR16 UNDERWRITING AGREEMENT As of August 11, 2025Underwriting Agreement • August 13th, 2025 • Bank5 2025-5yr16 • Asset-backed securities • New York
Contract Type FiledAugust 13th, 2025 Company Industry Jurisdictionmortgage loans (the “Mortgage Loans”) having an approximate aggregate principal balance of $656,045,790 as of the Cut-off Date, secured by first liens on certain fee simple and/or leasehold interests in commercial, multifamily and/or manufactured housing properties (the “Mortgaged Properties”). The Certificates and the VRR Interest will be issued on or about August 27, 2025 (the “Closing Date”), pursuant to a pooling and servicing agreement (the “Pooling and Servicing Agreement”), dated as of August 1, 2025, between the Depositor, as depositor, Trimont LLC, as master servicer (the “Master Servicer”), LNR Partners, LLC, as special servicer (the “Special Servicer”), Computershare Trust Company, N.A., as certificate administrator (the “Certificate Administrator”), Deutsche Bank National Trust Company, as trustee (the “Trustee”), and BellOak, LLC, as operating advisor (in such capacity, the “Operating Advisor”) and as asset representations reviewer (in such capacity, the “Asset Representat
AGREEMENT BETWEEN NOTEHOLDERS Dated as of July 18, 2025 between MORGAN STANLEY BANK, N.A., (Note A-1 Holder) GOLDMAN SACHS BANK USA, (Note A-2 Holder) and CPPIB CREDIT INVESTMENTS III INC., (Note B Holder) (The Campus at Lawson Lane)Agreement Between Noteholders • August 13th, 2025 • Bank5 2025-5yr16 • Asset-backed securities • New York
Contract Type FiledAugust 13th, 2025 Company Industry JurisdictionTHIS AGREEMENT BETWEEN NOTEHOLDERS (“Agreement”), dated as of July 18, 2025, between MORGAN STANLEY BANK, N.A., a national banking association (“MSBNA”), as holder of Note A-1 (in such capacity, together with its successors and assigns, the “Note A-1 Holder”), GOLDMAN SACHS BANK USA, a New York State chartered bank (“GS Bank”), as holder of Note A-2 (in such capacity, together with its successors and assigns, the “Note A-2 Holder”), and CPPIB CREDIT INVESTMENTS III INC., a Canadian corporation with foreign jurisdiction (“CPPIB”) as holder of Note B (in such capacity, together with its successors and assigns, the “Note B Holder”), and MORGAN STANLEY MORTGAGE CAPITAL HOLDINGS LLC, a New York limited liability company, as initial agent (in such capacity, “Initial Agent”).