-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, SAq3Bg62zDPOIpU+QrAkf1iLa0vfILOvZDHQ8Jq7WEW5DKgnS17qJdiD6C4xsnjE fDwbFSj/l+DHRNZ6EZGg4A== 0001383733-10-000038.txt : 20100504 0001383733-10-000038.hdr.sgml : 20100504 20100503175503 ACCESSION NUMBER: 0001383733-10-000038 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 8 CONFORMED PERIOD OF REPORT: 20100331 FILED AS OF DATE: 20100504 DATE AS OF CHANGE: 20100503 FILER: COMPANY DATA: COMPANY CONFORMED NAME: FelCor Lodging Trust Inc CENTRAL INDEX KEY: 0000923603 STANDARD INDUSTRIAL CLASSIFICATION: REAL ESTATE INVESTMENT TRUSTS [6798] IRS NUMBER: 752541756 STATE OF INCORPORATION: MD FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-14236 FILM NUMBER: 10794253 BUSINESS ADDRESS: STREET 1: 545 E JOHN CARPENTER FREEWAY STREET 2: SUITE 1300 CITY: IRVING STATE: TX ZIP: 75062 BUSINESS PHONE: 9724444900 MAIL ADDRESS: STREET 1: 545 E JOHN CARPENTER FREEWAY STREET 2: SUITE 1300 CITY: IRVING STATE: TX ZIP: 75062 FORMER COMPANY: FORMER CONFORMED NAME: FELCOR LODGING TRUST INC DATE OF NAME CHANGE: 19980810 FORMER COMPANY: FORMER CONFORMED NAME: FELCOR SUITE HOTELS INC DATE OF NAME CHANGE: 19940523 10-Q 1 q12010form10-q.htm FELCOR LODGING TRUST INCORPORATED 1Q 2010 FORM 10-Q q12010form10-q.htm



 
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

Form 10-Q

(Mark One)

     [X]         QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF
THE SECURITIES EXCHANGE ACT OF 1934
For the quarterly period ended March 31, 2010

or

     [   ]          TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF
THE SECURITIES EXCHANGE ACT OF 1934
For the transition period from           to

Commission file number 001-14236

FelCor Lodging Trust Incorporated
(Exact name of registrant as specified in its charter)

Maryland
 
75-2541756
(State or other jurisdiction of
 
(I.R.S. Employer
incorporation or organization)
 
Identification No.)

545 E. John Carpenter Freeway, Suite 1300, Irving, Texas
 
75062
(Address of principal executive offices)
 
(Zip Code)

(972) 444-4900
(Registrant’s telephone number, including area code)

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15 (d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days. xYes   o No

Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files).o Yes   o No

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company.  See definition of “large accelerated filer,” “accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act.

Large accelerated filer                                                      o
 
Accelerated filer x
Non-accelerated filer                                           o (Do not check if a smaller reporting company)
 
Smaller reporting company o

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act). o Yes    x No

At April 23, 2010, the registrant had issued and outstanding 65,427,139 shares of common stock.


 
 

 



FELCOR LODGING TRUST INCORPORATED

INDEX

 
Page
PART I – FINANCIAL INFORMATION
 
Item 1.  Financial Statements
3
Consolidated Balance Sheets March 31, 2010 and December 31, 2009 (unaudited)
3
Consolidated Statements of Operations – For the Three Months Ended March 31, 2010 and 2009 (unaudited)
 
4
Consolidated Statements of Comprehensive Loss – For the Three Months Ended March 31, 2010 and 2009 (unaudited)
5
Consolidated Statements of Changes in Equity for the Three Months Ended March 31, 2010 and 2009 (unaudited)
6
Consolidated Statements of Cash Flows – For the Three Months Ended March 31, 2010 and 2009 (unaudited)
7
Notes to Consolidated Financial Statements
8
Item 2.  Management’s Discussion and Analysis of Financial Condition and Results of Operations
17
General
17
Financial Comparison
18
Results of Operations
18
Non-GAAP Financial Measures
19
Pro Rata Share of Rooms Owned
22
Hotel Portfolio Composition
23
Hotel Operating Statistics
24
Hotel Portfolio
26
Liquidity and Capital Resources
28
Inflation
30
Seasonality
30
Disclosure Regarding Forward-Looking Statements
30
Item 3.  Quantitative and Qualitative Disclosures about Market Risk
31
Item 4.  Controls and Procedures
31
   
PART II – OTHER INFORMATION
   
Item 5.  Other Information
32
Item 6.  Exhibits
32
   
SIGNATURE
33
   



 
2

 

PART I -- FINANCIAL INFORMATION


Item 1.                      Financial Statements

FELCOR LODGING TRUST INCORPORATED

CONSOLIDATED BALANCE SHEETS
(unaudited, in thousands)

 
March 31, 2010
 
December 31, 2009
Assets
             
Investment in hotels, net of accumulated depreciation of $936,120 at March 31, 2010 and $916,604 at December 31, 2009
$
2,131,646
   
$
2,180,394
 
Investment in unconsolidated entities
 
80,230
     
82,040
 
Cash and cash equivalents
 
276,008
     
263,531
 
Restricted cash
 
18,943
     
18,708
 
Accounts receivable, net of allowance for doubtful accounts of $317 at March 31, 2010 and $406 at December 31, 2009
 
35,285
     
28,678
 
Deferred expenses, net of accumulated amortization of $16,130 at March 31, 2010 and $14,502 at December 31, 2009
 
19,825
     
19,977
 
Other assets
 
32,902
     
32,666
 
          Total assets
$
2,594,839
   
$
2,625,994
 
               
Liabilities and Equity
             
Debt, net of discount of $61,764 at March 31, 2010 and $64,267 at December 31, 2009
$
1,771,115
   
$
1,773,314
 
Distributions payable
 
47,258
     
37,580
 
Accrued expenses and other liabilities
 
162,859
     
131,339
 
               
          Total liabilities
 
1,981,232
     
1,942,233
 
               
Commitments and contingencies
             
               
Redeemable noncontrolling interests in FelCor LP at redemption value, 295 units issued and outstanding at March 31, 2010 and December 31, 2009
 
1,681
     
1,062
 
               
Equity:
             
Preferred stock, $0.01 par value, 20,000 shares authorized:
             
   Series A Cumulative Convertible Preferred Stock, 12,880 shares, liquidation value of $322,011, issued and outstanding at
     March 31, 2010 and December 31, 2009
 
309,362
     
309,362
 
   Series C Cumulative Redeemable Preferred Stock, 68 shares, liquidation value of $169,950, issued and outstanding at
     March 31, 2010 and December 31, 2009
 
169,412
     
169,412
 
Common stock, $.01 par value, 200,000 shares authorized and 69,413 shares issued, including shares in treasury, at March 31,
     2010 and December 31, 2009
 
694
     
694
 
Additional paid-in capital
 
2,022,235
     
2,021,837
 
Accumulated other comprehensive income
 
25,598
     
23,528
 
Accumulated deficit
 
(1,864,898
)
   
(1,792,822
)
Less: Common stock in treasury, at cost, of 3,985 shares at March 31, 2010 and 3,845 shares at December 31, 2009
 
(72,229
)
   
(71,895
)
               
          Total FelCor stockholders’ equity
 
590,174
     
660,116
 
Noncontrolling interests in other partnerships
 
21,752
     
22,583
 
Total equity
 
611,926
     
682,699
 
               
          Total liabilities and equity
$
2,594,839
   
$
2,625,994
 

The accompanying notes are an integral part of these consolidated financial statements.

 
3

 


FELCOR LODGING TRUST INCORPORATED

CONSOLIDATED STATEMENTS OF OPERATIONS
For the Three Months Ended March 31, 2010 and 2009
(unaudited, in thousands, except for per share data)


 
Three Months Ended
March 31,
 
2010
 
2009
Revenues:
             
   Hotel operating revenue
$
226,039
   
$
227,733
 
   Other revenue
 
365
     
286
 
Total revenues
 
226,404
     
228,019
 
Expenses:
             
   Hotel departmental expenses
 
81,782
     
79,245
 
   Other property related costs
 
65,604
     
65,354
 
   Management and franchise fees
 
10,535
     
11,141
 
   Taxes, insurance and lease expense
 
24,680
     
24,662
 
   Corporate expenses
 
9,847
     
6,122
 
   Depreciation and amortization
 
37,598
     
36,651
 
   Impairment loss
 
21,060
     
-   
 
   Other expenses
 
561
     
696
 
Total operating expenses
 
251,667
     
223,871
 
               
Operating income (loss)
 
(25,263
)
   
4,148
 
   Interest expense, net
 
(36,240
)
   
(21,292
)
Loss before equity in loss from unconsolidated entities
 
(61,503
)
   
(17,144
)
   Equity in loss from unconsolidated entities
 
(1,474
)
   
(3,424
)
Loss from continuing operations
 
(62,977
)
   
(20,568
)
   Discontinued operations
 
35
     
(854
)
Net loss
 
(62,942
)
   
(21,422
)
Net loss attributable to noncontrolling interests in other partnerships
 
229
     
216
 
Net loss attributable to redeemable noncontrolling interests in FelCor LP
 
325
     
142
 
Net loss attributable to FelCor
 
(62,388
)
   
(21,064
)
   Preferred dividends
 
(9,678
)
   
(9,678
)
Net loss attributable to FelCor common stockholders
$
(72,066
)
 
$
(30,742
)
Basic and diluted per common share data:
             
   Loss from continuing operations
$
(1.14
)
 
$
(0.47
)
   Net loss
$
(1.14
)
 
$
(0.49
)
   Basic and diluted weighted average common shares outstanding
 
63,475
     
62,989
 









The accompanying notes are an integral part of these consolidated financial statements.

 
4

 


FELCOR LODGING TRUST INCORPORATED

CONSOLIDATED STATEMENTS OF COMPREHENSIVE LOSS
For the Three Months Ended March 31, 2010 and 2009
(unaudited, in thousands)


 
Three Months Ended March 31,
 
2010
 
2009
Net loss                                                                                                                            
$
(62,942
)
 
$
(21,422
)
Foreign currency translation adjustment                                                                                                                            
 
2,079
     
(1,709
)
Comprehensive loss
 
(60,863
)
   
(23,131
)
Comprehensive loss attributable to noncontrolling interests in other partnerships
 
229
     
216
 
Comprehensive loss attributable to redeemable noncontrolling interests in FelCor LP
 
316
     
150
 
Comprehensive loss attributable to FelCor                                                                                                                            
$
(60,318
)
 
$
(22,765
)





































The accompanying notes are an integral part of these consolidated financial statements


 
5

 

FELCOR LODGING TRUST INCORPORATED
CONSOLIDATED STATEMENTS OF CHANGES IN EQUITY
For the Three Months Ended March 31, 2010 and 2009
(unaudited, in thousands)

 
Preferred Stock
 
Common Stock
     
Accumulated
         
Noncontrolling
       
 
Number of Shares
 
Amount
 
Number of Shares
 
 
 
Amount
 
Additional Paid-in Capital
 
Other Comprehensive Income (Loss)
 
Accumulated
Deficit
 
Treasury Stock
 
Interests in Other Partnerships
 
 
Comprehensive Income (Loss)
 
 
Total Equity
Balance at December 31, 2008
12,948
   
$
478,774
   
69,413
 
$
694
 
$
2,045,482
   
$
15,347
   
$
(1,645,947
)
 
$
(99,245
)
 
$
23,784
           
$
818,889
 
Issuance of stock awards
-   
     
-   
   
-   
   
-   
   
(11,362
)
   
-   
     
-   
     
11,070
     
-   
             
(292
)
Amortization of stock awards
-   
     
-   
   
-   
   
-   
   
1,660
     
-   
     
-   
     
-   
     
-   
             
1,660
 
Forfeiture of stock awards
-   
     
-   
   
-   
   
-   
   
-   
     
-   
     
-   
     
(49
)
   
-   
             
(49
)
Allocation to redeemable noncontrolling interests
-   
     
-   
   
-   
   
-   
   
(7
)
   
-   
     
-   
     
-   
     
-   
             
(7
)
Contribution from noncontrolling interests
-   
     
-   
   
-   
   
-   
   
-   
     
-   
     
-   
     
-   
     
85
             
85
 
Distribution to noncontrolling interests
-   
     
-   
   
-   
   
-   
   
-   
     
-   
     
-   
     
-   
     
(397
)
           
(397
)
Other
-   
     
-   
   
-   
   
-   
   
-   
     
-   
     
(6
)
   
-   
     
-    
             
(6
)
Preferred dividends:
                                                                             
  $0.4875 per Series A preferred share
-   
     
-   
   
-   
   
-   
   
-   
     
-   
     
(6,279
)
   
-   
     
-   
             
(6,279
)
  $0.50 per Series C depositary preferred share
-   
     
-   
   
-   
   
-   
   
-   
     
-   
     
(3,399
)
   
-   
     
-   
             
(3,399
)
Comprehensive loss:
                                                                             
Foreign exchange translation
-   
     
-   
   
-   
   
-   
   
-   
     
(1,701
)
   
-   
     
-   
     
-   
   
$
(1,701
)
       
Net loss
-   
     
-   
   
-   
   
-   
   
-   
     
-   
     
(21,064
)
   
-   
     
(216
)
   
(21,280
)
       
Comprehensive loss
                                                               
$
(22,981
)
   
(22,981
)
Balance at March 31, 2009
12,948
   
$
478,774
   
69,413
 
$
694
 
$
2,035,773
   
$
13,646
   
$
(1,676,695
)
 
$
(88,224
)
 
$
23,256
           
$
787,224
 
                                                                               
Balance at December 31, 2009
12,948
   
$
478,774
   
69,413
 
$
694
 
$
2,021,837
   
$
23,528
   
$
(1,792,822
)
 
$
(71,895
)
 
$
22,583
           
$
682,699
 
Issuance of stock awards
-   
     
-   
   
-   
   
-   
   
(229
)
   
-   
     
-   
     
297
     
-   
             
68
 
Amortization of stock awards
-   
     
-   
   
-   
   
-   
   
1,413
     
-   
     
-   
     
-   
     
-   
             
1,413
 
Forfeiture of stock awards
-   
     
-   
   
-   
   
-   
   
149
     
-   
     
-   
     
(631
)
   
-   
             
(482
)
Allocation to redeemable noncontrolling interests
-   
     
-   
   
-   
   
-   
   
(935
)
   
-   
     
-   
     
-   
     
-   
             
(935
)
Distribution to noncontrolling interests
-   
     
-   
   
-   
   
-   
   
-   
     
-   
     
-   
     
-   
     
(602)
             
(602
)
Other
-   
     
-   
   
-   
   
-   
   
-   
     
-   
     
(10
)
   
-   
     
-   
             
(10
)
Preferred dividends:
                                                                             
  $0.4875 per Series A preferred share
-   
     
-   
   
-   
   
-   
   
-   
     
-   
     
(6,279
)
   
-   
     
-   
             
(6,279
)
  $0.50 per Series C depositary preferred share
-   
     
-   
   
-   
   
-   
   
-   
     
-   
     
(3,399
)
   
-   
     
-   
             
(3,399
)
Comprehensive loss:
-   
     
-   
   
-   
   
-   
   
-   
     
-   
     
-   
     
-   
     
-   
             
-   
 
Foreign exchange translation
-   
     
-   
   
-   
   
-   
   
-   
     
2,070
     
-   
     
-   
     
-   
   
$
2,070
         
Net loss
-   
     
-   
   
-   
   
-   
   
-   
     
-   
     
(62,388
)
   
-   
     
(229
)
   
(62,617
)
       
Comprehensive loss
                                                               
$
(60,547
)
   
(60,547
)
Balance at March 31, 2010
12,948
   
$
478,774
   
69,413
 
$
694
 
$
2,022,235
   
$
25,598
   
$
(1,864,898
)
 
$
(72,229
)
 
$
21,752
           
$
611,926
 

The accompanying notes are an integral part of these consolidated financial statements.

 
6

 

FELCOR LODGING TRUST INCORPORATED

CONSOLIDATED STATEMENTS OF CASH FLOWS
For the Three Months Ended March 31, 2010 and 2009
(unaudited, in thousands)

 
Three Months Ended
March 31,
 
2010
 
2009
Cash flows from operating activities:
             
  Net loss
$
(62,942
)
 
$
(21,422
)
  Adjustments to reconcile net loss to net cash provided by operating activities:
             
              Depreciation and amortization
 
37,598
     
37,385
 
              Amortization of deferred financing fees and debt discount
 
4,131
     
714
 
              Amortization of unearned officers’ and directors’ compensation
 
1,616
     
1,398
 
              Equity in loss from unconsolidated entities
 
1,474
     
3,424
 
              Distributions of income from unconsolidated entities
 
142
     
585
 
              Impairment loss
 
21,060
     
1,368
 
        Changes in assets and liabilities:
             
              Accounts receivable
 
(7,269
)
   
(1,776
)
              Restricted cash – operations
 
984
     
897
 
              Other assets
 
(1,879
)
   
1,242
 
              Accrued expenses and other liabilities
 
33,597
     
634
 
                        Net cash flow provided by operating activities
 
28,512
     
24,449
 
               
Cash flows from investing activities:
             
    Improvements and additions to hotels
 
(8,200
)
   
(25,274
)
    Additions to condominium project
 
(110
)
   
(48
)
    Change in restricted cash – investing
 
(1,219
)
   
(56
)
    Redemption of investment securities
 
-   
     
473
 
    Distributions from unconsolidated entities
 
559
     
2,200
 
    Contributions to unconsolidated entities
 
(300
)
   
-   
 
                        Net cash flow used in investing activities
 
(9,270
)
   
(22,705
)
               
Cash flows from financing activities:
             
    Proceeds from borrowings
 
81
     
198,317
 
    Repayment of borrowings
 
(4,783
)
   
(184,980
)
    Payment of deferred financing fees
 
(1,695
)
   
(1,982
)
    Distributions paid to noncontrolling interests
 
(602
)
   
(397
)
    Contributions from noncontrolling interests
 
-   
     
85
 
    Distributions paid to preferred stockholders
 
-   
     
(9,678
)
                        Net cash flow provided by (used in) financing activities
 
(6,999
)
   
1,365
 
               
Effect of exchange rate changes on cash
 
234
     
(340
)
Net change in cash and cash equivalents
 
12,477
     
2,769
 
Cash and cash equivalents at beginning of periods
 
263,531
     
50,187
 
Cash and cash equivalents at end of periods
$
276,008
   
$
52,956
 
               
Supplemental cash flow information – interest paid
$
14,166
   
$
13,105
 





The accompanying notes are an integral part of these consolidated financial statements.

 
7

 
FELCOR LODGING TRUST INCORPORATED

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS



1.           Organization

FelCor Lodging Trust Incorporated (NYSE:FCH), or FelCor, a Maryland corporation, operates as a real estate investment trust, or REIT.  We are the sole general partner of, and the owner of a greater than 99% partnership interest in, FelCor Lodging Limited Partnership, or FelCor LP, through which we held ownership interests in 84 hotels with approximately 24,000 rooms at March 31, 2010.

Of the 84 hotels in which we had an ownership interest at March 31, 2010, we owned a 100% interest in 64 hotels, a 90% or greater interest in entities owning four hotels, an 81% interest in an entity owning one hotel, a 60% interest in an entity owning one hotel and a 50% interest in entities owning 14 hotels.  We consolidate our real estate interests in the 70 hotels in which we held greater than 50% ownership interests, and we record the real estate interests of the 14 hotels in which we held 50% ownership interests using the equity method.

At March 31, 2010, 83 of the 84 hotels in which we had ownership interests, were leased to operating lessees, and one 50%-owned hotel was operated without a lease.  We held greater than 50% ownership interests and had direct or indirect controlling interests in the lessees of the 83 hotels that were leased to operating lessees.  Because we owned controlling interests in these lessees (including 13 of the 14 hotels in which we owned 50% of the real estate interests), we consolidated our lessee interests in these hotels (we refer to these 83 hotels as our Consolidated Hotels).  Of our Consolidated Hotels, we owned 50% of the real estate interests in each of 13 hotels (we accounted for the ownership in our real estate interests of these hotels by the equity method) and more than 50% of the real estate inte rests in each of the remaining 70 hotels.

At March 31, 2010, we had 65,722,628 shares and units outstanding, consisting of 65,427,668 shares of FelCor common stock and 294,960 FelCor LP limited partnership units not owned by FelCor.

The following table illustrates the distribution of our 83 Consolidated Hotels among our various brands at March 31, 2010:

Brand
 
Hotels
 
Rooms
 
Embassy Suites Hotels® 
 
47
   
12,132
   
Holiday Inn® 
 
15
   
5,154
   
Sheraton® and Westin® 
 
9
   
3,217
   
Doubletree® 
 
7
   
1,471
   
Marriott® and Renaissance® 
 
3
   
1,321
   
Hilton® 
 
2
   
559
   
Total
 
83
   
23,854
   

At March 31, 2010, our Consolidated Hotels were located in the United States (81 hotels in 23 states) and Canada (two hotels in Toronto, Ontario), with concentrations in California (15 hotels), Florida (12 hotels) and Texas (11 hotels).  Approximately 53% of our hotel room revenues were generated from hotels in these three states during the first three months of 2010.

At March 31, 2010, of our 83 Consolidated Hotels: (i) subsidiaries of Hilton Hotels Corporation, or Hilton, managed 54 hotels, (ii) subsidiaries of InterContinental Hotels Group, or IHG, managed 15 hotels, (iii) subsidiaries of Starwood Hotels & Resorts Worldwide Inc., or Starwood, managed nine hotels, (iv) subsidiaries of Marriott International Inc., or Marriott, managed three hotels, and (iv) independent management companies managed two hotels.



 
8

 
FELCOR LODGING TRUST INCORPORATED

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS



1.
Organization – (continued)

Our hotels managed by Marriott are accounted for on a fiscal year comprised of 52 or 53 weeks ending on the Friday closest to December 31.  Our quarterly period ending March 31, 2010 and 2009 includes the results of operations for our Marriott-managed hotels for the 12 week period ending March 26, 2010 and March 27, 2009, respectively.

The information in our consolidated financial statements for the three months ended March 31, 2010 and 2009 is unaudited.  Preparing financial statements in conformity with accounting principles generally accepted in the United States of America, or GAAP, requires management to make estimates and assumptions that affect the amounts reported in the financial statements and accompanying notes.  Actual results could differ from those estimates.  The accompanying financial statements for the three months ended March 31, 2010 and 2009, include adjustments based on management’s estimates (consisting of normal and recurring accruals), which we consider necessary for a fair presentation of the results for the periods.  The financial informa tion should be read in conjunction with the consolidated financial statements for the year ended December 31, 2009, included in our Annual Report on Form 10-K.  Operating results for the three months ended March 31, 2010 are not necessarily indicative of actual operating results for the entire year.

2.
Investment in Unconsolidated Entities

We owned 50% interests in joint ventures that owned 14 hotels at March 31, 2010 and 15 hotels at December 31, 2009.  We also own a 50% interest in entities that own real estate in Myrtle Beach, South Carolina and provide condominium management services.  We account for our investments in these unconsolidated entities under the equity method.  We do not have any majority-owned subsidiaries that are not consolidated in our financial statements.  We make adjustments to our equity in income from unconsolidated entities related to the difference between our basis in investment in unconsolidated entities compared to the historical basis of the assets recorded by the joint ventures.

The following table summarizes combined balance sheet information for our unconsolidated entities (in thousands):

 
March 31, 2010
 
December 31, 2009
 
Balance sheet information:
               
     Investment in hotels, net of accumulated depreciation
$
252,764
   
$
259,977
   
     Total assets
$
271,538
   
$
279,611
   
     Debt
$
211,271
   
$
214,963
   
     Total liabilities
$
215,136
   
$
220,389
   
     Equity
$
56,402
   
$
59,222
   

Our unconsolidated entities’ debt at March 31, 2010 and December 31, 2009 consisted entirely of non-recourse mortgage debt.

In April 2010, we contributed $23 million to an unconsolidated joint venture.  That contribution, along with a $23 million contribution from our joint venture partner, was used to pay-off the joint venture’s $46 million mortgage debt.



 
9

 
FELCOR LODGING TRUST INCORPORATED

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS



2.
Investment in Unconsolidated Entities – (continued)

The following table sets forth summarized combined statement of operations information for our unconsolidated entities (in thousands):

 
Three Months Ended
March 31,
 
2010
 
2009
Total revenues
$
12,739
   
$
14,738
 
Net loss
$
(3,136
)
 
$
(4,962
)(a)
               
Net loss attributable to FelCor
$
(1,568
)
 
$
(2,481
)
Impairment loss
 
-   
     
(476
)(b)
Gain on joint venture liquidation
 
559
(b)
   
-   
 
Depreciation of cost in excess of book value
 
(465
)
   
(467
)
Equity in loss from unconsolidated entities
$
(1,474
)
 
$
(3,424
)

 
  (a)
Net loss includes a $3.2 million impairment charge with regard to the sales of two hotels then-owned by one of our joint ventures.  The impairment was based on actual sales contracts (a Level 2 input).
 
  (b)
As a result of a 2009 impairment charge recorded by a joint venture, the net book value of the joint venture’s assets no longer supported the recovery of our investment.  Therefore, we recorded an additional 2009 impairment charge to reduce our investment in the joint venture to zero.  In March 2010, the joint venture sold its remaining hotel asset for $3.7 million, with respect to which we received $559,000 in net proceeds.  We have no obligation to provide this joint venture with future funding.

The following table summarizes the components of our investment in unconsolidated entities (in thousands):

 
March 31, 2010
 
December 31, 2009
Hotel-related investments
$
18,192
   
$
18,969
 
Cost in excess of book value of hotel investments
 
51,965
     
52,429
 
Land and condominium investments
 
10,073
     
10,642
 
 
$
80,230
   
$
82,040
 

The following table summarizes the components of our equity in loss from unconsolidated entities (in thousands):

 
Three Months Ended
March 31,
 
2010
 
2009
Hotel investments
$
(905
)
 
$
(2,826
)
Other investments
 
(569
)
   
(598
)
Equity in loss from unconsolidated entities
$
(1,474
)
 
$
(3,424
)


 
10

 
FELCOR LODGING TRUST INCORPORATED

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS



3.           Debt

Consolidated debt consisted of the following (in thousands):

 
Encumbered
         
March 31,
 
December 31,
 
Hotels
 
Interest Rate
 
Maturity Date
 
2010
 
2009
Mortgage debt(a)
6 hotels
   
8.73
%%
 
May 2010
 
$
111,758
 
$
112,703
Mortgage debt(b)(c)
5 hotels
   
8.70
   
May 2010
   
97,933
   
98,639
Mortgage debt(b)(d)
2 hotels
   
8.62
   
May 2010
   
31,740
   
31,740
Senior notes
none
   
8.50
(e)
 
June 2011
   
86,622
   
86,604
Mortgage debt(b)
2 hotels
   
6.15
   
June 2011(f)
   
13,631
   
14,150
Mortgage debt
9 hotels
 
L +
3.50
(g)
 
August 2011(h)
   
199,675
   
200,425
Mortgage debt
12 hotels
 
L +
0.93
(i)
 
November 2011(j)
   
250,000
   
250,000
Mortgage debt(b)
2 hotels
 
L +
1.55
(k)
 
May 2012(l)
   
176,627
   
176,555
Mortgage debt
1 hotel
   
8.77
   
May 2013(m)
   
27,770
   
27,829
Mortgage debt
7 hotels
   
9.02
   
April 2014
   
116,407
   
117,422
Mortgage debt(b)
5 hotels
   
6.66
   
June - August 2014
   
70,484
   
70,917
Senior secured notes(n)
14 hotels
   
10.00
   
October 2014
   
574,913
   
572,500
Mortgage debt
1 hotel
   
5.81
   
July 2016
   
11,636
   
11,741
Capital lease and other
1 hotel   
   
9.09
   
various
   
1,919
   
2,089
  Total
67 hotels
             
$
1,771,115
 
$
1,773,314

(a)
This loan was refinanced in May 2010, as a consequence of which two hotels were unencumbered.
(b)
The hotels securing this debt are subject to separate loan agreements and are not cross-collateralized.
(c)
These loans were refinanced in May 2010.
(d)
We have been unable to negotiate an acceptable debt modification or reduction that made sense for our stockholders, with regard to these loans.  Therefore, these two hotels will be transferred to the lenders in full satisfaction of the debt.
(e)
As a result of a rating down-grade in February 2009, the interest rate on our 8½% senior notes increased to 9%.
(f)
In February 2010, the maturity date on these loans was extended to June 2011.
(g)
LIBOR for this loan is subject to a 2% floor.
(h)
This loan can be extended for as many as two years, subject to satisfying certain conditions.
(i)
We have purchased an interest rate cap that caps LIBOR at 7.8% and expires in November 2010 for this notional amount.
(j)
The maturity date assumes that we will exercise the remaining one-year extension option that is exercisable, at our sole discretion, and would extend the current November 2010 maturity to 2011.
(k)
We have purchased interest rate caps that cap LIBOR at 6.5% and expire in May 2010 for aggregate notional amounts of $177 million.
(l)
We have exercised the first of three successive one-year extension options that extend, at our sole discretion, maturity to 2012.
(m)
In February 2010, the maturity date on this loan was extended to May 2013.
(n)
These notes have $636 million in aggregate principal outstanding and were sold at a discount that provides an effective yield of 12.875% before transaction costs.

We reported $36.2 million and $21.3 million of interest expense for the three months ended March 31, 2010 and 2009, respectively, which is net of: (i) interest income of $105,000 and $177,000, respectively, and (ii) capitalized interest of $145,000 and $232,000, respectively.


 
11

 
FELCOR LODGING TRUST INCORPORATED

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS



4.           Hotel Operating Revenue, Departmental Expenses, and Other Property Operating Costs

Hotel operating revenue from continuing operations was comprised of the following (in thousands):

 
Three Months Ended
March 31,
 
 
2010
 
2009
 
Room revenue
$
177,260
   
$
178,179
   
Food and beverage revenue
 
35,496
     
35,851
   
Other operating departments
 
13,283
     
13,703
   
     Total hotel operating revenue
$
226,039
   
$
227,733
   

Nearly 100% of our revenue in all periods presented was comprised of hotel operating revenue, which includes room revenue, food and beverage revenue, and revenue from other hotel operating departments (such as telephones, parking and business centers).  These revenues are recorded net of any sales or occupancy taxes collected from our guests. All rebates or discounts are recorded, when allowed, as a reduction in revenue, and there are no material contingent obligations with respect to rebates or discounts offered by us.  All revenues are recorded on an accrual basis, as earned.  Appropriate allowances are made for doubtful accounts, which are recorded as a bad debt expense.  The remainder of our revenue was derived from other sources.

Hotel departmental expenses from continuing operations were comprised of the following (in thousands):

 
Three Months Ended March 31,
 
2010
 
2009
 
Amount
 
% of Total Hotel
Operating Revenue
 
Amount
 
% of Total Hotel
Operating Revenue
Room
$
47,787
   
21.1
%
 
$
45,222
   
19.9
%
Food and beverage
 
27,909
   
12.4
     
27,887
   
12.2
 
Other operating departments
 
6,086
   
2.7
     
6,136
   
2.7
 
Total hotel departmental expenses
$
81,782
   
36.2
%
 
$
79,245
   
34.8
%

Other property operating costs from continuing operations were comprised of the following (in thousands):

 
Three Months Ended March 31,
 
2010
 
2009
 
 
 
 
Amount
 
% of Total Hotel
Operating Revenue
 
 
 
 
Amount
 
% of Total Hotel
Operating Revenue
Hotel general and administrative expense
$
21,107
   
9.3
%
 
$
20,894
   
9.2
%
Marketing
 
19,562
   
8.7
     
19,525
   
8.6
 
Repair and maintenance
 
12,949
   
5.7
     
12,560
   
5.5
 
Utilities
 
11,986
   
5.3
     
12,375
   
5.4
 
Total other property operating costs
$
65,604
   
29.0
%
 
$
65,354
   
28.7
%

Hotel departmental expenses and other property operating costs include hotel employee compensation and benefit expenses of $73.4 million and $72.1 million for the three months ended March 31, 2010 and 2009, respectively.

 
12

 
FELCOR LODGING TRUST INCORPORATED

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS



5.           Taxes, Insurance and Lease Expense

Taxes, insurance and lease expense from continuing operations were comprised of the following (in thousands):

 
Three Months Ended
March 31,
 
2010
 
2009
Operating lease expense(a) 
$
11,648
   
$
12,247
 
Real estate and other taxes
 
9,463
     
9,018
 
Property insurance, general liability insurance
 
3,569
     
3,397
 
     Total taxes, insurance and lease expense
$
24,680
   
$
24,662
 

 
(a)
Includes hotel lease expense of $9.5 million and $10.1 million for the three months ended March 31, 2010 and 2009, respectively, associated with hotels owned by unconsolidated entities and leased to our consolidated lessees.  Lease expense includes $3.0 million and $4.4 million in percentage rent for hotel leases and ground leases for the three months ended March 31, 2010 and 2009, respectively.

6.           Impairment

Our hotels comprise operations and cash flows that can clearly be distinguished, operationally and for financial reporting purposes, from the remainder of our operations.  Accordingly, we consider our hotels to be components for purposes of determining impairment charges and reporting discontinued operations.

During the quarter ended March 31, 2010, we determined that we would be unable to negotiate satisfactory modifications or reductions on loans secured by two hotels that make sense for our stockholders.  Therefore, we recorded a $21.1 million impairment charge in connection with our decision to transfer these hotels to the lenders in full satisfaction of the debt secured by that hotel.  These hotels’ cash flows did not cover debt service, and we stopped funding shortfalls in December 2009.  We consider these hotels as part of continuing operations until the hotels are transferred, and the debt satisfied, whereupon we expect to record gains on extinguishment of debt aggregating approximately $12 million.  We estimated the hotelsR 17; fair value by using estimated future cash flows, terminal values based on the projected cash flows and capitalization rates in the range of what is reported in industry publications for operationally similar assets and other available market information.  The cash flows used for determining the fair values were discounted using market based discounts generally used for operationally and geographically similar assets.  The inputs used to determine the fair values of these hotels are classified as Level 3 under the authoritative guidance for fair value measurements.

During the quarter ended March 31, 2009, we recorded a $1.4 million impairment charge related to one of our sale candidate hotels.  This valuation was based on a third-party offer to purchase (a Level 2 input) at a price less than our previously estimated fair value.

We did not have any hotels held for sale at March 31, 2010.  We consider a sale to be probable within the next twelve months (for purposes of determining whether a hotel is held for sale) when a buyer completes its due diligence review of the asset, we have an executed contract for sale, and we have received a substantial non-refundable deposit.

We may be subject to additional impairment charges in the event that operating results of individual hotels are materially different from our forecasts, the economy and lodging industry weakens, or if we shorten our contemplated holding period for certain of our hotels.

 
13

 
FELCOR LODGING TRUST INCORPORATED

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS



7.           Discontinued Operations

Discontinued operations include results of operations of two hotels sold in December 2009.  The following table summarizes the condensed financial information for those hotels (in thousands):

 
Three Months Ended March 31,
 
2010
 
2009
Hotel operating revenue
$
35
   
$
6,269
 
Operating expenses(a) 
 
-   
     
(7,123
)
Income (loss) from discontinued operations
$
35
   
$
(854
)

 
(a)
  Includes impairment charges of $1.4 million during the three months ended March 31, 2009.

8.           Loss Per Share

The following table sets forth computation of basic and diluted loss per share (in thousands, except per share data):

 
Three Months Ended
March 31,
 
2010
 
2009
Numerator:
             
   Net loss attributable to FelCor                                                                                                         
$
(62,388
)
 
$
(21,064
)
   Discontinued operations attributable to FelCor                                                                                                         
 
(35
)
   
850
 
   Loss from continuing operations attributable to FelCor
 
(62,423
)
   
(20,214
)
      Less: Preferred dividends                                                                                                         
 
(9,678
)
   
(9,678
)
   Loss from continuing operations attributable to FelCor common stockholders
 
(72,101
)
   
(29,892
)
   Discontinued operations attributable to FelCor                                                                                                         
 
35
     
(850
)
Numerator for basic and diluted loss attributable to FelCor common stockholders
$
(72,066
)
 
$
(30,742
)
Denominator:
             
   Denominator for basic and diluted loss per share                                                                                                         
 
63,475
     
62,989
 
Basic and diluted loss per share data:
             
   Loss from continuing operations                                                                                                         
$
(1.14
)
 
$
(0.47
)
   Discontinued operations                                                                                                         
$
-   
   
$
(0.01
)
   Net loss                                                                                                         
$
(1.14
)
 
$
(0.49
)

Securities that could potentially dilute earnings per share in the future that were not included in the computation of diluted loss per share, because they would have been antidilutive for the periods presented, are as follows (in thousands):

 
Three Months Ended
 
 
March 31,
 
 
2010
 
2009
 
Series A convertible preferred stock
9,985
   
9,985
   

Series A preferred dividends that would be excluded from net loss attributable to FelCor common stockholders, if these Series A preferred shares were dilutive, were $6.3 million for the three months ended March 31, 2010 and 2009.

 
14

 
FELCOR LODGING TRUST INCORPORATED

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS



9.            Suspension of Dividends

We suspended payment of our common dividend in December 2008 and our preferred dividend in March 2009 (we paid approximately $10 million of preferred dividends in January 2009).  Our ability to pay cash dividends is limited by the indenture governing our senior secured notes whenever we fail to meet a defined financial ratio threshold, as in the current circumstances; consequently, we do not expect to pay any common or preferred cash dividends during 2010.  Dividends are not paid unless declared by our Board of Directors; however, any unpaid preferred dividends continue to accrue, and accrued and current preferred dividends must be paid in full prior to reinstatement of our common dividend.  Our Board of Directors will determine whether to declare future dividends based upon various factors, including o perating results, economic conditions, other operating trends, our financial condition including the outcome of refinancing debt maturities and capital requirements, as well as minimum REIT distribution requirements.  We had accrued $47.3 million and $37.6 million in dividends payable on our Series A and Series C preferred stock at March 31, 2010 and December 31, 2009, respectively.

10.           Noncontrolling Interests

We record the noncontrolling interests of other consolidated partnerships as a separate component of equity in the condensed consolidated balance sheets.  Additionally, the condensed consolidated statements of operations separately present earnings and other comprehensive income attributable to controlling and non-controlling interests.  We adjust the noncontrolling interests of FelCor LP each period so that the carrying value equals the greater of its carrying value based on the accumulation of historical cost or its redemption value.  The historical cost of the noncontrolling interests of FelCor LP is based on the proportional relationship between the carrying value of equity associated with our common stockholders relative to that of the unitholders of FelCo r LP.  Net income (loss) is allocated to the noncontrolling partners of FelCor LP based on their weighted average ownership percentage during the period.  At March 31, 2010, approximately $1.7 million of cash or FelCor common stock, at our option, would be paid to the noncontrolling interests of FelCor LP if the partnership were terminated.  This balance is calculated based on the 294,960 partnership units held by third parties, valued at the March 31, 2010 closing price for our common stock ($5.70/share), which we have assumed would be equal to the value provided to outside partners upon liquidation of FelCor LP on that date.

The changes in redeemable noncontrolling interests for the three months ended March 31, 2010 and 2009 are shown below (in thousands):

 
Three Months Ended
March 31,
 
 
2010
 
2009
 
Balance at beginning of period
$
1,062
   
$
545
   
Redemption value allocation
 
935
     
7
   
Comprehensive income (loss):
               
Foreign exchange translation
 
9
     
(8
)
 
Net loss
 
(325
)
   
(142
)
 
Balance at end of period
$
1,681
   
$
402
   


 
15

 
FELCOR LODGING TRUST INCORPORATED

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS



11.           Fair Value of Financial Instruments

Disclosures about fair value of our financial instruments are based on pertinent information available to management as of March 31, 2010.  Considerable judgment is necessary to interpret market data and develop estimated fair value.  Accordingly, the estimates presented herein are not necessarily indicative of the amounts that we could realize on disposition of the financial instruments.  The use of different market assumptions and/or estimation methodologies may have a material effect on estimated fair value amounts.

Our estimates of the fair value of (i) accounts receivable, accounts payable and accrued expenses approximate carrying value due to the relatively short maturity of these instruments; (ii) our publicly-traded debt is based on observable market data; and (iii) our debt that is not traded publicly is based on estimated effective borrowing rates for debt with similar terms, loan to estimated fair value and remaining maturities (the estimated fair value of all our debt was $1.8 billion at March 31, 2010).

12.           Recently Adopted Accounting Standards

The FASB recently amended its guidance surrounding a company’s analysis to determine whether any of its variable interests constitute controlling financial interests in a variable interest entity.  This analysis identifies the primary beneficiary of a variable interest entity as the enterprise that has both of the following characteristics: a) the power to direct the activities of a variable interest entity that most significantly impact the entity’s economic performance and b) the obligation to absorb losses of the entity that could potentially be significant to the variable interest entity or the right to receive benefits from the entity that could potentially be significant to the variable interest entity.

Additionally, an enterprise is required to assess whether it has an implicit financial responsibility to ensure that a variable interest entity operates as designed when determining whether it has the power to direct the activities of the variable interest entity that most significantly impact the entity’s economic performance.  The new guidance also requires ongoing reassessments of whether an enterprise is the primary beneficiary of a variable interest entity.  The guidance was effective for us beginning January 1, 2010, and accordingly, we have reevaluated our interests in our entities to determine that the entities are reflected properly in the financial statements as investments or consolidated entities.  Based on our evaluation, we have conclud ed that we do not have any variable interest entities that are impacted by this new accounting standard.

13.           Subsequent Events

In May 2010, we entered into a new $212 million loan, secured by nine hotels, that matures in 2015.  The new loan bears interest at LIBOR (subject to a 3.0% floor) plus 5.1%.  The proceeds were used to repay $210 million in loans that were secured by 11 hotels and were scheduled to mature in May.  With this financing, we resolved all of our remaining 2010 debt maturities on terms that are significantly more favorable than the refinanced debt, and we were able to unencumber two previously mortgaged hotels.




 
16

 

Item 2.    Management’s Discussion and Analysis of Financial Condition and Results of Operations

General

Hotel occupancy trends have reversed and demand has begun to improve in 2010, after reaching historic lows in 2009.  Despite improving occupancy, we expect continued pressure on average daily room rates, or ADR, until demand increases significantly.  While we have experienced an increase in demand in recent periods, consumers and business travelers continue to take advantage of the historically high number of available rooms and a near-term shift in pricing power, as well as correspondingly lower ADR.

In the first quarter of 2010, revenue per available room, or RevPAR, at our hotels decreased 0.5%, compared to the first quarter of 2009.  Occupancy at our hotels increased by 7.9%, compared to the prior year, but this was offset by decreases in ADR of 7.8%.  This combination of increased occupancy and lower ADR results in additional pressure on hotel margins because our hotels have more guests, who are paying less.  We continue to work closely with our brand-managers on extensive cost containment initiatives to minimize margin erosion at our hotels.  Many of our hotels have been able to reduce labor costs permanently, and all of our hotels have trimmed non-critical functions.  To this end, while overall costs have increased because of increased occupancy, our hotels have been able to red uce hotel departmental expenses per occupied room by more than 4%, compared to the same quarter last year.

In 2009, we gained more than 1% market share at our hotels, and through the first quarter of 2010, our hotels have been able to slightly improve their overall market position.

In May 2010, we obtained a new $212 million loan, secured by nine hotels, that matures in 2015.  The new loan bears interest at LIBOR (subject to a 3.0% floor) plus 5.1%.  The proceeds were used to repay $210 million in loans that were secured by 11 hotels and were scheduled to mature in May.  With this financing, we resolved all of our remaining 2010 debt maturities on terms that are significantly more favorable than the refinanced debt, and we were able to unencumber two previously mortgaged hotels.  Two remaining loans (totaling $32 million) mature in May 2010.   The cash flows for the hotels that secure those loans do not cover debt service, and we stopped funding the shortfalls in December 2009.  We have been unable to negotiate an acceptable debt modifica tion or reduction that made sense for our stockholders, with regard to these loans.  Therefore, these two hotels will be transferred to the lenders in full satisfaction of the debt.

We suspended our common dividend in December 2008 and our preferred dividend in March 2009.  Although dividends are not paid unless declared by our Board of Directors, unpaid preferred dividends continue to accrue, and accrued and current preferred dividends must be paid in full prior to payment of any common dividends.  Our senior notes currently restrict us from paying any dividends so long as we remain below certain financial ratio thresholds, except to the extent necessary to satisfy the REIT distribution requirement.  Our Board of Directors will determine whether to declare future dividends based upon various factors, including operating results, economic conditions, other operating trends, our financial condition and capital requirements, as well as minimum REIT distribution requirements.


 
17

 


Financial Comparison (in thousands of dollars, except RevPAR and Hotel EBITDA margin)

 
Three Months Ended
March 31,
 
 
% Change
 
2010
 
2009
 
2010-2009
RevPAR
$
82.87
   
$
83.30
     
(0.5
)
%
Hotel EBITDA(a) 
$
51,043
   
$
55,457
     
(8.0
)
%
Hotel EBITDA margin(a) 
 
22.6
%
   
24.4
%
   
(7.4
)
%
Net loss attributable to FelCor(b) 
$
(62,388
)
 
$
(21,064
)
   
(196.2
)
%
____________

 
(a)
Hotel EBITDA and Hotel EBITDA margin are non-GAAP financial measures.  A discussion of the use, limitations and importance of these non-GAAP financial measures and detailed reconciliations to the most comparable GAAP measure are found elsewhere in Management’s Discussion and Analysis of Financial Condition and Results of Operations under the section “Non-GAAP Financial Measures.”

 
(b)
The following amounts are included in net loss attributable to FelCor (in thousands):

   
Three Months Ended
 March 31,
   
2010
 
2009
 
Impairment loss                                                                                           
$
(21,060
)
 
$
-   
 
 
Gain on sale of unconsolidated subsidiary                                                                                           
 
559
     
-   
 


Results of Operations

Comparison of the Three Months Ended March 31, 2010 and 2009

For the three months ended March 31, 2010, we recorded a net loss attributable to common stockholders of $72.1 million, or $1.14 per share, compared to a net loss attributable to common stockholders of $30.7 million, or $0.49 per share, for the same period in 2009.  The increase in the current year loss compared to the same period in 2009 is attributable primarily to a $14.9 million increase in net interest expense, a $21.1 million impairment charge and reduced margins (which reflects increasing occupancy in the face of decreasing ADR).

In the first quarter of 2010:

 
·
Total revenue was $226.4 million, a 0.7% decrease compared to the same period in 2009.  The decrease in revenue is attributed principally to a 0.5% decrease in RevPAR, which reflects a 7.9% increase in occupancy and a 7.8% decrease in ADR.

 
·
Hotel departmental expenses increased $2.5 million compared to the same period in 2009.  As a percentage of total revenue, hotel departmental expenses increased from 34.8% to 36.1% compared to the same period in 2009.  This increase in expense compared to revenue reflects costs associated with the increased occupancy in the face of decreasing ADR.

 
·
Other property related costs increased $250,000 and increased as a percentage of revenue from 28.7% to 29.0% compared to the same period in 2009.

 
·
Management and franchise fees decreased $606,000 compared to the same period in 2009, due to lower revenues. As a percent of total revenue, management and franchise fees remained essentially unchanged.

 
18

 



 
·
Taxes, insurance and lease expense were $24.7 million, consistent with the same period in 2009.  This reflects a $599,000 decrease in operating lease expense (computed as a percentage of hotel revenues in excess of base rent) offset by increases in real estate and other taxes, as well as property and general liability insurance.  Taxes, insurance, and lease expense remained essentially unchanged, relative to total revenue.

 
·
Corporate expenses increased $3.7 million and increased as a percentage of total revenue from 2.7% to 4.3%.  This increase primarily reflects a temporary change in how our long term compensation program is implemented.  Because of the impact of the recession on the trading price of our common stock, our Board of Directors determined that issuing restricted stock at exceptionally low trading prices would be unduly dilutive to our stockholders.  In lieu of issuing restricted stock, restricted cash, with which employees could purchase stock, was granted.  To the extent those grants were subject to payroll tax withholding, amounts withheld were recognized as an expense in the first quarter of 2010, rather than expensed over the normal three-year vesting period.

 
·
Depreciation and amortization expense increased $947,000, compared to the same period in 2009, which is attributable to increased depreciation related to hotel capital expenditures completed in 2009.

 
·
Impairment charge.  During the quarter ended March 31, 2010, we determined that we would be unable to negotiate satisfactory modifications or reductions on loans secured by two hotels that make sense for our stockholders.  Therefore, we recorded a $21.1 million impairment charge in connection with our decision to transfer these hotels to the lenders in full satisfaction of the debt secured by that hotel.  These hotels’ cash flows did not cover debt service, and we stopped funding shortfalls in December 2009.  We consider these hotels as part of continuing operations until the hotels are transferred, and the debt satisfied, whereupon we expect to record gains on extinguishment of debt aggregating approximately $12 million.

 
·
Net interest expense increased $14.9 million compared to the same period in 2009.  This increase is primarily attributable to our $636 million senior secured notes issued in October 2009.

 
·
Equity in loss of unconsolidated entities decreased $2.0 million compared to the same period in 2009 because one of our unconsolidated joint ventures recorded a $2.1 million impairment in the prior year.

 
·
Discontinued operations relates to two hotels sold in December 2009.  We recorded a $1.4 million impairment charge in the first quarter of 2009 with respect to one of those hotels.


Non-GAAP Financial Measures

We refer in this report to certain “non-GAAP financial measures.”  These measures, including Hotel EBITDA and Hotel EBITDA margin, are measures of our financial performance that are not calculated and presented in accordance with GAAP.  The following tables reconcile these non-GAAP measures to the most comparable GAAP financial measure.  Immediately following the reconciliations, we include a discussion of why we believe these measures are useful supplemental measures of our performance and the limitations of such measures.


 
19

 


The following tables detail our computation of Hotel EBITDA, Hotel EBITDA margin, hotel operating expenses and the reconciliation of hotel operating expenses to total operating expenses with respect to our Consolidated Hotels at the dates presented.

Hotel EBITDA and Hotel EBITDA Margin
(dollars in thousands)

 
Three Months Ended
March 31,
 
2010
 
2009
Total revenues
$
226,404
   
$
228,019
 
Other revenue
 
(365
)
   
(286
)
Hotel operating revenue
 
226,039
     
227,733
 
Hotel operating expenses
 
(174,996
)
   
(172,276
)
Hotel EBITDA
$
51,043
   
$
55,457
 
Hotel EBITDA margin(a) 
 
22.6%
     
24.4%
 

(a)
Hotel EBITDA as a percentage of hotel operating revenue.

Reconciliation of Total Operating Expenses to Hotel Operating Expenses
(dollars in thousands)

 
Three Months Ended
March 31 2010
 
2010
 
2009
Total operating expenses
$
251,667
   
$
223,871
 
   Unconsolidated taxes, insurance and lease expense
 
1,888
     
1,934
 
   Consolidated hotel lease expense
 
(9,493
)
   
(10,060
)
   Corporate expenses
 
(9,847
)
   
(6,122
)
   Depreciation and amortization
 
(37,598
)
   
(36,651
)
   Impairment loss
 
(21,060
)
   
-   
 
   Other expenses
 
(561
)
   
(696
)
Hotel operating expenses
$
174,996
   
$
172,276
 

The following tables reconcile net loss to Hotel EBITDA and the ratio of operating income to total revenue to Hotel EBITDA margin.

Reconciliation of Net Loss to Hotel EBITDA
(in thousands)

 
Three Months Ended
March 31,
 
2010
 
2009
Net loss
$
(62,942
)
 
$
(21,422
)
   Discontinued operations
 
(35
)
   
854
 
   Equity in loss (income) from unconsolidated entities
 
1,474
     
3,424
 
   Consolidated hotel lease expense
 
9,493
     
10,060
 
   Unconsolidated taxes, insurance and lease expense
 
(1,888
)
   
(1,934
)
   Interest expense, net
 
36,240
     
21,292
 
   Corporate expenses
 
9,847
     
6,122
 
   Depreciation and amortization
 
37,598
     
36,651
 
   Impairment loss
 
21,060
     
-   
 
   Other expenses
 
561
     
696
 
   Other revenue
 
(365
)
   
(286
)
Hotel EBITDA
$
51,043
   
$
55,457
 

 
20

 



Reconciliation of Ratio of Operating Income (Loss) to Total Revenues to Hotel EBITDA Margin

 
Three Months Ended March 31,
 
2010
 
2009
Ratio of operating income (loss) to total revenues
 
(11.2
)%
   
1.8
%
   Other revenue
 
(0.2
)
   
(0.1
)
   Unconsolidated taxes, insurance and lease expense
 
(0.8
)
   
(0.8
)
   Consolidated hotel lease expense
 
4.2
     
4.4
 
   Other expenses
 
0.3
     
0.3
 
   Corporate expenses
 
4.4
     
2.7
 
   Depreciation and amortization
 
16.6
     
16.1
 
   Impairment loss
 
9.3
     
-   
 
Hotel EBITDA margin
 
22.6
%
   
24.4
%

Hotel EBITDA and Hotel EBITDA Margin

Hotel EBITDA and Hotel EBITDA margin are commonly used measures of performance in the hotel industry and give investors a more complete understanding of the operating results over which our individual hotels and operating managers have direct control.  We believe that Hotel EBITDA and Hotel EBITDA margin are useful to investors by providing greater transparency with respect to two significant measures used by us in our financial and operational decision-making.  Additionally, using these measures facilitates comparisons with other hotel REITs and hotel owners.  We present Hotel EBITDA and Hotel EBITDA margin by eliminating from continuing operations all revenues and expenses not directly associated with hotel operations including corporate-level expenses, depreciation and amortization and expenses related to our capital structure.  We eliminate corporate-level costs and expenses because we believe property-level results provide investors with supplemental information into the ongoing operational performance of our hotels and the effectiveness of management on a property-level basis.  We eliminate depreciation and amortization because, even though depreciation and amortization are property-level expenses, we do not believe that these non-cash expenses, which are based on historical cost accounting for real estate assets and implicitly assume that the value of real estate assets diminishes predictably over time, accurately reflect an adjustment in the value of our assets.    We also eliminate consolidated percentage rent paid to unconsolidated entities, which is effectively eliminated by noncontrolling interests and equity in income from unconsolidated subsidiaries, and include the cost of unconsolidated taxes, insurance and lease expense, to reflect the entire operating co sts applicable to our hotels.

Limitations of Non-GAAP Measures

Our management and Board of Directors use Hotel EBITDA and Hotel EBITDA margin to evaluate the performance of our hotels and to facilitate comparisons between us and other hotel owners, in evaluating hotel-level performance and the operating efficiency of our hotel managers.

The use of these non-GAAP financial measures has certain limitations.  Hotel EBITDA and Hotel EBITDA margin, as presented by us, may not be comparable to these measures as calculated by other companies.  These measures do not reflect certain expenses that we incurred and will incur, such as depreciation and amortization, interest and capital expenditures.  Management compensates for these limitations by separately considering the impact of these excluded items to the extent they are material to operating decisions or assessments of our operating performance.  Our reconciliations to the most comparable GAAP financial measures, and our consolidated statements of operations and cash flows, include interest expense, capital expenditures, and other excluded items, all of which should be considered when evaluating our performance, as well as the usefulness of our non-GAAP financial measures.

 
21

 



These non-GAAP financial measures are used in addition to and in conjunction with results presented in accordance with GAAP.  They should not be considered as alternatives to operating profit, cash flow from operations, or any other operating performance measure prescribed by GAAP.  Hotel EBITDA and Hotel EBITDA margin reflect additional ways of viewing our operations that we believe, when viewed with our GAAP results and the reconciliations to the corresponding GAAP financial measures, provide a more complete understanding of factors and trends affecting our business than could be obtained absent this disclosure.  Management strongly encourages investors to review our financial information in its entirety and not to rely on a single financial measure.

Pro Rata Share of Rooms Owned

The following table sets forth, at March 31, 2010, the pro rata share of hotel rooms owned by us after giving consideration to the portion of rooms owned by our partners in our consolidated and unconsolidated joint ventures:

 
 
Hotels
 
Room Count at
March 31, 2010
 
Consolidated Hotels
83
     
23,854
   
Unconsolidated hotel operations
1
     
171
   
Total hotels
84
     
24,025
   
               
   50% joint ventures
14
     
(1,795
)
 
   60% joint venture
1
     
(214
)
 
   81% joint venture
1
     
(42
)
 
   90% joint ventures
3
     
(68
)
 
   97% joint venture
1
     
(10
)
 
Total rooms owned by joint venture partners
       
(2,129
)
 
Pro rata share of rooms owned
       
21,896
   


 
22

 

Hotel Portfolio Composition

The following table illustrates the distribution of our 83 Consolidated Hotels by brand, market and location at March 31, 2010.

Brand
   
 
Hotels
 
 
Rooms
 
% of
Total Rooms
 
% of 2009
Hotel EBITDA(a)
 
Embassy Suites Hotels
 
47
   
12,132
   
51
   
60
   
Holiday Inn
 
15
   
5,154
   
22
   
18
   
Sheraton and Westin
 
9
   
3,217
   
13
   
9
   
Doubletree
 
7
   
1,471
   
6
   
7
   
Renaissance and Marriott
 
3
   
1,321
   
6
   
3
   
Hilton
 
2
   
559
   
2
   
3
   
                           
Market
                           
South Florida
 
5
   
1,439
   
6
   
8
   
Los Angeles area
 
4
   
899
   
4
   
6
   
Atlanta
 
5
   
1,462
   
6
   
6
   
Orlando
 
4
   
1,038
   
4
   
4
   
Philadelphia
 
2
   
729
   
3
   
4
   
Minneapolis
 
3
   
736
   
3
   
4
   
San Francisco area
 
6
   
2,138
   
9
   
4
   
Dallas
 
4
   
1,333
   
6
   
4
   
Central California Coast
 
2
   
408
   
2
   
4
   
San Antonio
 
3
   
874
   
4
   
3
   
Myrtle Beach
 
2
   
640
   
3
   
3
   
Boston
 
2
   
532
   
2
   
3
   
San Diego
 
1
   
600
   
3
   
3
   
Northern New Jersey
 
3
   
756
   
3
   
3
   
Other
 
37
   
10,270
   
42
   
41
   
                           
Location
                           
Suburban
 
35
   
8,781
   
37
   
32
   
Urban
 
20
   
6,358
   
27
   
27
   
Airport
 
18
   
5,788
   
24
   
24
   
Resort
 
10
   
2,927
   
12
   
17
   

(a)
Hotel EBITDA is a non-GAAP financial measure.  A detailed reconciliation and further discussion of Hotel EBITDA is contained in the “Non-GAAP Financial Measures” section of Management’s Discussion and Analysis of Financial Condition and Results of Operations in Item 2 of this Quarterly Report on Form 10-Q.


 
23

 

Hotel Operating Statistics

The following tables set forth occupancy, ADR and RevPAR for three months ended March 31, 2010 and 2009, and the percentage changes thereto between the periods presented, for our Consolidated Hotels.

Operating Statistics by Brand

 
Occupancy (%)
 
Three Months Ended March 31,
   
 
2010
 
2009
 
%Variance
Embassy Suites Hotels
70.2
 
66.5
 
5.6
 
Holiday Inn
67.6
 
62.5
 
8.1
 
Sheraton and Westin
63.4
 
55.0
 
15.2
 
Doubletree
70.0
 
63.6
 
10.1
 
Renaissance and Marriott
65.3
 
56.3
 
16.0
 
Hilton
46.2
 
47.3
 
(2.3
)
             
Total hotels
67.9
 
62.9
 
7.9
 
             
             
             
 
ADR ($)
 
Three Months Ended March 31,
   
 
2010
 
2009
 
%Variance
Embassy Suites Hotels
128.79
 
138.64
 
(7.1
)
Holiday Inn
104.30
 
110.45
 
(5.6
)
Sheraton and Westin
104.88
 
118.11
 
(11.2
)
Doubletree
118.75
 
139.17
 
(14.7
)
Renaissance and Marriott
183.84
 
201.68
 
(8.8
)
Hilton
95.75
 
97.59
 
(1.9
)
             
Total hotels
122.06
 
132.37
 
(7.8
)
             
             
             
 
RevPAR ($)
 
Three Months Ended March 31,
   
 
2010
 
2009
 
%Variance
Embassy Suites Hotels
90.43
 
92.22
 
(1.9
)
Holiday Inn
70.52
 
69.06
 
2.1
 
Sheraton and Westin
66.51
 
65.01
 
2.3
 
Doubletree
83.12
 
88.47
 
(6.0
)
Renaissance and Marriott
120.08
 
113.55
 
5.8
 
Hilton
44.21
 
46.13
 
(4.2
)
             
Total hotels
82.87
 
83.30
 
(0.5
)



 
24

 

Operating Statistics for Our Top Markets

 
Occupancy (%)
 
Three Months Ended March 31,
   
 
2010
 
2009
 
% Variance
South Florida
85.1
   
79.3
   
7.4
 
Los Angeles area
70.5
   
68.6
   
2.7
 
Atlanta
75.2
   
65.6
   
14.7
 
Orlando
80.9
   
75.1
   
7.7
 
Philadelphia
60.4
   
49.4
   
22.3
 
Minneapolis
67.0
   
60.9
   
10.1
 
San Francisco area
65.3
   
55.9
   
16.8
 
Dallas
65.4
   
59.4
   
10.0
 
Central California Coast
69.7
   
76.6
   
(8.9
)
San Antonio
74.7
   
69.6
   
7.4
 
Myrtle Beach
44.1
   
48.2
   
(8.5
)
Boston
77.1
   
70.6
   
9.2
 
San Diego
71.5
   
64.0
   
11.7
 
Northern New Jersey
59.9
   
59.6
   
0.5
 
 
ADR ($)
 
Three Months Ended March 31,
   
 
2010
 
2009
 
% Variance
South Florida
163.64
   
170.57
   
(4.1
)
Los Angeles area
132.32
   
138.48
   
(4.4
)
Atlanta
105.48
   
111.22
   
(5.2
)
Orlando
114.47
   
131.55
   
(13.0
)
Philadelphia
111.42
   
129.62
   
(14.0
)
Minneapolis
125.73
   
131.14
   
(4.1
)
San Francisco area
122.73
   
120.64
   
1.7
 
Dallas
112.99
   
126.94
   
(11.0
)
Central California Coast
138.16
   
136.52
   
1.2
 
San Antonio
98.33
   
105.65
   
(6.9
)
Myrtle Beach
96.37
   
98.43
   
(2.1
)
Boston
120.19
   
126.00
   
(4.6
)
San Diego
115.09
   
132.31
   
(13.0
)
Northern New Jersey
132.26
   
151.68
   
(12.8
)
 
RevPAR ($)
 
Three Months Ended March 31,
   
 
2010
 
2009
 
% Variance
South Florida
139.33
   
135.25
   
3.0
 
Los Angeles area
93.23
   
95.04
   
(1.9
)
Atlanta
79.36
   
72.99
   
8.7
 
Orlando
92.65
   
98.84
   
(6.3
)
Philadelphia
67.34
   
64.05
   
5.1
 
Minneapolis
84.26
   
79.80
   
5.6
 
San Francisco area
80.11
   
67.43
   
18.8
 
Dallas
73.89
   
75.44
   
(2.1
)
Central California Coast
96.33
   
104.53
   
(7.8
)
San Antonio
73.46
   
73.48
   
-   
 
Myrtle Beach
42.53
   
47.49
   
(10.4
)
Boston
92.67
   
88.95
   
4.2
 
San Diego
82.33
   
84.72
 
.8
(2.8
)
Northern New Jersey
79.22
   
90.37
   
(12.3
)


 
25

 

Hotel Portfolio

The following table sets forth certain descriptive information regarding the 84 hotels in which we held ownership interest at March 31, 2010.

   
Brand
   
State
   
Rooms
 
% Owned(a)
 
Consolidated Hotels
         
Birmingham
Embassy Suites Hotel
AL
  242
 
Phoenix – Biltmore
Embassy Suites Hotel
AZ
  232
 
Phoenix – Crescent
Sheraton
AZ
  342
 
Phoenix – Tempe
Embassy Suites Hotel
AZ
  224
 
Anaheim – North
Embassy Suites Hotel
CA
  222
 
Dana Point – Doheny Beach
Doubletree Guest Suites
CA
  196
 
Indian Wells – Esmeralda Resort & Spa
Renaissance Resort
CA
560
 
Los Angeles – International Airport/South
Embassy Suites Hotel
CA
  349
97%
Milpitas – Silicon Valley
Embassy Suites Hotel
CA
  266
 
Napa Valley
Embassy Suites Hotel
CA
  205
 
Oxnard – Mandalay Beach – Hotel & Resort
Embassy Suites Hotel
CA
  248
 
San Diego – On the Bay
Holiday Inn
CA
  600
 
San Francisco – Airport/Burlingame
Embassy Suites Hotel
CA
  340
 
San Francisco – Airport/South San Francisco
Embassy Suites Hotel
CA
  312
 
San Francisco – Fisherman’s Wharf
Holiday Inn
CA
  585
 
San Francisco – Union Square
Marriott
CA
  400
 
San Rafael – Marin County
Embassy Suites Hotel
CA
  235
50%
Santa Barbara – Goleta
Holiday Inn
CA
  160
 
Santa Monica Beach – at the Pier
Holiday Inn
CA
132
 
Wilmington
Doubletree
DE
  244
90%
Boca Raton
Embassy Suites Hotel
FL
  263
 
Deerfield Beach – Resort & Spa
Embassy Suites Hotel
FL
  244
 
Ft. Lauderdale – 17th Street
Embassy Suites Hotel
FL
  361
 
Ft. Lauderdale – Cypress Creek
Sheraton Suites
FL
  253
 
Jacksonville – Baymeadows
Embassy Suites Hotel
FL
  277
 
Miami – International Airport
Embassy Suites Hotel
FL
  318
 
Orlando – International Airport
Holiday Inn
FL
  288
 
Orlando – International Drive South/Convention
Embassy Suites Hotel
FL
  244
 
Orlando– North
Embassy Suites Hotel
FL
  277
 
Orlando – Walt Disney World Resort
Doubletree Guest Suites
FL
  229
 
St. Petersburg – Vinoy Resort & Golf Club
Renaissance Resort
FL
361
 
Tampa – Tampa Bay
Doubletree Guest Suites
FL
  203
 
Atlanta – Airport
Embassy Suites Hotel
GA
  232
 
Atlanta – Buckhead
Embassy Suites Hotel
GA
  316
 
Atlanta – Galleria
Sheraton Suites
GA
  278
 
Atlanta – Gateway – Atlanta Airport
Sheraton
GA
  395
 
Atlanta – Perimeter Center
Embassy Suites Hotel
GA
  241
50%
Chicago – Lombard/Oak Brook
Embassy Suites Hotel
IL
262
50%
Chicago – North Shore/Deerfield
Embassy Suites Hotel
IL
237
 
Chicago – Gateway – O’Hare
Sheraton Suites
IL
296
 
Indianapolis – North
Embassy Suites Hotel
IN
221
81%
Kansas City – Overland Park
Embassy Suites Hotel
KS
199
50%
Lexington – Lexington Green
Hilton Suites
KY
174
 
Baton Rouge
Embassy Suites Hotel
LA
223
 


 
26

 

Hotel Portfolio (continued)


   
Brand
   
State
 
Rooms
 
% Owned(a)
New Orleans – Convention Center
Embassy Suites Hotel
LA
370
 
New Orleans – French Quarter
Holiday Inn
LA
374
 
Boston – at Beacon Hill
Holiday Inn
MA
303
 
Boston – Marlborough
Embassy Suites Hotel
MA
229
 
Baltimore – at BWI Airport
Embassy Suites Hotel
MD
251
90%
Bloomington
Embassy Suites Hotel
MN
218
 
Minneapolis – Airport
Embassy Suites Hotel
MN
310
 
St. Paul – Downtown
Embassy Suites Hotel
MN
208
 
Kansas City – Plaza
Embassy Suites Hotel
MO
266
50%
Charlotte
Embassy Suites Hotel
NC
274
50%
Charlotte – SouthPark
Doubletree Guest Suites
NC
208
 
Raleigh/Durham
Doubletree Guest Suites
NC
203
 
Raleigh – Crabtree
Embassy Suites Hotel
NC
225
50%
Parsippany
Embassy Suites Hotel
NJ
274
50%
Piscataway – Somerset
Embassy Suites Hotel
NJ
221
 
Secaucus – Meadowlands
Embassy Suites Hotel
NJ
261
50%
Philadelphia – Historic District
Holiday Inn
PA
364
 
Philadelphia – Society Hill
Sheraton
PA
365
 
Pittsburgh – at University Center (Oakland)
Holiday Inn
PA
251
 
Charleston – Mills House
Holiday Inn
SC
214
 
Myrtle Beach – Oceanfront Resort
Embassy Suites Hotel
SC
255
 
Myrtle Beach Resort
Hilton
SC
385
 
Nashville – Airport – Opryland Area
Embassy Suites Hotel
TN
296
 
Nashville – Opryland – Airport (Briley Parkway)
Holiday Inn
TN
383
 
Austin
Doubletree Guest Suites
TX
188
90%
Austin – Central
Embassy Suites Hotel
TX
260
50%
Corpus Christi
Embassy Suites Hotel
TX
150
 
Dallas – DFW International Airport South
Embassy Suites Hotel
TX
305
 
Dallas – Love Field
Embassy Suites Hotel
TX
248
 
Dallas – Market Center
Embassy Suites Hotel
TX
244
 
Dallas – Park Central
Westin
TX
536
60%
Houston – Medical Center
Holiday Inn
TX
287
 
San Antonio – International Airport
Embassy Suites Hotel
TX
261
50%
San Antonio – International Airport
Holiday Inn
TX
397
 
San Antonio – NW I-10
Embassy Suites Hotel
TX
216
50%
Burlington Hotel & Conference Center
Sheraton
VT
309
 
Vienna – Premiere at Tysons Corner
Sheraton
VA
443
50%
         
Canada
       
Toronto – Airport
Holiday Inn
Ontario
446
 
Toronto – Yorkdale
Holiday Inn
Ontario
370
 
         
Unconsolidated Hotel
   
New Orleans – French Quarter – Chateau LeMoyne
Holiday Inn
LA
171
50%

 
(a)
We own 100% of the real estate interests unless otherwise noted.


 
27

 

Liquidity and Capital Resources

Operating Activities

During the first quarter of 2010, cash from hotel operations satisfied most of our cash requirements.  For the quarter, cash provided by operating activities (primarily hotel operations) was $28.5 million, which reflects a $4.1 million increase, from the same period in 2009, due primarily to increases in accrued expenses (largely from a change in interest payment dates and increased rates on our senior debt), partially offset by declining hotel revenues. At March 31, 2010, we had $276.0 million of cash on hand, including approximately $46.7 million held under management agreements to meet working capital needs.

Travel spending has fallen sharply in the face of the global recession.  Lodging demand was weak in 2009, which adversely affected our Consolidated Hotel RevPAR.  In the first quarter of 2010, occupancy strengthened but was offset by weaker ADR.  We expect our 2010 RevPAR will range from flat to a 3% improvement compared to 2009, which assumes growth in occupancy and a decline in ADR (creating pressure on operating margins).  We expect our cash from operating activities in 2010 to range from $20 million to $30 million.

We are subject to increases in hotel operating expenses, including wage and benefit costs, repair and maintenance expenses, utilities and insurance expenses that can fluctuate disproportionately to revenues.  Some of these operating expenses are difficult to predict and control, which lends volatility in our operating results.  We have implemented extensive cost containment initiatives at our hotels, including reducing headcount and improving productivity and energy efficiency.  If RevPAR decreases and/or Hotel EBITDA margins shrink, our operations, earnings and/or cash flow could be materially adversely affected.

Investing Activities

During the first quarter of 2010 cash used in investing activities decreased $13.4 million, compared to the same period in 2009, due primarily to lower spending on hotel capital expenditures.We made extensive capital investments in our hotels from 2006 to 2008, and now nearly all of our hotels have been renovated.  We expect to spend a normal amount of capital going forward to maintain the quality of our hotels.  As a result, we were able to limit capital spending significantly in 2009, and we expect to spend a limited amount of capital in the near future without compromising the value and quality of our hotels.  In the first quarter of 2010, we completed approximately $8.2 million of capital improve ments at our hotels and we expect to spend approximately $42 million in 2010.

Our liquidity-preservation efforts also extend to acquisitions and redevelopment projects. We did not acquire any hotels during 2008 or 2009 and postponed spending on redevelopment projects, other than to advance ongoing approval and entitlement processes.

In order to enhance long-term shareholder value, as part of our strategic plan (as in the past and as market conditions allow), we intend to sell lower-growth hotels that no longer meet our investment criteria, thereby freeing our capital for redeployment (e.g., reduce overall leverage, acquire other hotels and invest in remaining FelCor properties).  We regularly evaluate demand and supply trends for each hotel, portfolio concentration risk and future capital needs.  We expect to identify additional hotels for sale when hotel cash flows recover and the hotel transaction market improves.

Financing Activities

During the first quarter of 2010, cash provided by financing activities decreased by $8.4 million compared to the same period in 2009, due primarily to first quarter 2009 borrowing under our line of credit.  We expect to pay approximately $13 million in normally occurring principal payments in 2010, which will be funded from operating cash flow and cash on hand.

 
28

 



We suspended payment of our common dividend in December 2008 and our preferred dividend in March 2009 (we paid approximately $10 million of preferred dividends in January 2009).  Our ability to pay cash dividends is limited by the indenture governing our senior secured notes whenever we fail to meet a defined financial ratio threshold, as in the current circumstances; consequently, we do not expect to pay any common or preferred cash dividends during 2010.  Dividends are not paid unless declared by our Board of Directors; however, any unpaid preferred dividends continue to accrue, and accrued and current preferred dividends must be paid in full prior to reinstatement of our common dividend.  Our Board of Directors will determine whether to declare future dividends based upon various factors, including o perating results, economic conditions, other operating trends, our financial condition including the outcome of refinancing debt maturities and capital requirements, as well as minimum REIT distribution requirements.

Capital markets, and our access to financing on reasonably acceptable terms, have historically been affected by external events and circumstances, such as recessions, major bank failures, rising unemployment, shrinking GDP, acts of terrorism, etc.  Events or circumstances of similar magnitude or impact could adversely affect the availability and cost of our capital going forward.

Secured Debt. At March 31, 2010, we had a total of $1.7 billion of consolidated secured debt with 67 encumbered consolidated hotels with a $2.0 billion aggregate net book value (including 14 hotels that are encumbered by our senior secured notes).  In May 2010, we obtained a new five-year loan for approximately $212 million secured by nine hotels.  The loan proceeds were used to repay $210 million in loans scheduled to mature in May 2010, secured by 11 hotels (including the nine hotels securing the new loan).  The new loan bears interest at LIBOR (subject to a 3% floor) plus 5.10%.   With this new financing, we resolved all of our remaining 2010 maturit ies on terms that are significantly more favorable than the refinanced debt, and we were able to unencumber two previously mortgaged hotels.  In February 2010, we extended the maturity of a loan secured by a hotel from May 2010 to May 2013.  Two remaining loans (totaling $32 million) mature in May 2010.  The cash flows for the hotels that secure those loans do not cover debt service, and we stopped funding the shortfalls in December 2009.  We have been unable to negotiate an acceptable debt modification or reduction that made sense for our stockholders, with regard to these loans.  Therefore, these two hotels will be transferred to the lenders in full satisfaction of the debt.

Except in the case of our senior secured notes, our mortgage debt is generally recourse solely to the specific hotels securing the debt except in case of fraud, misapplication of funds and other customary recourse carve-out provisions, which could extend recourse to us.  Much of our secured debt allows us to substitute collateral under certain conditions and is prepayable, subject to various prepayment, yield maintenance or defeasance obligations.

Some of our secured debt includes lock-box arrangements under certain circumstances. We are generally permitted to retain an amount required to cover our budgeted hotel operating expenses, taxes, debt service, insurance and capital expenditure reserves, but the remaining revenues flow through a lock-box if a specified debt service coverage ratio is not met.  With the exception of one hotel, all of our hotels subject to lock-box provisions currently exceed the applicable minimum debt service coverage ratios.

Senior Notes.   In October 2009, we issued $636 million in aggregate principal amount of our 10% senior secured notes due 2014.  These notes require that we satisfy total leverage, secured leverage and interest coverage tests in order to: (i) incur additional indebtedness except to refinance maturing debt with replacement debt, as defined under our indentures; (ii) pay dividends in excess of the minimum distributions required to meet the REIT qualification test; (iii) repurchase capital stock; or (iv) merge.  We are currently prohibited from paying dividends on our preferred or common stock, except to the extent necessary to satisfy the REIT qualification requirement that we distribute currently at least 90% of our taxable income.   These notes are guaranteed by us, and payment of those obligations is secured by a pledge of the limited partner interests in FelCor LP owned by FelCor,
 
29

 


a combination of first lien mortgages and related security interests and/or negative pledges on up to 14 hotels, and pledges of equity interests in certain subsidiaries of FelCor LP.  In addition, we redeemed all of our floating-rate senior notes and all but $87 million of our 8½% senior notes and amended the indenture governing the latter to eliminate substantially all of the restrictive covenants, guarantees, collateral and certain events of default provisions. 

Interest Rate Caps.  To fulfill requirements under certain loans, we entered into interest rate cap agreements with aggregate notional amounts of $427.2 million at March 31, 2010 and December 31, 2009.  These interest rate caps were not designated as hedges and had insignificant fair values at both March 31, 2010 and December 31, 2009, resulting in no significant net earnings impact.

Inflation

Operators of hotels, in general, possess the ability to adjust room rates daily to reflect the effects of inflation.  Competition may, however, require us to reduce room rates in the near term and may limit our ability to raise room rates in the future.  We are also subject to the risk that inflation will cause increases in hotel operating expenses disproportionately to revenues.  If competition requires us to reduce room rates or limits our ability to raise room rates in the future, we may not be able to adjust our room rates to reflect the effects of inflation in full, in which case our operating results and liquidity could be adversely affected.

Seasonality

The lodging business is seasonal in nature.  Generally, hotel revenues are greater in the second and third calendar quarters than in the first and fourth calendar quarters, although this may not be true for hotels in major tourist destinations. Revenues for hotels in tourist areas generally are substantially greater during tourist season than other times of the year. Seasonal variations in revenue at our hotels can be expected to cause quarterly fluctuations in our revenues. Quarterly earnings also may be adversely affected by events beyond our control, such as extreme weather conditions, economic factors and other considerations affecting travel.  To the extent that cash flow from operations is insufficient during any quarter, due to temporary or seasonal fluctuation s in revenues, we may utilize cash on hand or borrowings to satisfy our obligations.

Disclosure Regarding Forward-Looking Statements

This report and the documents incorporated by reference in this report include forward-looking statements that involve a number of risks and uncertainties.  Forward-looking statements can be identified by the use of forward-looking terminology, such as “believes,” “expects,” “anticipates,” “may,” “will,” “should,” “seeks”, or other variations of these terms (including their use in the negative), or by discussions of strategies, plans or intentions.  A number of factors could cause actual results to differ materially from those anticipated by these forward-looking statements.  Certain of these risks and uncertainties are described in greater detail under “Risk Factors” ; in our Annual Report on Form 10-K or in our other filings with the Securities and Exchange Commission, or the SEC.

These forward-looking statements are necessarily dependent upon assumptions and estimates that may prove to be incorrect. Accordingly, while we believe that the plans, intentions and expectations reflected in these forward-looking statements are reasonable, we cannot assure you that deviations from these plans, intentions or expectations will not be material.  The forward-looking statements included in this report, and all subsequent written and oral forward-looking statements attributable to us or persons acting on our behalf, are expressly qualified in their entirety by the risk factors and cautionary statements discussed in our filings to the SEC.  We undertake no obligation to publicly update any forward-looking statements to reflect future circumstances or changes i n our expectations.

 
30

 

Item 3.  Quantitative and Qualitative Disclosures about Market Risk

Quantitative and Qualitative Disclosures About Market Risk

At March 31, 2010, approximately 65% of our consolidated debt had fixed interest rates.

The following table provides information about our financial instruments that are sensitive to changes in interest rates.  For debt obligations, the table presents scheduled maturities and weighted average interest rates, by maturity dates.  The fair value debt indicates the estimated principal amount of debt having the same debt service requirements that could have been borrowed at the date presented, at then current market interest rates.

Expected Maturity Date
at March 31, 2010
(dollars in thousands)

 
Expected Maturity Date
 
2010
 
2011
 
2012
 
2013
 
2014
 
Thereafter
 
Total
 
Fair Value
Liabilities
 
Fixed-rate:
                                             
  Debt
$
247,918
 
$
105,965
 
$
4,544
 
$
32,690
 
$
805,052
 
$
9,376
 
$
1,205,545
   
1,234,079
  Average interest rate
 
8.70%
   
8.62%
   
7.68%
   
8.61%
   
9.61%
   
5.81%
   
9.27%
     
Floating-rate:
                                             
  Debt
 
1,809
   
448,300
   
177,225
   
-   
   
-   
   
-   
   
627,334
   
558,681
  Average interest rate(a)
 
5.20%
   
3.76%
   
4.26%
   
-   
   
-   
   
-   
   
3.91%
     
Total debt
$
249,727
 
$
554,265
 
$
181,769
 
$
32,690
 
$
805,052
 
$
9,376
 
$
1,832,879
     
  Average interest rate
 
8.67%
   
4.69%
   
4.35%
   
8.61%
   
9.61%
   
5.81%
   
7.43%
     
Net discount
                                     
(61,764
)
   
    Total debt
                                   
$
1,771,115
     

 
(a)
The average floating interest rate represents the implied forward rates in the yield curve at March 31, 2010.

Item 4.  Controls and Procedures

(a)           Evaluation of disclosure controls and procedures.
 
Under the supervision and with the participation of our management, including our chief executive officer and chief financial officer, we conducted an evaluation of the effectiveness of the design and operation of our disclosure controls and procedures (as defined in Rule 13a-15(e) promulgated under the Securities Exchange Act of 1934) as of the end of the period covered by this report (the “Evaluation Date”).  Based on this evaluation, our chief executive officer and chief financial officer concluded, as of the Evaluation Date, that our disclosure controls and procedures were effective, such that the information relating to us required to be disclosed in our reports is recorded, processed, summarized and reported within the time periods specified in SEC rules and f orms, and is accumulated and communicated to our management, including our chief executive officer and chief financial officer, as appropriate, to allow timely decisions regarding required disclosures.

(b)           Changes in internal control over financial reporting.

There have not been any changes in our internal control over financial reporting (as defined in Rule 13a-15(f) promulgated under the Securities Exchange Act of 1934) during the quarter covered by this report that have materially affected, or are reasonably likely to materially affect, our internal control over financial reporting.


 
31

 

PART II -- OTHER INFORMATION

Item 5.                      Other Information

On May 3, 2010, certain of our subsidiaries entered into a Credit Agreement (the “Loan Agreement”) with Fortress Credit Corp., as the administrative agent and lender, and the other lenders thereto, providing for a loan in the original principal amount of $212,000,000 (the “Loan”).  The Loan has a term of five years, and bears a variable interest rate (LIBOR, subject to a floor of 3%, plus 5.10%).  The Loan is secured by first priority mortgages on nine hotel properties owned by certain of the borrowers and a pledge of the equity interests of the borrowers.  The Loan Agreement, which contains no corporate-level financial covenants, includes prepayment rights and allows for partial release of collateral, subject to certain conditions.  ; The loan is subject to acceleration upon the occurrence of certain events of default.  The Loan is nonrecourse, except for certain customary recourse carveouts.  Our operating partnership, FelCor LP, has guaranteed the recourse carveouts.  The proceeds from the Loan were used to repay existing $210 million in loans maturing in May 2010, which were secured by 11 hotels, including the nine hotels securing the new loan, leaving two hotels unencumbered.

Item 6.                      Exhibits

           The following exhibits are furnished in accordance with the provisions of Item 601 of Regulation S-K:

Exhibit Number
 
Description of Exhibit
 
4.1
 
Third Supplemental Indenture, dated as of March 23, 2010, by and among FelCor Lodging Trust Incorporated, FelCor Lodging Limited Partnership, certain of their subsidiaries, as guarantors, and U.S. Bank National Association, as trustee and collateral agent, relating to the 10% Senior Secured Notes due 2014.
     
10.1
 
Form of Mortgage, Deed of Trust, Assignment of Leases and Rents, Security Agreement and Fixture Filing by and among FelCor Lodging Trust Incorporated, FelCor Lodging Limited Partnership, certain of their subsidiaries, as guarantors, and U.S. Bank National Association, as trustee and collateral agent, relating to the 10% Senior Secured Notes due 2014.
     
31.1
 
Certification of the Chief Executive Officer pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.
     
31.2
 
Certification of the Chief Financial Officer pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.
     
32.1
 
Certification of the Chief Executive Officer pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.
     
32.2
 
Certification of the Chief Financial Officer pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.


 
32

 


SIGNATURE

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.



   
FELCOR LODGING TRUST INCORPORATED
     
     
     
Date:  May 3, 2010
By:
/s/ Lester C. Johnson
   
Name:
Title:
Lester C. Johnson
Senior Vice President, Chief Accounting Officer


 
33
 

EX-4.1 2 exh4_1qform10-q.htm EXHIBIT 4.1 TO FELCOR 1Q 2010 FORM 10-Q exh4_1qform10-q.htm
 
 
Exhibit 4.1
 
Execution Copy


FELCOR LODGING LIMITED PARTNERSHIP,
FELCOR LODGING TRUST INCORPORATED
FELCOR/ST. PAUL HOLDINGS, L.P.
FELCOR/CSS HOLDINGS, L.P.
FELCOR HOTEL ASSET COMPANY, L.L.C.
FELCOR LODGING HOLDING COMPANY, L.L.C.
FELCOR CANADA CO.
FELCOR TRS HOLDINGS, L.L.C.
FELCOR TRS BORROWER 1, L.P.
FELCOR TRS BORROWER 4, L.L.C.,
as Guarantors,
FELCOR HOLDINGS TRUST
as Pledgor

AND
U.S. BANK NATIONAL ASSOCIATION,
as Trustee
 
Third Supplemental Indenture
 
Dated as of March 23, 2010
 
Supplemental Indenture to the Indenture
dated as of October 1, 2009
with respect to the
10% Senior Secured Notes due 2014

 
 

 

Third Supplemental Indenture (this “Third Supplemental Indenture”), dated as of March 23, 2010 among FelCor Lodging Limited Partnership, a Delaware limited partnership (“FelCor LP”), FelCor Lodging Trust Incorporated, a Maryland corporation (“FelCor”), FelCor Hotel Asset Company, L.L.C., a Delaware limited liability company, FelCor Lodging Holding Company, L.L.C., a Delaware limited liability company, FelCor Canada Co., a Nova Scotia unlimited liability company, FelCor TRS Borrower 4, L.L.C., a Delaware limited liability company, FelCor/CSS Holdings, L.P., a Delaware limited partnership, FelCor/St. Paul Holdings, L.P., a Delaware limited partnership, FelCor TRS Holdings, L.L.C., a Delaware limited liability company, FelCor TRS Borrower 1, L.P., a Delaware limited partnership ( collectively, the “Subsidiary Guarantors” and together with FelCor, the “ Guarantors”) , FelCor Holdings Trust, a Massachusetts business trust as a pledgor, and U.S. Bank National Association, as trustee and collateral agent under the indenture referred to below (in such capacities, the “Trustee” and the “Collateral Agent”).
 
W I T N E S S E T H
 
WHEREAS, FelCor Escrow Holdings, L.L.C., a Delaware limited liability company, (“Escrow Subsidiary”), executed and delivered to the Trustee an indenture dated as of October 1, 2009, and pursuant to the Second Supplemental Indenture dated as of October 13, 2009, FelCor LP assumed all rights and obligations of Escrow Subsidiary under the Indenture and Escrow Subsidiary was released of all rights and obligations under the Indenture;
 
WHEREAS, pursuant to the Indenture, as amended and supplemented to date (collectively, the “Indenture”), FelCor LP has issued and outstanding $636,000,000 aggregate principal amount of 10% Senior Secured Notes due 2014 (the “Notes”);
 
WHEREAS, FelCor, FelCor LP, the Subsidiary Guarantors, FelCor Holdings Trust, the Trustee and the Collateral Agent desire to amend the Indenture to clarify their intentions that certain protections and rights in favor of the Collateral Agent, set forth in this Third Supplemental Indenture should have been included in the Indenture as of October 1, 2009; and
 
WHEREAS, Section 9.01 of the Indenture provides that a supplement indenture may be entered into by the FelCor, FelCor LP  the Pledgors and the Subsidiary Guarantors to cure any ambiguity, defect or inconsistency in the Indenture provided that such amendments or supplements shall not adversely affect the interests of the Holders in any material respects without notice to or the consent of any Holder, and Section 9.01 of the Indenture also provides that a supplement indenture may be entered into by FelCor, FelCor LP the Pledgors and the Subsidiary Guarantors to make any change that, in the good faith opinion of the Board of Directors as evidenced by a Board Resolution, does not materially and adversely affect the rights of any Holder.
 
 NOW THEREFORE, in consideration of the foregoing and for other good and valuable consideration, the receipt of which is hereby acknowledged, FelCor, FelCor LP, each Subsidiary Guarantor, FelCor Holdings Trust and the Trustee mutually covenant and agree for the equal and ratable benefit of the Holders of the Notes as follows:
 
SECTION 1. Definitions.  For all purposes of the Indenture and this Third Supplemental Indenture, except as otherwise expressly provided or unless the context otherwise requires:
 
(a)           the words “herein,” “hereof” and “hereunder” and other words of similar import refer to the Indenture and this Third Supplemental Indenture as a whole and not to any particular Article, Section or subdivision; and
 
(b)           capitalized terms used but not defined in this Third Supplemental Indenture shall have the meanings assigned to them in the Indenture.
 
SECTION 2. Article Twelve of the Indenture is hereby amended by adding a new Section 12.13 immediately following Section 12.12:
 

 
 

 
 
Section 12.13 Duties of Collateral Agent
 
(a)           All rights, privileges, protections, immunities, exemptions from liability and indemnities contained in this Indenture in favor of the Trustee, including, without limitation Article Seven of this Indenture shall apply to U.S. Bank National Association in its capacity as Collateral Agent under the Indenture, the Pledge Agreement, the Escrow Agreement and each of the other Collateral Documents to which it is a party as if such rights, privileges, protections, immunities, exemptions from liability and indemnities were specifically set out in each such document, provided that in Section 7.07 of the Indenture, any references to negligence shall deemed to be gross negligence when construing these provisions in favor of the Collateral Agent.  
 
(b)           The Collateral Agent’s sole duty with respect to the custody, safekeeping and physical preservation of the Collateral in its possession, shall be to deal with it in the same manner as the Collateral Agent deals with similar property for its own account.  Neither the Collateral Agent nor any of its officers, directors, employees or agents shall be liable for failure to demand, collect or realize upon any of the Collateral or for any delay in doing so or shall be under any obligation to sell or otherwise dispose of any Collateral upon the request of any Grantor or any other Person or to take any other action whatsoever with regard to the Collateral or any part thereof.  The powers conferred on the Collateral Agent hereunder a re solely to protect their interests in the Collateral and shall not impose any duty upon any of them to exercise any such powers.  The Collateral Agent shall be accountable only for amounts that they actually receive as a result of the exercise of such powers, and neither they nor any of their officers, directors, employees or agents shall be responsible to any Grantor for any act or failure to act hereunder, except for their own gross negligence or willful misconduct nor shall they be liable or responsible for any loss or damage to any Collateral, or for any diminution in the value thereof, except for their own gross negligence or willful misconduct.
 
(c)           The Collateral Agent shall not be responsible for, nor incur any liability with respect to, (i) the existence, genuineness or value of any of the Collateral or for the validity, perfection, priority or enforceability of the security interest in any of the Collateral, whether impaired by operation of law or by reason of any action or omission to act on its part under this Indenture or any of the other Collateral Documents, except to the extent such action or omission constitutes gross negligence or willful misconduct on the part of the Collateral Agent, (ii) the validity or sufficiency of the Collateral or any agreement or assignment contained therein, (iii) the validity of the title of the Grantors to the Collateral, (iv) insuring the Collateral or (v) the pa yment of taxes, charges or assessments upon the Collateral or otherwise as to the maintenance of the Collateral.
 
(d)           Notwithstanding anything in this Indenture or any of the Collateral Documents to the contrary, (i) in no event shall the Collateral Agent or any officer, director, employee, representative or agent of the Collateral Agent be liable under or in connection with this Indenture or any of the Collateral Documents for indirect, special, incidental, punitive or consequential losses or damages of any kind whatsoever, including but not limited to lost profits or loss of opportunity, whether or not foreseeable, even if the Collateral Agent has been advised of the possibility thereof and regardless of the form of action in which such damages are sought.
 

SECTION 3. NEW YORK LAW TO GOVERN.  THE INTERNAL LAW OF THE STATE OF NEW YORK SHALL GOVERN AND BE USED TO CONSTRUE THIS THIRD SUPPLEMENTAL INDENTURE BUT WITHOUT GIVING EFFECT TO APPLICABLE PRINCIPLES OF CONFLICTS OF LAW TO THE EXTENT THAT THE APPLICATION OF THE LAWS OF ANOTHER JURISDICTION WOULD BE REQUIRED THEREBY.
 

SECTION 4. Successors and Assigns.  All agreements of FelCor, FelCor LP, the Subsidiary Guarantors and FelCor Holdings Trust in this Third Supplemental Indenture shall bind their respective successors and assigns.  All agreements of the Trustee in this Third Supplemental Indenture shall bind its successors.

 
2

 


SECTION 5. Separability.  In case any provision of this Third Supplemental Indenture shall be invalid, illegal or unenforceable, the validity, legality and enforceability of the remaining provisions shall not in any way be affected or impaired thereby.
 
SECTION 6. Effect of Headings.  The Section headings herein are for convenience only and shall not affect the construction hereof.
 
SECTION 7. Counterparts.  The parties may sign any number of copies of this Third Supplemental Indenture.  Each signed copy shall be an original, but all of them together represent the same agreement.
 
[Signature Page Follows]

 
3

 

IN WITNESS WHEREOF, the parties hereto have caused this Third Supplemental Indenture to be duly executed as of the date first above written.
 
 
FELCOR LODGING LIMITED PARTNERSHIP,
a Delaware limited partnership
 
By:
FELCOR LODGING TRUST INCORPORATED, as
 
general partner
 
       
       
 
By:
/s/Allison Navitskas
   
Name:
Allison Navitskas
   
Title:
Vice President
 

 
FELCOR LODGING TRUST INCORPORATED,
a Maryland corporation
       
       
 
By:
/s/Allison Navitskas
   
Name:
Allison Navitskas
   
Title:
Vice President
 


S-1
 
 

 


 
  FELCOR/ST. PAUL HOLDINGS, L.P., a Delaware limited partnership
 
By:
FELCOR/CSS HOTELS, L.L.C., as general partner
 
FELCOR/CSS HOLDINGS, L.P.,
a Delaware limited partnership
 
By:
FELCOR CSS HOTELS, L.L.C.,
 
a Delaware limited liability company, its general partner
 
FELCOR HOTEL ASSET COMPANY, L.L.C.,
 
a Delaware limited liability company
 
FELCOR LODGING HOLDING COMPANY, L.L.C.,
 
a Delaware limited liability company
 
FELCOR CANADA CO.,
 
a Nova Scotia unlimited liability company
 
FELCOR TRS HOLDINGS, L.L.C.,
 
a Delaware limited liability company
 
FELCOR TRS BORROWER 1, L.P.,
 
a Delaware limited partnership
 
By:
FELCOR TRS BORROWER GP 1, L.L.C., its
 
general partner
 
FELCOR TRS BORROWER 4, L.L.C.,
 
a Delaware limited liability company
 
By:
/s/Allison Navitskas
   
Name:
Allison Navitskas
   
Title:
Vice President
       
       
       
       
       
 
FELCOR HOLDINGS TRUST, a Massachusetts business trust
   
 
By:
/s/Larry Mundy
   
Name:
Larry Mundy
   
Title:
Trustee
       
       
 
By:
/s/Lester Johnson
   
Name:
Lester Johnson
   
Title:
Trustee


S-2
 
 

 


 
U.S. BANK NATIONAL ASSOCIATION,
as Trustee and as Collateral Agent
 
   
 
By:
/s/Richard Prokosch
   
Name:
Richard Prokosch
   
Title:
Vice President



S-3
 
 

EX-10.1 3 exh4_2form10-q.htm EXHIBIT 10.1 TO FELCOR 1Q 2010 FORM 10-Q exh4_2form10-q.htm

Exhibit 10.1
IN CONSULTATION WITH LOCAL COUNSEL IN __________,
 
THIS INSTRUMENT WAS PREPARED BY
 
AND, ONCE FILED, RETURN TO:
 
Athy A. Mobilia, Esq.
Cahill Gordon & Reindel llp
80 Pine Street
New York, NY  10005


ATTENTION: COUNTY CLERK - THIS INSTRUMENT COVERS GOODS THAT ARE OR ARE TO BECOME FIXTURES ON THE REAL PROPERTY DESCRIBED HEREIN AND IS TO BE FILED FOR RECORD IN THE RECORDS WHERE MORTGAGES AND DEEDS OF TRUST ON REAL ESTATE ARE RECORDED. ADDITIONALLY, THIS INSTRUMENT SHOULD BE APPROPRIATELY INDEXED, NOT ONLY AS A MORTGAGE OR DEED OF TRUST, BUT ALSO AS A FINANCING STATEMENT COVERING GOODS THAT ARE OR ARE TO BECOME FIXTURES ON THE REAL PROPERTY DESCRIBED HEREIN. THE MAILING ADDRESSES OF THE GRANTOR (DEBTOR) AND GRANTEE (SECURED PARTY) ARE SET FORTH IN THIS INSTRUMENT.

 

(Space above this line for recording purposes only.)
 
­­­­­­­­­­­­­­­­­­­_________________, a Delaware [limited partnership]
and
_____________________, a Delaware [limited liability company]
together, as grantor

[to

___________________
as trustee]

for the benefit of

U.S. BANK NATIONAL ASSOCIATION
as Collateral Agent, as beneficiary


 
[MORTGAGE] [DEED OF TRUST], ASSIGNMENT OF LEASES AND RENTS,
SECURITY AGREEMENT AND FIXTURE FILING
 


COLLATERAL INCLUDES FIXTURES
 
Dated:
As of March _____, 2010
Location:
 
   
County:
 




 
 

 
 
TABLE OF CONTENTS
 
Page
 
 
ARTICLE 1 DEFINED TERMS
2
 
Section 1.1.
DEFINED TERMS
2
ARTICLE 2 GRANTS OF SECURITY
6
 
Section 2.1.
PROPERTY MORTGAGED
6
 
Section 2.2.
ASSIGNMENT OF LEASES AND RENTS
10
 
Section 2.3.
[RESERVED]
10
 
Section 2.4.
COLLECTION OF RENTS BY THE GRANTEE
11
 
Section 2.5.
IRREVOCABLE INTEREST
11
 
Section 2.6.
SECURITY AGREEMENT
11
 
Section 2.7.
FIXTURE FILING
11
 
Section 2.8.
CONDITIONS TO GRANT
12
 
Section 2.9.
GRANTS TO GRANTEE
12
 
Section 2.10.
HOMESTEAD
12
ARTICLE 3 SECURED OBLIGATIONS
13
 
Section 3.1.
SECURED OBLIGATIONS
13
 
Section 3.2.
PAYMENT OF OBLIGATIONS
13
 
Section 3.3.
INCORPORATION BY REFERENCE
13
 
Section 3.4.
FUTURE ADVANCES
13
ARTICLE 4 PROPERTY AND COLLATERAL REPRESENTATIONS AND COVENANTS
13
 
Section 4.1.
INSURANCE
13
 
Section 4.2.
TAXES AND OTHER CHARGES
13
 
Section 4.3.
LEASES
14
 
Section 4.4.
TITLE
15
 
Section 4.5.
PAYMENT FOR LABOR AND MATERIALS
15
 
Section 4.6.
MAINTENANCE AND USE OF PROPERTY, WASTE, USE
16
 
Section 4.7.
CHIEF EXECUTIVE OFFICE; CHANGE OF NAME; JURISDICTION OF ORGANIZATION; STATUS OF GRANTOR
16
 
Section 4.8.
Event of Loss
17
 
Section 4.9.
OPERATING LEASE
17
 
Section 4.10.
MANAGEMENT AGREEMENT
18
 
Section 4.11.
FRANCHISE AGREEMENT
18
ARTICLE 5 FURTHER ASSURANCES
19
 
Section 5.1.
COMPLIANCE WITH INDENTURE
19
 
Section 5.2.
AUTHORIZATION TO FILE FINANCING STATEMENTS; POWER OF ATTORNEY
19
 
Section 5.3.
RECORDING OF SECURITY INSTRUMENT, ETC
20
 
Section 5.4.
ADDITIONS TO PROPERTY
20
 
 
 
 
 
i

 
Page
 
 
Section 5.5.
ADDITIONAL SECURITY
20
 
Section 5.6.
STAMP AND OTHER TAXES
20
 
Section 5.7.
CERTAIN TAX LAW CHANGES
20
 
Section 5.8.
PROCEEDS OF TAX CLAIM
21
ARTICLE 6 DUE ON SALE/ENCUMBRANCE
21
 
Section 6.1.
NO SALE/ENCUMBRANCE
21
ARTICLE 7 PREPAYMENT; RELEASE OF PROPERTY
21
 
Section 7.1.
PREPAYMENT
21
 
Section 7.2.
RELEASE OF PROPERTY
21
ARTICLE 8 DEFAULT
 
21
 
Section 8.1.
EVENT OF DEFAULT
21
ARTICLE 9 RIGHTS AND REMEDIES UPON DEFAULT
21
 
Section 9.1.
REMEDIES
21
 
Section 9.2.
APPLICATION OF PROCEEDS
25
 
Section 9.3.
RIGHT TO CURE DEFAULTS
26
 
Section 9.4.
ACTIONS AND PROCEEDINGS
26
 
Section 9.5.
RECOVERY OF SUMS REQUIRED TO BE PAID
26
 
Section 9.6.
ADDITIONAL PROVISIONS
26
 
Section 9.7.
OTHER RIGHTS, ETC.
27
 
Section 9.8.
RIGHT TO RELEASE ANY PORTION OF THE PROPERTY
28
 
Section 9.9.
RIGHT OF ENTRY
28
 
Section 9.10.
BANKRUPTCY
28
 
Section 9.11.
SALE OF OPERATING LEASE
28
 
Section 9.12.
SUBROGATION
28
ARTICLE 10 INDEMNIFICATIONS
29
 
Section 10.1.
GENERAL INDEMNIFICATION
29
 
Section 10.2.
MORTGAGE AND/OR INTANGIBLE TAX
29
 
Section 10.3.
GRANTEE’S RIGHTS
29
ARTICLE 11 WAIVERS AND OTHER MATTERS
30
 
Section 11.1.
WAIVER OF COUNTERCLAIM
30
 
Section 11.2.
MARSHALLING AND OTHER MATTERS
30
 
Section 11.3.
WAIVER OF NOTICE
30
 
Section 11.4.
WAIVER OF STATUTE OF LIMITATIONS
30
 
Section 11.5.
SOLE DISCRETION OF GRANTEE
30
 
Section 11.6.
WAIVER OF TRIAL BY JURY
30
 
Section 11.7.
WAIVER OF FORECLOSURE DEFENSE
31
 
Section 11.8.
GRANTOR’S KNOWLEDGE
31
 
Section 11.9.
USURY SAVINGS PROVISIONS
31


 
 
ii

 
Page
 

ARTICLE 12 CROSS-COLLATERALIZATION
32
 
Section 12.1.
CROSS-COLLATERALIZATION
32
ARTICLE 13 GRANTEE AND NOTICES
32
 
Section 13.1.
FAILURE TO ACT
32
 
Section 13.2.
NOTICES
32
ARTICLE 14 APPLICABLE LAWS
33
 
Section 14.1.
GOVERNING LAWS; JURISDICTION; ETC.
33
 
Section 14.2.
PROVISIONS SUBJECT TO APPLICABLE LAWS
33
ARTICLE 15 MISCELLANEOUS PROVISIONS
34
 
Section 15.1.
NO ORAL CHANGE
34
 
Section 15.2.
SUCCESSORS AND ASSIGNS; JOINT AND SEVERAL
34
 
Section 15.3.
INAPPLICABLE PROVISIONS
34
 
Section 15.4.
HEADINGS, ETC
34
 
Section 15.5.
NUMBER AND GENDER
34
 
Section 15.6.
ENTIRE AGREEMENT
34
 
Section 15.7.
LIMITATION ON GRANTEE’S OR SECURED PARTIES’ RESPONSIBILITY
34
 
Section 15.8.
DUPLICATE ORIGINALS; COUNTERPARTS
34
 
Section 15.9.
COVENANTS TO RUN WITH THE LAND
35
 
Section 15.10.
CONCERNING GRANTEE
35
 
Section 15.11.
GRANTEE MAY PERFORM; GRANTEE APPOINTED ATTORNEY-IN-FACT
35
 
Section 15.12.
CONTINUING SECURITY INTEREST; ASSIGNMENT
36
 
Section 15.13.
TERMINATION; RELEASE
36
 
Section 15.14.
RELATIONSHIP
36
ARTICLE 16 [RESERVED]
 
37
ARTICLE 17 [DEED OF TRUST PROVISIONS
37
 
Section 17.1.
CONCERNING THE TRUSTEE
37
 
Section 17.2.
TRUSTEE’S FEES
37
 
Section 17.3.
CERTAIN RIGHTS
37
 
Section 17.4.
RETENTION OF MONEY
38
 
Section 17.5.
PERFECTION OF APPOINTMENT
38
 
Section 17.6.
SUCCESSION INSTRUMENTS
38
ARTICLE 18 [RESERVED]
 
38
ARTICLE 19 THIRD PARTY GRANTOR PROVISIONS
38
 
Section 19.1.
THIRD PARTY GRANTOR
38
 
Section 19.2.
AUTHORIZATIONS TO GRANTEE
38
 
Section 19.3.
GRANTOR’S WARRANTIES
38
 
 
 
iii

 
Page
 

 
Section 19.4.
GRANTOR’S WAIVERS
39
 
Section 19.5.
FURTHER EXPLANATION OF WAIVERS
39
 
Section 19.6.
GRANTOR’S UNDERSTANDINGS WITH RESPECT TO WAIVERS
40
ARTICLE 20 STATE SPECIFIC PROVISIONS
40
       
EXHIBIT A: LEGAL DESCRIPTION OF LAND
 
       
SCHEDULE I: MAJOR LEASE
 

 
 

 
iv

 

[MORTGAGE] [DEED OF TRUST], ASSIGNMENT OF LEASES AND RENTS,
 
SECURITY AGREEMENT AND FIXTURE FILING
 
THIS [MORTGAGE] [DEED OF TRUST], ASSIGNMENT OF LEASES AND RENTS, SECURITY AGREEMENT AND FIXTURE FILING (this “Security Instrument”) is entered into this ____ day of March, 2010 to be effective as of October 1, 2009 (the “Effective Date”), by __________________, a Delaware [limited partnership] (“Owner”), and ______________, a Delaware [limited liability company] (“Operator”) (Owner and Operator are collectively and together with their permitted successors and a ssigns, individually or collectively (as the context requires) referred to herein as “Grantor”), whose address is c/o FelCor Lodging Trust Incorporated, 545 E. John Carpenter Freeway, Suite 1300, Irving, Texas 75062, Attention:  General Counsel, as grantor, [to _____________ (together with his successors and assigns, “Trustee”), whose address is ___________________________, as trustee,] for the benefit of U.S. BANK NATIONAL ASSOCIATION, a national banking association (“Collateral Agent”), as Collateral Agent for its benefit and the benefit of the Secured Parties (as hereinafter defined) (Collateral Agent, in such capacity, together with its successors and assigns, “Grantee”), whose address is 60 Livingston Avenue, EP-MN-WS3C, St. Paul, Minnesota 55107-2292, Attn: Corporate Trust Department, as beneficiary.
 
RECITALS:
 
A.           Pursuant to (i) that certain Indenture, dated as of the Effective Date (the “Original Indenture”) among FelCor Escrow Holdings, L.L.C., a Delaware limited liability company (a wholly owned subsidiary of FelCor Lodging Limited Partnership, a Delaware limited partnership (the “Partnership”)) (the “Issuer”), and U.S. Bank National Association, as trustee (in such capacity, together with its successors and assigns, the “Indenture Trustee”) and as Collateral Agent, as supplemented by the First Supplemental Indenture, dated as of October 12, 2009, by and among the Issuer and the Indenture Trustee, and the Second Supplemental Indenture (as defined below) and (ii) that certain Purchase Agreement dated September 17, 2009 (as amended, restated, supplemented or otherwise modified from time to time, the “Purchase Agreement”) among the Partnership, FelCor Lodging Trust Incorporated, a Maryland corporation (“FelCor”; together with the Partnership, the “Companies”), certain subsidiaries of the Companies party thereto, as joined in by the Issuer pursuant to the Escrow Subsidiary Joinder Agreement, dated October 1, 2009, those cert ain parties named in Schedule I thereto (collectively, the “Initial Purchasers”) and J.P. Morgan Securities Inc., for itself and as representative of the Initial Purchasers, the Issuer has issued or will issue $636,000,000.00 aggregate principal amount of its 10% Senior Secured Notes due 2014 (the “2014 10% Senior Secured Notes”; together with any additional Notes and the Exchange Notes (as Notes and Exchange Notes are defined in the Indenture) issued pursuant to the Indenture from time to time, collectively, the “Indenture Notes”) upon the terms and subject to the conditions set forth therein.
 
B.           Pursuant to that certain Second Supplemental Indenture to the Indenture dated as of October 13, 2009 (the “Second Supplemental Indenture”) by and among the Partnership, FelCor, FelCor Holdings Trust, a Massachusetts business trust, the Subsidiary Guarantors (as defined in the Indenture) and the Indenture Trustee, the Partnership has assumed the rights and obligations of the Issuer under the Indenture (the Original Indenture, as modified by the First Supplemental Indenture dated as of October 12, 2009 and the Second Supplemental Indenture, and as further amended, restated, supplemented or otherwise modified from time to time, the “Indenture”).
 
C.           The Companies own, directly or indirectly, 100% of the issued and outstanding ownership interests in Grantor.
 

 
 

 


 
D.           The Grantee has been appointed to serve as Collateral Agent under the Indenture and, in such capacity, to enter into this Security Instrument.
 
E.           Grantor and the Companies are part of a group of related companies, and Grantor has received and/or expects to receive substantial direct and indirect benefit from the loans and extensions of credit to the Companies pursuant to the Indenture (which benefits are hereby acknowledged) and is, therefore, willing to enter into this Security Instrument.
 
F.           It is a condition to the obligations of the (x) Initial Purchasers to purchase the 2014 10% Senior Secured Notes under the Purchase Agreement and (y) the Grantee to enter into the Indenture, that the Grantor shall have executed and delivered this Security Instrument to the Grantee for its own benefit and for the benefit of the Secured Parties.
 
G.           The Grantor is entering into this Security Instrument to create a lien on and a security interest in the Property (as hereinafter defined) and to secure the performance and payment of the Secured Obligations (as hereinafter defined).
 
NOW THEREFORE, in consideration of the foregoing premises and other good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, the Grantor hereby covenants and agrees with the Grantee as follows:
 
ARTICLE 1
 

 
DEFINED TERMS
 
Section 1.1         DEFINED TERMS.  The following terms in this Security Instrument shall have the following meanings:
 
Accounts Receivable” shall have the meaning assigned to such term in Section 2.1(p) hereof.
 
Applicable Laws” shall mean all existing and future federal, state and local laws, orders, ordinances, governmental rules and regulations and court orders applicable in the jurisdiction in which the Property is located.
 
Affiliate” shall have the meaning assigned to such term in the Indenture.
 
attorneys’ fees”, “legal fees” and “counsel fees” shall include any and all attorneys’, paralegal and law clerk fees and disbursements, including, but not limited to, fees and disbursements at the pre-trial, trial and appellate levels incurred or paid by any Secured Party in protecting its interest in the Property, the Leases and the Rents and enforcing its rights hereunder.
 
Awards” shall have the meaning assigned to such tern in Section 2.1(j) hereof.
 
Bankruptcy Code” shall have the meaning assigned to such term in Section 2.1(g) hereof.
 
Business Day” shall have the meaning assigned to such term in the Indenture.
 
Collateral” shall have the meaning assigned to such term in Section 2.6 hereof.
 
Collateral Agent” shall have the meaning assigned to such term in the preamble hereto and shall include any successors and assigns.
 

 
 
 
-2-

 


 
Collateral Documents” shall have the meaning assigned to such term in the Indenture.
 
Creditors Rights Laws” shall have the meaning assigned to such term in Section 2.1(h) hereof.
 
Credit Parties” shall mean, collectively, the Companies and the Subsidiary Guarantors.
 
Default Rate” shall have the meaning assigned to such term in Section 9.3 hereof.
 
Event of Default” shall have the meaning assigned to such term in Section 8.1 hereof.
 
Event of Loss” shall have the meaning assigned to such term in the Indenture.
 
FelCor” shall have the meaning assigned to such term in the recitals hereto.
 
Franchise Agreement shall mean that certain license agreement dated as of ____________, between _________________ and Operator, as as may be amended, restated, supplemented or otherwise modified from time to time.
 
Franchisor shall mean __________________ in its capacity as Licensor under the Franchise Agreement, and shall include any successors and assigns pursuant thereto.
 
Grantee” shall have the meaning assigned to such term in the preamble hereto and shall include any successors and assigns.
 
Grantor” shall have the meaning assigned to such term in the preamble hereto and shall include any successors and assigns.
 
Improvements” shall have the meaning assigned to such term in Section 2.1(d) hereof.
 
Indemnified Party” means, individually or collectively, as the context may require, Collateral Agent, the Secured Parties, the Initial Purchasers and any Person (a) who is or will have been involved in the origination of the Secured Obligations, (b) whose name the encumbrance created by this Security Instrument is or will have been recorded or (c) who may hold or acquire or will have held a full or partial interest in the Indenture Notes, as well as the respective directors, officers, shareholders, partners, members, employees, agents, servants, representatives, contractors, subcontractors, Affiliates, subsidiaries, participants, successors and assigns of any and all of the foregoing.
 
Indenture” shall have the meaning assigned to such term in the recitals hereto.
 
Indenture Notes” shall have the meaning assigned to such term in the recitals hereto.
 
Indenture Trustee” shall  have the meaning assigned to such term in the recitals hereto.
 
Initial Purchasers” shall have the meaning assigned to such term in the recitals hereto.
 
Instrument” shall have the meaning assigned to such term in the Uniform Commercial Code.
 
Insurance Proceeds” shall have the meaning assigned to such term in Section 2.1(i) hereof.
 
Issuer” shall have the meaning assigned to such term in the recitals hereto.
 
Land” shall have the meaning assigned to such term in Section 2.1(a) hereof.
 

 
 
 
-3-

 


 
Leases” shall have the meaning assigned to such term in Section 2.1(h) hereof.
 
Losses” shall have the meaning assigned to such term in the Indenture.
 
Lien” shall have the meaning assigned to such term in the Indenture.
 
Major Lease” means: (a) the Operating Lease, and (b) those Leases as set forth on Schedule I attached hereto, and any amendment, supplement, modification or replacement thereof; and (c) any instrument guaranteeing or providing credit support for any Major Lease.
 
Management Agreement” shall mean that certain management agreement dated as of _________________, between ______________________ and Operator, as may be amended, restated, supplemented or otherwise modified from time to time.
 
Manager” shall mean ___________________ in its capacity as manager under the Management Agreement, and shall include any successors and assigns pursuant thereto.
 
Material Adverse Effect means (a) a material adverse effect upon the condition, financial or otherwise, business, prospects, net worth or results of operations of the Grantor, Companies, and the Subsidiaries, taken as a whole, (b) a material impairment of the rights and remedies of Grantee or any Secured Party under any Note Document; or (c) a material adverse effect upon the legality, validity, binding effect or enforceability against any Credit Party of any Note Document to which it is a party.
 
Net Loss Proceeds” shall have the meaning assigned to such term in the Indenture.
 
Note Documents shall mean the Indenture Notes, the Indenture, the Collateral Documents and any other documents or instruments entered into in connection with the foregoing.
 
Operating Lease” shall have the meaning assigned to such term in Section 2.1(g) hereof.
 
Operating Leasehold Estate” shall have the meaning assigned to such term in Section 2.1(g) hereof.
 
Operator” shall have the meaning assigned to such term in the preamble hereto.
 
Original Indenture” shall have the meaning assigned to such term in the recitals hereto.
 
Other Charges” shall mean any and all present and future real estate, property and other taxes, assessments and special assessments, levies, fees, all water and sewer rents and charges and all other governmental charges imposed upon or assessed against, and all claims (including, without limitation, claims for landlords’, carriers’, mechanics’, workmens’, repairmens’, laborers’, materialmens’, suppliers’ and warehousemens’ Liens and other claims arising by operation of law), judgments or demands against, all or any portion of the Property or other amounts of any nature which, if unpaid, might result in, or permit the creation of, a Lien on the Property or which might result in foreclosure of all or any portion of the Property.
 
Other Mortgages” shall have the meaning assigned to such term in Section 12.1 hereof.
 
Other Properties” shall have the meaning assigned to such term in Section 12.1 hereof.
 
Owner” shall have the meaning assigned to such term in the preamble hereto.
 

 
 
 
-4-

 


 
Partnership shall have the meaning assigned to such term in the recitals hereto.
 
Perfection Certificate” shall have the meaning assigned to such term in the Indenture.
 
Permitted Liens” shall have the meaning assigned to the term “Permitted Collateral Encumbrances” in  Section 4.23(c)(iii) of the Indenture.
 
Person” shall have the meaning assigned to such term in the Indenture.
 
Personal Property” shall have the meaning assigned to such term in Section 2.1(f) hereof.
 
Pledge Agreement” shall have the meaning assigned to such term in the Indenture.
 
Proceeds” shall have the meaning assigned to such term in the Uniform Commercial Code .
 
Property” shall have the meaning assigned to such term in Section 2.1 hereof.
 
Purchase Agreement” shall have the meaning assigned to such term in the recitals hereto.
 
Recorder” shall mean the [Office of the County Clerk of ________________].
 
Renewal Lease” shall have the meaning assigned to such term in Section 4.3(b) hereof.
 
Rents” shall have the meaning assigned to such term in Section 2.1(h) hereof.
 
Security Instrument” shall have the meaning assigned to such term in the preamble hereto.
 
Secured Obligations” shall have the meaning assigned to such term in the Pledge Agreement.
 
Secured Parties” shall have the meaning assigned to such term in the Pledge Agreement.
 
State” shall mean the State in which the Land is located.
 
Tangible Chattel Paper” shall have the meaning assigned to such term in the Uniform Commercial Code.
 
Taxes” shall have the meaning assigned to such term in Section 4.2 hereof.
 
Tenant” shall mean any tenant, lessee, sublessee, franchisee, licensee, grantee or obligee, as applicable.
 
Third Party Borrower” shall have the meaning assigned to such term in Section 19.1 hereof.
 
[“Trustee” shall have the meaning assigned to such term in the preamble hereto.]
 
Uniform Commercial Code” means the Uniform Commercial Code as in effect from time to time in the state in which the Property is located; provided, however, that, at any time, if by reason of mandatory provisions of law, any or all of the perfection or priority of the Grantee’s security interest in any item or portion of the Collateral is governed by the Uniform Commercial Code as in effect in a jurisdiction other than the state in which the Property is located, the term “Uniform Commercial Code” shall mean the Uniform Commercial Code as in effect, at such time, in such other jurisdiction for purpo ses of the provisions hereof relating to such perfection or priority and for purposes of definitions relating to such provisions.
 
 
 
--
 
-5-

 
 
 
Work Charge” shall have the meaning assigned to such term in Section 4.5(a) hereof.
 
All capitalized terms used herein but not defined herein shall have the meaning assigned to such terms in the Indenture.  The rules of construction set forth in Section 1.03 of the Indenture shall be applicable to this Security Instrument mutatis mutandis.  Unless the context clearly indicates a contrary intent or unless otherwise specifically provided herein, words used in this Security Instrument may be used interchangeably in singular or plural form.
 
ARTICLE 2
 
 
GRANTS OF SECURITY
 
    Section 2.1            PROPERTY MORTGAGED.  Pursuant to the terms of Sections 2.2, 2.6 and 2.8 below, in order to secure the due and punctual payment and performance of all of the Secured Obligations for the benefit of the Secured Parties, Grantor does hereby irrevocably MORTGAGE, GRANT, BARGAIN, SELL, PLEDGE, ASSIGN, WARRANT, TRANSFER and CONVEY, subject to the Permitted Liens, to Trustee, in trust, with power of sale and right of e ntry and possession, for the use and benefit of the Grantee, and does hereby grant a security interest in and lien upon all of the following property, rights, interests, and estates now owned or hereafter acquired by Grantor (collectively, the “Property”), subject to the Permitted Liens, if any:

(a)           Land.  The real property described in Exhibit A attached hereto and made a part hereof (collectively, the “Land”);
 
(b)           [Reserved];
 
(c)           Additional Land.  All additional lands, estates and development rights hereafter acquired by Grantor for use in connection with the Land and the development of the Land and all additional lands and estates therein which may, from time to time, by supplemental mortgage or otherwise be expressly made subject to the Lien of this Security Instrument;
 
(d)           Improvements.  The buildings, structures, fixtures, additions, enlargements, extensions, modifications, repairs, replacements and improvements of every kind or description now or hereafter attached, erected or located on the Land, including, without limitation, (i) all attachments, railroad tracks, foundations, sidewalks, drives, roads, curbs, streets, ways, alleys, passages, passageways, sewer rights, parking areas, driveways, fences and walls and (ii) all materials now or hereafter located on the Land intended for the construction, reconstruction, repair, replacement, alteration, addition or improvement of or to such buildings, fixtures, structures and improvements, all of which materials shal l be deemed to be part of the Improvements (as defined herein) immediately upon delivery thereof on the Land and to be part of the Improvements immediately upon their incorporation therein (collectively, the “Improvements”);
 
(e)           Easements.  All easements, rights-of-way or use, rights, strips and gores of land, streets, ways, alleys, passages, sewer rights, water, water courses, water rights and powers, air rights and development rights, and all estates, rights, titles, interests, privileges, liberties, servitudes, tenements, hereditaments and appurtenances of any nature whatsoever, in any way now or hereafter belonging, relating or pertaining to the Land and the Improvements, including, but not limited to, the reversions and remainders, and all land lying in the bed of any street, road or avenue, opened or proposed, in front of or adjoining the Land, to the center line thereof and all the estates,
 

 
 
 
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rights, titles, interests, dower and rights of dower, curtesy and rights of curtesy, property, possession, claim and demand whatsoever, both at law and in equity, of Grantor of, in and to the Land and the Improvements, and every part and parcel thereof, with the appurtenances thereto;
 
(f)           Fixtures and Personal Property.  All machinery, apparatus, equipment, fittings, fixtures (including, but not limited to, all heating, air-conditioning, plumbing, lighting, communications and elevator fixtures, inventory and goods), inventory and articles of personal property and accessions thereof and renewals, replacements thereof and substitutions therefor (including, but not limited to, beds, bureaus, chiffonniers, chests, chairs, desks, lamps, mirrors, bookcases, tables, rugs, carpeting, drapes, draperies, curtains, shades, venetian blinds, screens, paintings, hangings, pictures, divans, couches, luggage carts, luggage racks, stools, sofas, chinaware, linens, pillows, blankets, glassware, si lverware, food carts, cookware, dry cleaning facilities, dining room wagons, keys or other entry systems, bars, bar fixtures, liquor and other drink dispensers, icemakers, radios, television sets, intercom and paging equipment, electric and electronic equipment, dictating equipment, private telephone systems, medical equipment, potted plants, heating, lighting and plumbing fixtures, fire prevention and extinguishing apparatus, cooling and air-conditioning systems, elevators, escalators, fittings, plants, apparatus, stoves, ranges, refrigerators, laundry machines, tools, machinery, engines, dynamos, motors, boilers, incinerators, switchboards, conduits, compressors, vacuum cleaning systems, floor cleaning, waxing and polishing equipment, call systems, brackets, electrical signs, bulbs, bells, ash and fuel, conveyors, cabinets, lockers, shelving, spotlighting equipment, dishwashers, garbage disposals, washers and dryers), other customary hotel equipment and other tangible property of every kind and nature what soever owned by Grantor, or in which Grantor has or shall have an interest, now or hereafter located upon the Land and the Improvements, or appurtenant thereto, or usable in connection with the present or future operation and occupancy of the Land and the Improvements and all building equipment, materials and supplies of any nature whatsoever owned by Grantor, or in which Grantor has or shall have an interest, now or hereafter located upon the Land or the Improvements, or appurtenant thereto, or usable in connection with the present or future operation and occupancy of the Land and the Improvements (hereinafter collectively called the “Personal Property”), and the right, title and interest of Grantor in and to any of the Personal Property which may be subject to any security interests, as defined in the Uniform Commercial Code, or equipment leases superior in priority to the Lien of this Security Instrument and al l proceeds and products of all of the above;
 
(g)           Operating Lease.  That certain Lease Agreement dated as of _______________ between _________________________, as lessor, and _______________, as lessee (as may be further amended, assigned, and extended and in effect from time to time, collectively, the “Operating Lease”), and the leasehold estate created thereby (the “Operating Leasehold Estate”), including all assignments, modifications, extensions and renewals from time to time of the Operating Lease and all credits, deposits, options, privileges and rig hts of Operator as tenant under the Operating Lease, including, but not limited to, rights of first refusal, if any, and the right, if any, to renew or extend the Operating Lease for a succeeding term or terms, and also including all the right title, claim or demand whatsoever of Operator either in law or in equity, in possession or expectancy, of, in and to Operator’s rights, as tenant under the Operating Lease, to elect under Section 365(h)(1) of the Bankruptcy Code, Title 11 U.S.C.A. §101 et seq. (the “Bankruptcy Code”) to terminate or treat the Operating Lease as terminated in the event (i) of the bankruptcy, reorganization or insolvency of the lessor thereunder, and (ii) the rejection of the Operating Lease by the lessor thereunder, as debtor in possession, or by a trustee for the lessor thereunder, pursuant to Section 365 of the Bankruptcy C ode;
 

 
 
 
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(h)           Leases and Rents.  All leases, subleases, rental agreements, tenancies, occupancy or concession agreements, registration cards and agreements, if any, and other agreements whether or not in writing affecting the use, enjoyment or occupancy of the Land and/or the Improvements heretofore or hereafter entered into (including, without limitation, the Operating Lease) and all extensions, amendments and modifications thereto, whether before or after the filing by or against Grantor of any petition for relief under Creditor’s Rights Laws (defined below) (collectively, the “Leases”), and all right, titl e and interest of Grantor, its successors and assigns therein and thereunder, including, without limitation, any guaranties of the lessees’ obligations thereunder, cash, guaranty agreements, letters of credit, bonds, sureties or securities deposited thereunder to secure the performance by the lessees of their obligations thereunder and all rents, additional rents, revenues, issues, registration fees, advance rental payments, payments incident to assignment, sublease or surrender of a Lease, claims for forfeited deposits and claims for damages, now due or hereafter to become due, with respect to any Lease, any indemnification against, or reimbursement for, sums paid and costs and expenses incurred by the Grantor under any Lease or otherwise, and any award in the event of the bankruptcy of any Tenant under or guarantor of a Lease, if any, and profits (including all oil and gas or other mineral royalties and bonuses and all rents, revenues, bonus money, royalties, rights and benefits accruing to Grantor u nder all present and future oil, gas and mineral leases on any parts of the Land and the Improvements) from the Land and the Improvements, all income, rents, room rates, issues, profits, revenues, deposits, accounts and other benefits from the operation of the hotel on the Land and/or the Improvements, including, without limitation, all revenues and credit card receipts collected from guest rooms, restaurants, bars, mini-bars, meeting rooms, banquet rooms and recreational facilities and otherwise, all receivables, customer obligations, installment payment obligations and other obligations now existing or hereafter arising or created out of sale, lease, sublease, license, concession or other grant of the right of the possession, use or occupancy of all or any portion of the Land and/or Improvements, or personalty located thereon, or rendering of services by Grantor or any operator or manager of the hotel or the commercial space located in the Improvements or acquired from others, including, without limitation , from the rental of any office space, retail space, commercial space, guest room or other space, halls, stores or offices, including any deposits securing reservations of such space, exhibit or sales space of every kind, license, lease, sublease and concession fees and rentals, health club membership fees, food and beverage wholesale and retail sales, service charges, vending machine sales and proceeds, if any, from business interruption or other loss of income insurance relating to the use, enjoyment or occupancy of the Land and/or the Improvements whether paid or accruing before or after the filing by or against Grantor of any petition for relief under Creditors Rights Laws (the “Rents”), and all proceeds from the sale or other disposition of the Leases and the right to receive and apply the Rents to the payment of the Secured Obligations.  As used herein, the term “Creditors Rights Laws” shall mean any existing or future laws of any jurisdiction, domestic or foreign, relating to bankruptcy, insolvency, reorganization, conservatorship, arrangement, adjustment, winding-up, liquidation, dissolution, composition or other relief with respect to its debts or debtors;
 
(i)           Insurance Proceeds.  All insurance proceeds and any unearned premiums on and in respect of the Property under any insurance policies covering the Property whether or not required by this Security Instrument, the Indenture or any other Notes Documents, including, without limitation, the right to receive and apply the proceeds of any insurance, judgments, or settlements made in lieu thereof, for damage to the Property (collectively, the “Insurance Proceeds”);
 
(j)           Condemnation Awards.  All condemnation awards or payments, including interest thereon, which may heretofore and hereafter be made with respect to the Property by reason of any taking or condemnation, whether from the exercise of the right of eminent domain (including,
 

 
 
 
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but not limited to, any transfer made in lieu of or in anticipation of the exercise of the right) (collectively, the “Awards”);
 
(k)           [Reserved];
 
(l)           Tax Certiorari.  All refunds, rebates or credits in connection with reduction in real estate taxes and assessments charged against the Property as a result of tax certiorari or any applications or proceedings for reduction;
 
(m)           Rights.  The right, in the name and on behalf of Grantor, to appear in and defend any action or proceeding brought with respect to the Property and to commence any action or proceeding to protect the interest of Grantee or Secured Parties in the Property;
 
(n)           Agreements.  All other agreements, management agreements, operating agreements, franchise agreements, license agreements, contracts, certificates, chattel paper (whether tangible or electronic), instruments, franchises, permits, licenses, plans, specifications and other documents (including electronic documents), now or hereafter entered into, and all rights therein and thereto, respecting or pertaining to the use, occupation, construction, management or operation of any part of the Land and Improvements or any business or activity conducted on any part of the Land and Improvements, including, but not limited to, the Management Agreement and Franchise Agreement and any and all agreements execute d in connection therewith, and all right, title and interest of Grantor therein and thereunder, including, without limitation, all reserves, deferred payments, deposits, and refunds of every kind, nature or character relating thereto, and the right, during the occurrence of any Event of Default, to receive and collect any sums payable to Grantor thereunder;
 
(o)           Intangibles.  All trade names, trademarks, service marks, logos, copyrights, goodwill, books and records, tenant or guest lists, advertising materials, telephone exchange numbers identified in such materials, and all other general intangibles relating to or used in connection with the operation of the Land, the Improvements and the Personal Property;
 
(p)           Grantor Accounts.  All right, title and interest of Grantor, if any, arising from the operation of the Land and the Improvements in and to all payments for goods or property sold, leased or occupied or for services rendered, whether or not yet earned by performance, and not evidenced by an instrument or chattel paper (hereinafter referred to as “Accounts Receivable”), including, without limiting the generality of the foregoing, (i) all accounts, contract rights, book debts, and notes arising from the operation of a hotel on the Land and the Improvements or arising from the sale, lease or exchange of g oods or other property and/or the performance of services, (ii) Grantor’s rights to payment from any consumer credit/charge card organization or entities which sponsor and administer such cards, such as the American Express Card, the Visa Card and the MasterCard or other similar credit cards, (iii) Grantor’s rights in, to and under all purchase orders for goods, services or other property, (iv) Grantor’s rights to any goods, services or other property represented by any of the foregoing, (v) monies due to or to become due to Grantor under all contracts for the sale, lease or exchange of goods or other property and/or the performance of services including the right to payment of any interest or finance charges in respect thereto (whether or not yet earned by performance on the part of Grantor) and (vi) all collateral security and guaranties of any kind given by any Person with respect to any of the foregoing.  Accounts Receivable shall include those now existing or hereafter create d, substitutions therefor, proceeds (whether cash or non-cash, movable or immovable, tangible or intangible) received upon the sale, exchange, transfer, collection or other disposition or substitution thereof and any and all of the foregoing and proceeds therefrom;
 

 
 
 
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(q)            Security Interests.  All right, title and interest of the Owner and Operator under the Operating Lease as secured party in the personal property and collateral pursuant to any security interest granted by lessees or by operation of Applicable Laws  thereunder;
 
(r)           Miscellaneous.  To the extent not set forth in this Section 2.1, the Collateral defined in Section 2.6 below;
 
(s)           Proceeds.  All proceeds of any of the foregoing items set forth in subsections (a) through (r) above, including, without limitation, Insurance Proceeds, Awards which may at any time be converted into cash or liquidation claims; and
 
(t)           Other Rights.  Any and all other rights of Grantor in and to the items set forth in subsections (a) through (s) above.
 
Section 2.2         ASSIGNMENT OF LEASES AND RENTS.
 
(a)           Grantor hereby absolutely and unconditionally assigns, transfers, and sets over to Grantee and Trustee all of Grantor’s right, title and interest in and to all current and future Leases and Rents and the right, subject to Applicable Laws, to collect all sums payable to the Grantor thereunder and apply the same as the Grantee may, in its sole discretion, determine to be appropriate to protect the security afforded by this Security Instrument (including the payment of reasonable costs and expenses in connection with the maintenance, operation, improvement, insurance, taxes and upkeep of the Property), which is not conditioned upon the Grantee being in possession of the Land; it being intended by Grantor that this assignment constitutes a present, absolute, effective , irrevocable and complete assignment and not an assignment for additional security only.  Subject to the terms of Section 9.1(i) of this Security Instrument, Grantee grants to Grantor a revocable license to (i) collect, receive, use and enjoy the Rents and Grantor shall hold the Rents, or a portion thereof sufficient to discharge all current sums due on the Secured Obligations, for use in the payment of such sums, and (ii) enforce the terms of the Leases.  The foregoing license shall not be revoked until the occurrence and during the continuance of an Event of Default in accordance with Section 9.1(i) of this Security Instrument.
 
(b)           The Grantor acknowledges that the Grantee has taken all reasonable actions necessary to obtain, and that upon recordation of this Security Instrument the Grantee shall have, to the extent permitted under Applicable Laws, a valid and fully perfected, first priority, present assignment of the Rents arising out of the Leases and all security for such Leases, subject to the Permitted Liens, and in the case of security deposits, rights of depositors as required under Applicable Laws. The Grantor acknowledges and agrees that upon recordation of this Security Instrument, the Grantee’s interest in the Rents shall be deemed to be fully perfected, “choate” and enforced as to the Grantor and all third parties, including, without limitation, any subsequently appoi nted trustee in any case under the Bankruptcy Code, without the necessity of commencing a foreclosure action with respect to this Security Instrument, making formal demand for the Rents, obtaining the appointment of a receiver or taking any other affirmative action.
 
(c)           Without limitation of the absolute nature of the assignment of the Rents hereunder, the Grantor and the Grantee agree that (a) this Security Instrument shall constitute a “security agreement” for purposes of Section 552(b) of the Bankruptcy Code, (b) the security interest created by this Security Instrument extends to property of the Grantor acquired before the commencement of a case in bankruptcy and to all amounts paid as Rents, and (c) such security interest shall extend to all rents acquired by the estate after the commencement of any case in bankruptcy.
 
Section 2.3        [RESERVED].
 

 
 
 
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Section 2.4       COLLECTION OF RENTS BY THE GRANTEE.
 
(a)           Any Rents receivable by the Grantee hereunder, after payment of all proper costs and expenses as the Grantee may, in its sole discretion, determine to be appropriate (including the payment of reasonable costs and expenses in connection with the maintenance, operation, improvement, insurance, taxes and upkeep of the Property), shall be applied in accordance with the provisions of Section 9.2 of this Security Instrument.  The Grantee shall be accountable to the Grantor only for Rents actually received by the Grantee.  The collection of such Rents and the application thereof shall not cure or waive any Event of Default or waive, modify or affect notice of Event of Default or inv alidate any act done pursuant to such notice.
 
(b)           The Grantor hereby irrevocably authorizes and directs the Tenant under each Lease to rely upon and comply with any and all notices or demands from the Grantee for payment of Rents to the Grantee and the Grantor shall have no claim against any Tenant for Rents paid by such Tenant to the Grantee pursuant to such notice or demand.
 
Section 2.5     IRREVOCABLE INTEREST. All rights, powers and privileges of the Trustee and Grantee herein set forth are coupled with an interest and are irrevocable, subject to the terms and conditions hereof, and the Grantor shall not take any action under the Leases or otherwise which is inconsistent with this Security Instrument or any of the terms hereof and any such action inconsistent herewith or therewith shall be void.
 
Section 2.6      SECURITY AGREEMENT.  This Security Instrument is both a real property mortgage and a “security agreement” within the meaning of the Uniform Commercial Code.  The Property includes both real and personal property and all other rights and interests, whether tangible or intangible in nature, of Grantor in the Property.  By executing and delivering this Security Instrument, Grantor hereby grants to Grantee for the benefit of the Secured Parties, as security for the Secured Obligations, a security interest in the following properties, assets and rights of Grantor, wherever located, whether now owned or hereafter acquired or arising, and all Proceeds and products thereof (all of the same being hereinafter called the “Collateral”):  all personal and fixture property of every kind and nature, including all goods (including inventory, equipment and any accessions thereto), Instruments (including promissory notes), documents (including, if applicable, electronic documents), accounts, chattel paper (whether tangible or electronic), deposit accounts, letter-of-credit rights (whether or not the letter of credit is evidenced by a writing), securities and all other investment property, supporting obligations, any other contract rights or rights to the payment of money, insurance claims and Insurance Proceeds, all general intangibles (including all payment intangibles) and all of the Insurance Proceeds of any of the foregoing (as each of the foregoing terms is defined in the Uniform Commercial Code).
 
    Section 2.7          FIXTURE FILING.  Without in any manner limiting the generality of any of the other provisions of this Security Instrument:  (a) some portions of the goods described or to which reference is made herein are or are to become fixtures on the Land described or to which reference is made herein or on Exhibit A attached to this Security Instrument; (b) this Security Instrument is to be filed of record in the real estate records as a financing statement and shall constitute a ̶ 0;fixture filing” for purposes of the Uniform Commercial Code; and (c) Owner is the record fee owner of the real estate or interests in the real estate constituting the Property hereunder, subject to the Permitted Liens.  Information concerning the security interest herein granted may be obtained at the addresses set forth on the first page hereof.  This Security Instrument shall be effective as a financing statement filed as a fixture filing with respect to all fixtures included within the Property and is to be filed for record in the real property or other applicable records in the office of the Recorder where the Property (including said fixtures) is situated.  This Security Instrument shall also be effective as a financing statement covering as extracted minerals or the like (including oil and gas) and accounts subject to the applicable provisions of the Uniform Commercial

 
 
 
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Code of the State in which the Property is located.  The address of the Debtor (Grantor) is set forth on the first page hereof and the address of the Secured Party (Grantee) is set forth below.  In that regard, the following information is provided:
 
Name of First Debtor:
 
Type of Organization:
 
State:
 
Organizational ID Number:
 
Name of Secured Party:
U.S. BANK NATIONAL ASSOCIATION, a national banking association, as Collateral Agent
Address of Secured Party:
60 Livingston Avenue
EP-MN-WS3C
St. Paul, Minnesota 55107-2292
Attn: Corporate Loan Department
 
Name of Second Debtor:
 
Type of Organization:
 
State:
 
Organizational ID Number:
 
Name of Secured Party:
U.S. BANK NATIONAL ASSOCIATION, a national banking association, as Collateral Agent
Address of Secured Party:
60 Livingston Avenue
EP-MN-WS3C
St. Paul, Minnesota 55107-2292
Attn: Corporate Loan Department

Section 2.8            CONDITIONS TO GRANT.  TO HAVE AND TO HOLD the above granted and described Property unto Trustee for and on behalf of Grantee and to the use and benefit of Grantee and Secured Parties and their successors and assigns, forever IN TRUST, WITH POWER OF SALE AND RIGHT OF ENTRY, to secure the Secured Obligations; provided, however, these presents are upon the express condition that, upon final payment and performance of the Secured Obligations or the full and final release of this Security Instrument, these presents and the estate hereby granted shall cease, terminate and be void.
 
Section 2.9            GRANTS TO GRANTEE.  This Security Instrument and the grants, assignments and transfers made to Grantee in this Article 2 shall inure to Grantee solely in its capacity as Collateral Agent for its own benefit and the benefit of the Secured Parties.
 
Section 2.10           HOMESTEAD.  None of the Property forms any part of any property owned, used or claimed by Grantor as a residence or business homestead.  None of the Property is exempt from forced sale under Applicable Laws and, to the extent applicable, the state in which Land and Improvements are located.  Grantor hereby disclaims and renounces each and every claim to the Property as a homestead.
 

 
 
 
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ARTICLE 3
 
 
SECURED OBLIGATIONS
 
Section 3.1         SECURED OBLIGATIONS. This Security Instrument and the grants, assignments and transfers made in Article 2 are given for the purpose of securing the Secured Obligations, including any advances made by Grantee or any Secured Party for the construction, improvement, operation, repair, maintenance, preservation or operation of the Property and the security for payment of the Secured Obligations, whether such future advances are obligatory or are made at Grantee’s or such Secured Party’s option, for any purpose and the Property is collateral security for the payment and performance in full when due of the Secured Obligations.
 
Section 3.2        PAYMENT OF OBLIGATIONS.  Grantor will pay and perform the Secured Obligations at the time and in the manner provided in the Indenture and the other Note Documents, subject to and as required by the terms and provisions thereof including, without limitation, any non-recourse provisions expressly set forth therein.
 
Section 3.3        INCORPORATION BY REFERENCE.  All the covenants, conditions and agreements contained in the Indenture and the other Note Documents are hereby made a part of this Security Instrument to the same extent and with the same force as if fully set forth herein.
 
Section 3.4        FUTURE ADVANCES.  This Security Instrument shall secure all of the Secured Obligations, including, without limitation, future advances whenever hereafter made with respect to or under the Indenture or the other Note Documents and shall secure not only Secured Obligations with respect to presently existing indebtedness under the Indenture and the other Note Documents but also any and all other indebtedness which may hereafter be owing by the Grantor to the Secured Parties under the Indenture and the other Note Documents however incurred, whether interest, discount or ot herwise, and whether the same shall be deferred, accrued or capitalized, including future advances and re-advances pursuant to the Indenture or the other Note Documents, whether such advances are obligatory or to be made at the option of the Secured Parties, or otherwise, and any extensions, refinancings, modifications or renewals of all such Secured Obligations whether or not the Grantor executes any extension agreement or renewal instrument and, in each case, to the same extent as if such future advances were made on the date of the execution of this Security Instrument.
 
ARTICLE 4
 
 
PROPERTY AND COLLATERAL REPRESENTATIONS AND COVENANTS
 
Grantor represents, warrants, covenants and agrees as follows:
 
Section 4.1        INSURANCE.  Grantor shall obtain and maintain, or cause to be obtained and maintained, in full force and effect at all times insurance with respect to Grantor and the Property as required pursuant to Section 4.16 of the Indenture.
 
Section 4.2       TAXES AND OTHER CHARGES.  Grantor shall pay and discharge all real estate and personal property taxes, assessments, water rates or sewer rents (collectively, “Taxes”), ground rents, maintenance charges, impositions (other than Taxes), and any Other Charges now or hereafter levied or assessed or imposed against the Property or any part thereof in accordance with the provisions of the Indenture.
 

 
 
 
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Section 4.3        LEASES.
 
(a)           Grantor hereby represents and warrants that, as of the Effective Date: (i) Operator is the lessor under all Major Leases (except with respect to the Operating Lease, under which the Operator is the lessee), (ii) to the best of Grantor’s knowledge, no Person (other than hotel guests or with respect to Permitted Liens) has any possessory interest in any Property or right to occupy the same except under and pursuant to the provisions of the Major Leases and the Management Agreement; (iii) to the best of Grantor’s knowledge, the Major Leases are in full force and effect and there are no material defaults by Grantor or any Tenant under any Major Lease, and there are no conditions that, with the passage of time or the giving of notice, or both, would constitute ma terial defaults under any Major Lease; (iv) with respect to each Major Lease, to the best of Grantor’s knowledge, (u) no Rent has been paid more than one (1) month in advance of its due date, (v) there are no offsets or defenses to the payment of any portion of the Rents, (w) all work to be performed by Grantor under each Major Lease has been performed as required and has been accepted by the applicable Tenant, and any payments, free rent, partial rent, rebate of rent or other payments, credits, allowances or abatements required to be given by Grantor to any Tenant have already been received by such Tenant, (x) there has been no prior sale, transfer or assignment, hypothecation or pledge of any Major Lease or of the Rents received therein which is still in effect, (y) no Tenant under any Major Lease has sublet all or any portion of the premises demised thereby, nor does anyone except such Tenant and its employees occupy such leased premises other than with respect to Permitted Liens, and (z) no Tenant under any Major Lease has a right or option pursuant to such Major Lease or otherwise to purchase all or any part of the Property; or any right or option for additional space which constitutes Property.
 
(b)           Grantor hereby covenants and agrees that it shall not enter into a proposed Lease, including the renewal or extension of an existing Lease (each a “Renewal Lease”), unless such proposed Lease or Renewal Lease (i) provides for rental rates and terms comparable to existing local market rates and terms (taking into account the type and quality of the Tenant) as of the date such Lease or Renewal Lease is executed by Grantor (unless, in the case of a Renewal Lease, the rent payable during such renewal, or a formula or other method to compute such rent, is provided for in the original Lease), (ii) is an arms-length transaction with a bona fide, independent third party Tenant, (iii) would not cause a Material Adverse Effect, and (iv) is subject and subordinate to the this Security Instrument. At Grantee’s request, Grantor shall promptly deliver to Grantee copies of all Leases and Renewal Leases which are entered into pursuant to this Section 4.3(b) together with Grantor’s certification that they have satisfied all of the conditions of this Section 4.3(b).
 
(c)           Grantor hereby covenants and agrees that it (i) shall observe and perform in all material respects all the obligations imposed upon the lessor under the Major Leases and shall not knowingly do or permit to be done anything to impair the value of any of the Major Leases as security for the Secured Obligations; (ii) shall promptly send copies to Grantee of all notices of default which Grantor shall send or receive with respect to the Major Leases; (iii) shall enforce all of the material terms, covenants and conditions contained in the Major Leases upon the part of the Tenant thereunder to be observed or performed; (iv) shall not collect any of the Rents more than one (1) month in advance (provided security deposits shall not be deemed Rents collected in advance); and (v) shall not execute any other assignment of the lessor’s interest in any of the Major Leases or the Rents therefrom, except for Permitted Liens (as such term is defined in the Indenture).
 
(d)           Grantor may, without the consent of Grantee, amend, modify or waive the provisions of any Lease or Renewal Lease or terminate, reduce rents under, accept a surrender of space under, or shorten the term of, any Lease or Renewal Lease (including any guaranty, letter of credit or other credit support with respect thereto); provided (i) that such action (taking into account, in the case of a termination, reduction in rent, surrender of space or shortening of term, and the planned alternative use of the affected
 

 
 
 
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space) would not cause a Material Adverse Effect, and (ii) that such Lease or Renewal Lease, as amended, modified or waived, is otherwise in compliance with the requirements of this Security Instrument and any subordination agreement binding upon Grantee with respect to such Lease or Renewal Lease. A termination of a Lease or Renewal Lease with a Tenant who is in default beyond applicable notice and grace periods shall not be considered an action which constitutes a Material Adverse Effect unless it causes a breach, default or failure of performance under the Management Agreement or Franchise Agreement, as applicable.  At Grantee’s request, Grantor shall promptly deliver to Grantee copies of all Leases, Renewal Leases, amendments, modifications and waivers which are entered into pursuant to this Section 4.3(d) together with a certification with respect to each that it has satisfied all of the conditions of this Section 4.3(d).
 
Section 4.4         TITLE.  Owner has fee simple title to the Property, subject only to the Permitted Liens, and has the right to mortgage, grant, bargain, sell, pledge, assign, warrant, transfer and convey the same.  Subject to the Permitted Liens, Grantor shall forever warrant, defend and preserve the title and the validity and priority of the Lien of this Security Instrument and shall forever warrant and forever defend the same to Grantee and the Secured Parties, as applicable, against the claims of all Persons whatsoever. Operator possesses a good and valid leasehold e state in and to the Operating Leasehold Estate and leases the Operating Leasehold Estate free and clear of all liens, encumbrances and charges whatsoever, except for the Permitted Liens.  This Security Instrument, when properly recorded in the appropriate records, together with any Uniform Commercial Code financing statements required to be filed in connection therewith, will create (a) a valid, perfected first priority Lien on the Property, subject only to Permitted Liens and (b) perfected security interests in and to, and perfected collateral assignments of, all personalty (including the Leases), all in accordance with the terms thereof, in each case subject only to any applicable Permitted Liens.
 
Section 4.5        PAYMENT FOR LABOR AND MATERIALS.
 
(a)           Subject to Section 4.5(b) below, Grantor will promptly pay (or cause to be paid) when due all bills and costs for labor, materials, and specifically fabricated materials incurred in connection with the Property (each, a “Work Charge”) and never permit to exist beyond the due date thereof in respect of the Property or any part thereof any Lien or security interest with respect to any Work Charge other than a Lien permitted pursuant to Section 4.23(c)(i) of the Indenture, even though inferior to the Liens and the security interests hereof, and in any event never permit to be created or exist in respect of the Property or any part thereof any other or additional Lien or security interest with respect to any Work Charge other than the Liens or security interests hereof except for the Liens permitted pursuant to Section 4.23(c)(i) of the Indenture.  Grantor represents there are no claims for payment for work, labor or materials affecting the Property which are or may become a Lien prior to, or of equal priority with, the Liens created by the Note Documents.
 
(b)           After prior written notice to Grantee, Grantor, at its own expense, may contest by appropriate legal proceeding, promptly initiated and conducted in good faith and with due diligence, the validity of any Work Charge, the applicability of any Work Charge to Grantor or to the Property or any alleged non-payment of any Work Charge, provided that (i) no Event of Default has occurred and is continuing; (ii) such proceeding shall be permitted under and be conducted in accordance with the provisions of any instrument to which Grantor is subject and shall not constitute a default thereunder and such proceeding shall be conducted in accordance with all Applicable Laws; (iii) neither the Property nor any part thereof or interest therein will be in danger of being sold, forfeited, terminated, cancelled or lost during the duration of such legal proceeding; (iv) Grantor shall promptly upon final determination thereof pay (or cause to be paid) any such Work Charge determined to be valid, applicable and unpaid; (v) such proceeding shall suspend the collection of such contested Work Charge from the Property or Grantor shall have paid the same (or shall have caused the same to be paid) under protest; and (vi) Grantor shall furnish (or cause
 

 
 
 
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to be furnished) such security as may be required in the proceeding by Applicable Laws, or as may be reasonably requested by Grantee, to insure payment of such Work Charge, together with all interest and penalties payable in connection therewith.  Grantee may apply any such security or part thereof, as necessary to pay for such Work Charge at any time when, in the sole but reasonable judgment of Grantee, the validity, applicability and non-payment of such Work Charge is finally established or the Property (or any part thereof or interest therein) shall be in danger of being sold, forfeited, terminated, cancelled or lost during or as a result of such legal proceeding or Work Charge.
 
Section 4.6          MAINTENANCE AND USE OF PROPERTY, WASTE, USE.  Grantor shall cause the Property to be maintained in a good and safe condition and repair in accordance with the terms of the Indenture.  Subject to the terms of the Indenture, the Improvements and the Personal Property shall not be removed, demolished or materially altered or expanded (except for normal replacement of the Personal Property) without the consent of Grantee.  Subject to the terms of the Indenture, Grantor shall promptly repair, replace or rebuild any part of the Property which may be destroyed by any casualty, or become damaged, worn or dilapidated or which ma y be affected by any condemnation and shall complete and pay for any structure at any time in the process of construction or repair on the Land.  Subject to the terms of the Indenture, Grantor shall not initiate, join in, acquiesce in, or consent to any change in any private restrictive covenant, zoning law or other public or private restriction, limiting or defining the uses which may be made of the Property or any part thereof.  Subject to the provisions of the Indenture with respect thereto, if, under Applicable Laws relating to zoning, the use of all or any portion of the Property is or shall become a nonconforming use, Grantor will not cause or permit the nonconforming use to be discontinued or the nonconforming Improvement to be abandoned without the express written consent of Grantee.  Grantor shall not commit or suffer any waste of the Property or make any change in the use of the Property which will in any way materially increase the risk of fire or other hazard arising out of the operation of the Property, or take any action that might invalidate or give cause for cancellation of any policy, or do or permit to be done thereon anything that may in any way impair the value of the Property or the security of this Security Instrument.  Grantor will not, without the prior written consent of Grantee, permit any drilling or exploration for or extraction, removal, or production of any minerals from the surface or the subsurface of the Land, regardless of the depth thereof or the method of mining or extraction thereof.  The Property shall be used only for a hotel and any ancillary uses relating thereto, and for no other uses without the prior written consent of Grantee.
 
Section 4.7            CHIEF EXECUTIVE OFFICE; CHANGE OF NAME; JURISDICTION OF ORGANIZATION; STATUS OF GRANTOR.  Each Grantor will not effect any change (i) to its legal name, (ii) in its identity (including its trade name or names) or organizational structure, (iii) in its organizational identification number, if any, (iv) in its jurisdiction of organization (in each case, including by merging with or into any other entity, reorganizing, dissolving, liquidating, reorganizing or organizing in any other jurisdiction), or (v) in its principal place of business set forth on the first page of this Security Instrument, unless (A) it shall have given the Grantee written notice at least thirty (30) days prior to the effective date of any such change, clearly describing such change and providing such other information in connection therewith as the Grantee may reasonably request, and, in the case of a change in Grantor’s structure not permitted by the Indenture, without first obtaining the prior written consent of Grantee, and (B) it shall have taken or will promptly take all action necessary to maintain the perfection and priority of the security interest of the Grantee in the Collateral at all times following such change.  Each Grantor’s exact legal name is correctly set forth in the first paragraph of this Security Instrument and the signature block at the end of this Security Instrument.  Each Grantor is an organization of the type specified in the first paragraph of this Security Instrument.  Each Grantor is incorporated in or organ ized under the laws of Delaware and authorized to do business in the State of Texas.  Each Grantor’s principal place of business and chief executive office, and the place where the Grantor keeps its books and records, including recorded data of any kind or nature, regardless of the medium or recording, including software, writings, plans, specifications and schematics, has been for the preceding four months (or, if less, the entire period
 

 
 
 
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of the existence of Grantor) c/o FelCor Lodging Trust Incorporated, 545 E. John Carpenter Freeway, Suite 1300, Irving, Texas 75062, Attention: General Counsel.  Each Grantor’s organizational identification number, if any, assigned by the state of incorporation or organization is correctly set forth in Section 2.7 of this Security Instrument.  If a Grantor does not now have an organizational identification number and later obtains one, Grantor promptly shall notify the Grantee of such organizational identification number.
 
Section 4.8         EVENT OF LOSS.  If there shall occur any Event of Loss (or, in the case of any condemnation, taking or other proceeding in the nature thereof, upon the occurrence thereof or notice of the commencement of any proceeding therefor), the Grantor shall promptly send to the Grantee a written notice setting forth the nature and extent thereof.  Any Net Loss Proceeds which derive from such Event of Loss shall be applied, allocated and distributed in accordance with the provisions of Section 4.12 of the Indenture.
 
Section 4.9        OPERATING LEASE.
 
(a)           Grantor hereby represents and warrants, as of the Effective Date: (i) the Operating Lease is in full force and effect and has not been modified or amended in any manner whatsoever, except as specified in Section 2.1(g) hereof; (ii) to the best of Grantor’s knowledge, there are no material defaults under the Operating Lease by any party thereunder, and no event has occurred which but for the passage of time, or the giving of notice, or both would constitute a material default under the Operating Lease; (iii) neither Owner nor Operator, under the Operating Lease, has commenced any action or given or received any notice for the purpose of terminating the Operating Lease; (iv) to the best of G rantor’s knowledge, the applicable interests of Owner and Operator in the Operating Lease are not subject to any Liens (other than Permitted Liens) superior to, or of equal priority with, this Security Instrument; (v) this Security Instrument encumbers the Operator’s leasehold interest in the Property as tenant under the Operating Lease and Owner’s fee interest in the Property (and the Owner’s interest, as landlord, in the Operating Lease); (vi) the Owner’s fee interest is subject and subordinate to this Security Instrument; (vii) the Operating Lease requires Owner or Operator, as applicable, to use reasonable efforts to give notice of any default by Owner or Operator to Grantee and the Operating Lease further provides that any notice of termination given under the Operating Lease is not effective against Grantee or any Secured Party unless a copy of the notice has been delivered to Grantee in the manner described in the Operating Lease; (viii) under the terms of the Operating L ease, Grantee is permitted a reasonable opportunity (including, where necessary, sufficient time to gain possession of the interest of Operator under the Operating Lease) to cure any default under the Operating Lease, which is curable after the receipt of notice of any default, before Owner may terminate the Operating Lease; (ix) under the terms of the Operating Lease and the applicable Note Documents, taken together, any Net Loss Proceeds will be applied in accordance with the terms of the Indenture; (x) the Operating Lease does not impose restrictions on subletting; and (xi) the Operating Lease or a memorandum thereof has been duly recorded.
 
(b)           Notwithstanding the terms of Section 11.1 of the Operating Lease, by its execution of this Security Instrument, Owner hereby consents to Operator entering into this Security Instrument and mortgaging and encumbering its interest in the Operating Lease in favor of Grantee hereby.
 
(c)           The Owner and Operator hereby agree that the Operating Lease is subject and subordinate to all of the terms and provisions of this Security Instrument (including any and all extensions, renewals, replacements, refinancings, additions to, consolidations, amendments and modifications hereof) and to the rights of Grantee hereunder.
 

 
 
 
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(d)           Each of Owner and Operator hereby covenant and agree, so long as the Secured Obligations remain outstanding, to:
 
(i)       promptly perform and/or observe in all material respects all of the non-monetary covenants and agreements required to be performed and observed by it under the Operating Lease and do all things necessary to preserve and to keep unimpaired its rights thereunder;
 
(ii)       promptly notify Grantee of any event of default under the Operating Lease;
 
(iii)                  promptly enforce the performance and observance of all of the covenants and agreements required to be performed and/or observed by Owner or Operator, as applicable, under the Operating Lease; and
 
(iv)                  maintain the Operating Lease in full force and effect while the Secured Obligations remain outstanding.
 
(e)           Grantee acknowledges and agrees that the Operating Lease shall automatically terminate upon Grantee (or its nominee or a purchaser of the Property in connection with a foreclosure or pursuant to a deed in lieu thereof) obtaining title to the Property pursuant to a foreclosure of this Security Instrument, deed in lieu thereof or pursuant to the exercise of any other remedies available to Grantee after an Event of Default.
 
Section 4.10       MANAGEMENT AGREEMENT.
 
(a)           Operator hereby represents and warrants, as of the Effective Date: (i) the Management Agreement is in full force and effect, and to the best of Operator’s knowledge, there is no material default thereunder by any party thereunder; (ii) to the best of Operator’s knowledge, no event has occurred that, with the passage of time and/or the giving of notice or both would constitute a material default thereunder; (iii) except to the extent nonpayment would not have a Material Adverse Effect, no management fees under the Management Agreement are accrued and unpaid except as provided or permitted under the express terms of the Management Agreement; and (iv) under the terms of the Management Agreement, and the applicable Note Documents, taken together, any Net Loss Pr oceeds will be applied in accordance with the terms of the Indenture.
 
(b)           Operator hereby covenants and agrees that, so long as the Secured Obligations remain outstanding, Operator shall (i) diligently perform and observe in all material respects all of the terms, covenants and conditions of the Management Agreement on the part of  the Operator to be performed and observed and Operator shall do all things necessary to keep unimpaired the rights of Operator under the Management Agreement except to the extent failure to do so would not have a Material Adverse Effect; and (ii) reasonably promptly notify Grantee of the giving of any notice by the Manager to Operator of any material default by Operator in the performance or observance of any of the terms, covenants or conditions of the Management Agreement on the part of Operator to be s o performed and observed and deliver to Grantee a true copy of each such notice.
 
Section 4.11      FRANCHISE AGREEMENT.
 
(a)           Operator hereby represents and warrants, as of the Effective Date:  (i) the Franchise Agreement is in full force and effect, and, except to the extent nonpayment would not have a Material Adverse Effect, all franchise fees, reservation fees, royalties and other sums due and payable thereunder have been paid in full to date (except as may be permitted under the express terms of the Franchise Agreement), (ii) to the best of Operator’s knowledge, there is no material default under the Franchise
 

 
 
 
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Agreement by any party thereunder, (iii) there exists no property improvement plan with respect to the Property pursuant to which improvements or repairs to the Property required by the Franchisor remain incomplete or unsatisfied in any material respect in accordance with such plan or other requirements of the Franchisor in any material respect, and (iv) under the terms of the Franchise Agreement, and the applicable Note Documents, taken together, any Net Loss Proceeds will be applied in accordance with the terms of the Indenture.
 
(b)           Operator hereby covenants and agrees that so long as the Secured Obligations remain outstanding, Operator shall, (i) pay all sums required to be paid by Operator, in its capacity as franchisee, under the Franchise Agreement except to the extent nonpayment would not have a Material Adverse Effect, (ii) diligently perform, observe and enforce in all material respects all of the material terms, covenants and conditions of the Franchise Agreement on the part of the Operator, in its capacity as franchisee, to be performed, observed and enforced and do all things necessary to keep unimpaired the rights of the Operator, in its capacity as franchisee, under the Franchise Agreement, and (iii) reasonably promptly notify Grantee of the giving of any notice to Operator of any mater ial default by Operator, in its capacity as franchisee, in the performance or observance of any of the terms, covenants or conditions of the Franchise Agreement on the part of Operator, in its capacity as franchisee, to be performed and observed and deliver to Grantee a true copy of each such notice.
 
ARTICLE 5
 
 
FURTHER ASSURANCES
 
Section 5.1      COMPLIANCE WITH INDENTURE.  Grantor shall comply with all covenants set forth in the Indenture relating to acts or other further assurances to be made on the part of Grantor in order to protect and perfect the Lien or security interest hereof upon, and in the interest of Trustee, Grantee and Secured Parties in, the Property.
 
Section 5.2        AUTHORIZATION TO FILE FINANCING STATEMENTS; POWER OF ATTORNEY.  Grantor hereby irrevocably authorizes the Grantee at any time and from time to time to file in any filing office in any Uniform Commercial Code jurisdiction any initial financing statements and amendments thereto and continuations thereof that (a) indicate the Collateral (i) as all assets of the Grantor or words of similar effect, regardless of whether any particular asset comprised in the Collateral falls within the scope of Article 9 of the Uniform Commercial Code of the State or such jurisdiction, or (ii) as being of an equal or lesser scope or with greater detail, and (b) provide any other information required by part 5 of Article 9 of the Uniform Commercial Code of the State or such other jurisdiction for the sufficiency or filing office acceptance of any financing statement or amendment, including (i) whether the Grantor is an organization, the type of organization and any organizational identification number issued to the Grantor and, (ii) in the case of a financing statement filed as a fixture filing or indicating Collateral as as-extracted collateral or timber to be cut, a sufficient description of real property to which the Collateral relates.  The Grantor agrees to furnish any such information to the Grantee promptly upon the Grantee’s request.  Grantor also ratifies its authorization for Grantee to have filed any like initial financing statements, amendments thereto and continuations thereof, if filed prior to the date of this Security Instrument.  Grantor hereby irrevocably constitutes and appoints Grantee and any officer or agent of Grantee, with full power of substitution, as its true and lawful attorneys-in-fact with full irrevocable power and authority in the place and stead of Grantor or in Grantor’s own name to execute in Grantor’s name any such documents and otherwise to carry out the purposes of this Section 5.2, to the extent that Grantor’s authorization above is not sufficient and Grantor fails or refuses to promptly execute such documents.  To the extent permitted by Applicable Laws, Grantor hereby ratifies all acts said attorneys-in-fact have lawfully done in the past or shall lawfully do or cause to be done in the future by virtue hereof.  This power of attorney is a power coupled with an interest and shall be irrevocable until final payment and performance of the Secured Obligations or the full and final release of this Security Instrument.
 

 
 
 
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Section 5.3        RECORDING OF SECURITY INSTRUMENT, ETC.  Grantor, upon execution and delivery of this Security Instrument and thereafter, from time to time, will cause this Security Instrument and any of the other Note Documents creating a Lien or evidencing the Lien hereof upon the Property and each instrument of further assurance to be filed, registered or recorded in such manner and in such places as may be required by Applicable Laws in order to publish notice of and fully to protect and perfect the Lien hereof upon, and the interest of Grantee and Trustee in, the Property.  Grantor will pay all taxes, filing, registration or recording fees, and all expe nses incident to the preparation, execution, acknowledgment and/or recording of this Security Instrument and the other Note Documents, including any instrument of further assurance and any modification or amendment of the foregoing documents, and all federal state, county and municipal taxes, duties, imposts, assessments and charges arising out of or in connection with the execution and delivery of this Security Instrument and the other Note Documents, including any instrument of further assurance and any modification or amendment of the foregoing documents, except where prohibited by Applicable Laws so to do.
 
Section 5.4        ADDITIONS TO PROPERTY.  All right, title and interest of the Grantor in and to all extensions, amendments, relocations, retakings, improvements, betterments, renewals, substitutes and replacements of, and all additions and appurtenances to, the Property hereafter acquired by or released to the Grantor or constructed, assembled or placed by the Grantor upon the Land, and all conversions of the security constituted thereby, immediately upon such acquisition, release, construction, assembling, placement or conversion, as the case may be, and in each such case without any further mortgage, conveyance, assignment or other act by the Grantor, shall become s ubject to the Lien and security interest of this Security Instrument as fully and completely and with the same effect as though now owned by the Grantor and specifically described in the grant of the Property above, but at any and all times the Grantor will execute and deliver to the Grantee any and all such further assurances, mortgages, deeds of trust, conveyances or assignments thereof as the Grantee may reasonably require for the purpose of expressly and specifically subjecting the same to the Lien and security interest of this Security Instrument.
 
Section 5.5       ADDITIONAL SECURITY.  Without notice to or consent of the Grantor and without impairment of the Lien and rights created by this Security Instrument, the Grantee and/or Trustee at the direction of the Grantee may accept (but the Grantor shall not be obligated to furnish) from the Grantor or from any other Person, additional security for the Secured Obligations.  Neither the giving hereof nor the acceptance of any such additional security shall prevent the Grantee or Trustee at the direction of the Grantee from resorting, first, to such additional security, and, second, to the security created by this Security Instrument without affecting the Grante e’s and Trustee’s Lien and rights under this Security Instrument.
 
Section 5.6        STAMP AND OTHER TAXES.  The Grantor shall pay any United States documentary stamp taxes, with interest and fines and penalties, and any mortgage recording taxes, with interest and fines and penalties, that may hereafter be levied, imposed or assessed under or upon or by reason hereof or the Secured Obligations or any instrument or transaction affecting or relating to either thereof, and in default thereof, the Grantee may advance the same and the amount so advanced shall be payable by the Grantor to the Grantee, upon demand.
 
      Section 5.7       CERTAIN TAX LAW CHANGES.  In the event of the passage after the date hereof of any law deducting from the value of real property, for the purpose of taxation, amounts in respect of any Lien thereon or changing in any way the laws for the taxation of mortgages or debts secured by mortgages for state or local purposes or the manner of the collection of any taxes, and imposing any taxes, either directly or indirectly, on this Security Instrument or any other Note Document, the Grantor shall promptly pay to the Grantee such amount or amounts as may be necessary from time to time to pay any

 
 
 
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such taxes, assessments or other charges resulting therefrom; provided, that if any such payment or reimbursement shall be unlawful or taxable to the Grantee, or would constitute usury or render the indebtedness wholly or partially usurious under Applicable Laws, the Grantor shall pay or reimburse the Grantee for payment of the lawful and non-usurious portion thereof.
 
Section 5.8        PROCEEDS OF TAX CLAIM.  In the event that the proceeds of any tax claim are paid after the Grantee has exercised its right to foreclose the Lien hereof, such proceeds shall be paid to the Grantee to satisfy any deficiency remaining after such foreclosure.  The Grantee shall retain its interest in the proceeds of any tax claim during any redemption period.  The amount of any such proceeds in excess of any deficiency claim of the Grantee shall in a reasonably prompt manner be released to the Grantor.
 
ARTICLE 6
 

 
DUE ON SALE/ENCUMBRANCE
 
Section 6.1        NO SALE/ENCUMBRANCE.  Except as and to the extent permitted by the Indenture and except for any Permitted Liens, Grantor shall not cause or permit a sale, conveyance, mortgage, deed, grant, bargain, encumbrance, pledge, assignment, or grant of any options with respect to, or any other transfer or disposition (directly or indirectly, voluntarily or involuntarily, by operation of Applicable Laws or otherwise, and whether or not for consideration or of record) of a legal or beneficial interest in the Property or any part thereof or interest therein.
 
ARTICLE 7
 
 
PREPAYMENT; RELEASE OF PROPERTY
 
Section 7.1         PREPAYMENT.  The Secured Obligations may not be prepaid in whole or in part except in strict accordance with the express terms and conditions of the Indenture Notes and the Indenture.
 
Section 7.2        RELEASE OF PROPERTY.  Grantor shall not be entitled to a release of any portion of the Property from the Lien of this Security Instrument except in accordance with the express terms and conditions of the Indenture.
 
ARTICLE 8
 
 
DEFAULT
 
Section 8.1        EVENT OF DEFAULT.  The term “Event of Default” as used in this Security Instrument shall have the meaning assigned to such term in the Indenture and the occurrence of an “Event of Default” under the Indenture shall constitute an “Event of Default” hereunder.
 
ARTICLE 9
 
 
RIGHTS AND REMEDIES UPON DEFAULT
 
Section 9.1.      REMEDIES.  Upon the occurrence and during the continuance of any Event of Default, Grantor agrees that Grantee, acting for itself or by or through Trustee (or its successors and substitutes), may take such action, without notice or demand, as it deems advisable to protect and enforce its rights against Grantor, and in and to the Property, including, but not limited to, such actions as are available under Applicable Laws and the following actions, each of which may be pursued alternatively, concurrently

 
 
 
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or otherwise, at such time and in such order as Grantee may determine, in its sole discretion, without impairing or otherwise affecting the other rights and remedies of Grantee:
 
(a)           Grantee may, or may direct Trustee (or its successors and substitutes) to, declare the Secured Obligations to be immediately due and payable.  Notwithstanding the foregoing, if and to the extent the Indenture provides for automatic acceleration of the principal amount of the outstanding Secured Obligations upon the occurrence of certain Events of Default, such provisions with respect to automatic acceleration shall govern and control, without any further notice, demand or other action by the Secured Parties, Grantee, Trustee or any other Person.
 
(b)           [Reserved].
 
(c)           With respect to foreclosure, judicial or otherwise, with respect to any of the Property:
 
(i)       Grantee may, or may direct Trustee (or its successors and substitutes) to, institute proceedings, judicial or otherwise, for the complete foreclosure of this Security Instrument under any applicable provision of Applicable Laws, in which case the Property or any interest therein may be sold for cash or upon credit in one or more parcels or in several interests or portions and in any order or manner.    Grantee may personally, or by its agents or attorneys, or may direct the Trustee to, (A) enter into and upon and take possession of all or any part of the Property together with the books, records and accounts of the Grantor relating thereto and exclude the Grantor, its agents and servants wholly therefrom, (B) use, operate, manage and control the Property and conduct the bu siness thereof, (C) maintain and restore the Property, (D) make all necessary or proper repairs, renewals and replacements and such useful alterations thereto and thereon as the Grantee may deem advisable, (E) manage, lease and operate the Property and carry on the business thereof and exercise all rights and powers of the Grantor with respect thereto either in the name of the Grantor or otherwise or (F) collect and receive all Rents.  Subject to Section 10.1, the Grantee or Trustee shall be under no liability for or by reason of any such taking of possession, entry, removal or holding, operation or management except that any amounts so received by the Grantee shall be applied in accordance with the provisions of  the Indenture.
 
(ii)           Grantee may, or may direct Trustee (or its successors and substitutes) to, with or without entry, to the extent permitted and pursuant to the procedures provided by Applicable Laws, institute proceedings for the partial foreclosure of this Security Instrument, conducting the sale as herein provided, and without declaring the whole Secured Obligations due, and provided that if sale is made because of an Event of Default as hereinabove mentioned, such sale may be made subject to the unmatured part of the Indenture Notes and/or the Secured Obligations secured hereby, and it is agreed that such sale, if so made, shall not in any manner affect any other Secured Obligations secured hereby, but as to such other Secured Obligations this Security Instrument and the Liens creat ed hereby shall remain in full force and effect just as though no sale had been made under the provisions of this Section 9.1(c)(ii).  It is further agreed that several sales may be made hereunder without exhausting the right of sale for any remaining Secured Obligations secured hereby, it being the purpose to provide for a foreclosure and sale of the Property for any matured portion of any of the Secured Obligations secured hereby or other items provided for herein without exhausting the power to foreclose and to sell the

 
 
 
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Property for any remaining Secured Obligations secured hereby, whether matured at the time or subsequently maturing.
 
(iii)                  Grantee may, or may direct Trustee (or its successors and substitutes) to, sell the Property in whole or in part and in such parcels and order as Grantee or Trustee may determine, and the right of sale hereunder shall not be exhausted by one or more sales, but successive sales may be had until all of the Property has been legally sold.
 
(iv)                  Grantee and/or one or more Secured Parties may become the purchaser at any such sale if it is the highest bidder, and shall have the right, after paying or accounting for all costs of said sale or sales, to credit the amount of the bid upon the amount of the Secured Obligations owing, in lieu of cash payment.
 
(v)       It shall not be necessary for the Grantee or Trustee, or its successors or substitutes, to have constructively in its possession any part of the real or personal Property covered by this Security Instrument, and the title and right of possession of said Property shall pass to the purchaser or purchasers at any sale hereunder as fully as if the same had been actually present and delivered.  Likewise, on foreclosure of this Security Instrument whether by power of sale herein contained or otherwise, Grantor or any Person claiming any part of the Property by, through or under Grantor, shall not be entitled to a marshalling of assets or a sale in inverse order of alienation.
 
(vi)                  The recitals and statements of fact contained in any notice or in any conveyance to the purchaser or purchasers at any sale hereunder shall be prima facie evidence of the truth of such facts, and all prerequisites and requirements necessary to the validity of any such sale shall be presumed to have been performed.
 
(vii)                  To the extent permitted by Applicable Laws, any sale under the powers granted by this Security Instrument shall be a perpetual bar against Grantor, its heirs, successors, assigns and legal representatives.
 
(viii)                  Grantee may, or may direct Trustee (or its successors and substitutes) to, sell for cash or upon credit the Property or any part thereof and all estate, claim, demand, right, title and interest of Grantor therein and rights of redemption thereof, pursuant to power of sale or otherwise, at one or more sales, as an entirety or in parcels, at such time and place, upon such terms and after such notice thereof as may be required or permitted by Applicable Laws.
 
(ix)                  In the event of a sale, by foreclosure, power of sale or otherwise, of less than all of Property, this Security Instrument shall continue as a Lien and security interest on the remaining portion of the Property unimpaired and without loss of priority.
 
(d)           In the event any sale hereunder is not completed or is defective in the opinion of Grantee or the holder of any part of the Secured Obligations, to the extent permitted by Applicable Laws, such sale shall not exhaust the power of sale hereunder, and Grantee or such holder shall have the right to cause a subsequent sale or sales to be made by the Trustee or any successor or substitute Trustee.
 
       (e)           In the event of a foreclosure under the powers granted by this Security Instrument, Grantor and all other Persons in possession of any part of the Property shall be deemed tenants at will of the purchaser at such foreclosure sale and shall be liable for a reasonable rental for

 
 
 
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the use of the Property; and if any such tenants refuse to surrender possession of the Property upon demand, the purchaser shall be entitled to institute and maintain the statutory action of forcible entry and detainer and procure a writ of possession thereunder, and Grantor expressly waives all damages sustained by reason thereof.
 
(f)           Grantee may, or may direct Trustee (or its successors and substitutes) to, institute an action, suit or proceeding in equity for the specific performance of any covenant, condition or agreement contained herein or in the Indenture Notes, the Indenture or in the other Note Documents.
 
(g)           Grantee may, or may direct Trustee (or its successors and substitutes) to, recover judgment on the Indenture Notes either before, during or after any proceedings for the enforcement of this Security Instrument or the other Note Documents.
 
(h)           Grantee may, or may direct Trustee (or its successors and substitutes) to, apply for and shall be entitled to the appointment of a receiver, trustee, liquidator or conservator of the Property, without notice and without regard for the adequacy of the security for the Secured Obligations and without regard for the solvency of any Grantor or Guarantor or any other guarantor or indemnitor under the Indenture or any other Person liable for the payment of the Secured Obligations.
 
(i)           The license granted to Grantor under Section 2.2 hereof shall automatically be revoked and, to the extent permitted by Applicable Laws, Grantee may enter into or upon the Property, either personally or by its agents, nominees or attorneys and dispossess Grantor and its agents and servants therefrom, without liability for trespass, damages or otherwise and exclude Grantor and its agents or servants wholly therefrom, and take possession of all books, records and accounts relating thereto and Grantor agrees to surrender possession of the Property and of such books, records and accounts to Grantee upon demand, and thereupon Grantee may (i) use, operate, manage, control, insure, maintain, repair, restore and otherwise deal with all and every part of the Property and conduct the business thereat; (ii) complete any construction on the Property in such manner and form as Grantee deems advisable; (iii) make alterations, additions, renewals, replacements and improvements to or on the Property; (iv) exercise all rights and powers of Grantor with respect to the Property, whether in the name of Grantor or otherwise, including, without limitation, the right to make, cancel, enforce or modify Leases, obtain and evict Tenants, and demand, sue for, collect and receive all Rents of the Property and every part thereof; (v) require Grantor to pay monthly in advance to Grantee, or any receiver appointed to collect the Rents, the fair and reasonable rental value for the use and occupation of such part of the Property as may be occupied by Grantor; (vi) require Grantor to vacate and surrender possession of the Property to Grantee or to such receiver and, in default thereof, Grantor may be evicted by summary proceedings or otherwise; and (vii) apply the receipts from the Property to the payment of the Secured Obligations, in such order, priority and proportions as Grantee shall deem appropriate in its sole discretion after deducting therefrom all reasonable expenses (including attorneys’ fees) incurred in connection with the aforesaid operations and all amounts necessary to pay the Taxes, Other Charges, insurance and other expenses in connection with the Property, as well as just and reasonable compensation for the services of Grantee and Secured Parties, and their respective counsel, agents and employees.  Notwithstanding the provisions of this Section 9.1(i) hereof, no credit shall be given by Grantee for any sum or sums received from the rents, issues and profits of the Property until the money collected is actually received by Grantee at its principal office, or at such other place as Grantee shall designate in writing, and no such credit shall be given for any uncollected rents or other uncollected amounts or bills, nor shall such credit be given for any rents, issues and profi ts derived from the Property after foreclosure or other transfer of the Prop-
 

 
 
 
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erty (or part thereof from which rents, issues and/or profits are derived pursuant to the Security Instrument or by agreement) to Grantee or any other third party.  Receipt of rents, issues and/or profits by Grantee shall not be deemed to constitute a pro-tanto payment of the indebtedness evidenced by, or arising under, this Security Instrument, the Indenture Notes, the Indenture or any of the other Note Documents, but shall be applied as provided in Section 9.2.
 
(j)           To the extent permitted by Applicable Laws, Grantee may, or may direct Trustee (or its successors and substitutes) to, exercise any and all rights and remedies granted to a secured party upon an uncured default under the Uniform Commercial Code, including, without limiting the generality of the foregoing:  (i) the right to take possession of the Collateral (including, without limitation, the Personal Property) or any part thereof, and to take such other measures as Grantee may deem necessary for the care, protection and preservation of the Collateral (including, without limitation, the Personal Property); and (ii) request Grantor at its expense to assemble the Collateral (including, without limitation, the Personal Property) and make it available to Gran tee at a convenient place acceptable to Grantee.  Any notice of sale, disposition or other intended action by Grantee or Trustee with respect to the Collateral (including, without limitation, the Personal Property) sent to Grantor in accordance with the provisions hereof at least five (5) days prior to such action shall constitute commercially reasonable notice to Grantor.
 
(k)           Grantee may, or may direct Trustee (or its successors and substitutes) to, apply any sums then deposited or held in escrow or otherwise by or on behalf of Grantee in accordance with the terms of the Indenture, this Security Instrument or any other Note Document, to the payment of the following items in any order in its sole discretion: (i) Taxes and Other Charges; (ii) insurance premiums; (iii) interest on the unpaid principal balance of the Indenture Notes; (iv) amortization of the unpaid principal balance of the Indenture Notes; (v) all other sums payable pursuant to the Indenture Notes, the Indenture, this Security Instrument and the other Note Documents, including, without limitation, advances made by Grantee or any Secured Party pursuant to the terms of this Secur ity Instrument.
 
(l)           Grantee may, or may direct Trustee (or its successors and substitutes) to, surrender the insurance policies maintained pursuant to the Indenture, collect the unearned insurance premiums for such insurance policies and apply such sums as a credit on the Secured Obligations in such priority and proportion as Grantee in its discretion shall deem proper, and in connection therewith, Grantor hereby appoints Grantee as its agent and attorney-in-fact (which is coupled with an interest and is therefore irrevocable) for Grantee to collect such insurance premiums.
 
(m)           Grantee may apply the undisbursed balance of any deposit made by Grantor with Grantee in connection with the restoration of the Property after a casualty thereto or condemnation thereof, together with interest thereon, to the payment of the Secured Obligations in such order, priority and proportions as Grantee shall deem to be appropriate in its discretion.
 
(n)           Grantee may, or may direct Trustee to, pursue such other remedies as Grantee or Trustee may have under Applicable Laws.
 
Section 9.2           APPLICATION OF PROCEEDS.  The purchase money, proceeds and avails of any disposition of the Property, and/or any part thereof, or any other sums collected by Grantee on behalf of Secured Parties pursuant to this Security Instrument shall be applied by Grantee as follows:
 
    FIRST:   To the Indenture Trustee for all amounts due under Section 7.07 of the Indenture;

 
 
 
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SECOND: To the Collateral Agent and Indenture Trustee for all amounts due under this Security Instrument;
 
THIRD: To the Noteholders (as such term is defined in the Indenture) for amounts then due and unpaid for principal, premium, if any, and interest on the Indenture Notes in respect of which or for the benefit of which such money has been collected ratably, without preference or priority of any kind, according to the amounts due and payable on such Indenture Notes for principal, premium, if any, and interest, respectively; and
 
FOURTH:  To the Partnership or any of the obligors of the Indenture Notes, as their interests may appear, or as a court of competent jurisdiction may direct.
 
Section 9.3     RIGHT TO CURE DEFAULTS.  Upon the occurrence and during the continuance of any Event of Default, Grantee may, but without any obligation to do so and without notice to or demand on Grantor and without releasing Grantor from any obligation hereunder, make any payment or do any act required of Grantor hereunder in such manner and to such extent as Secured Parties may deem necessary to protect the security hereof.  Grantee is authorized to enter upon the Property for such purposes, or appear in, defend, or bring any action or proceeding to protect its interest in the Property or to foreclose this Security Instrument or collect the Secured Obligations, and the re asonable cost and expense thereof (including attorneys’ fees to the extent permitted by Applicable Laws) with interest as provided in this Section 9.3, shall constitute a portion of the Secured Obligations and shall be due and payable to Grantee on behalf of Secured Parties upon demand.  All such costs and expenses incurred by Grantee or any Secured Party remedying such Event of Default or such failed payment or act or in appearing in, defending, or bringing any such action or proceeding shall bear interest at the rate of interest specified in Section 2.14 of the Indenture, if any (the “Default Rate”), for the period after notice from Grantee or any Secured Party that such cost or expense was incurred to the date of payment to Grantee or such Secured Party.  All such costs and expenses incurred by Grantee or any Secured Party or Trustee toge ther with interest thereon calculated at the Default Rate shall be deemed to constitute a portion of the Secured Obligations and be secured by this Security Instrument and the other Note Documents and shall be immediately due and payable upon demand by Grantee or such Secured Party therefor.
 
Section 9.4     ACTIONS AND PROCEEDINGS.  Grantee has the right to appear in and defend any action or proceeding brought with respect to the Property and to bring any action or proceeding, in the name and on behalf of Grantor, which Grantee, in its discretion, decides should be brought to protect its interest in the Property.
 
Section 9.5      RECOVERY OF SUMS REQUIRED TO BE PAID.  Grantee and Secured Parties shall have the right from time to time to take action to recover any sum or sums which constitute a part of the Secured Obligations as the same become due, without regard to whether or not the balance of the Secured Obligations shall be due, and without prejudice to the right of Grantee and Secured Parties thereafter to bring an action of foreclosure, or any other action, for a default or defaults by Grantor existing at the time such earlier action was commenced.
 
    Section 9.6        ADDITIONAL PROVISIONS.  With respect to the Collateral, from the Effective Date until the Secured Obligations are paid and performed in full or this Security Instrument is otherwise released by written instrument executed by Grantee and authorized to be recorded in the applicable public records of the jurisdiction in which the Property is located, Grantee and Trustee (and its successors and substitutes) are hereby irrevocably appointed the true and lawful attorney of the Grantor (coupled with an interest), in its name and stead, to make all necessary conveyances, assignments, tr ansfers and deliveries of the Collateral, and for that purpose Grantee and Trustee (and its successors and substitutes) may execute all necessary instruments of conveyance, assignment, transfer and delivery, and may substitute one

 
 
 
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or more Persons with such power, Grantor hereby ratifying and confirming all that its said attorney or such substitute or substitutes shall lawfully do by virtue hereof.  Notwithstanding the foregoing, Grantor, if so requested by Grantee, shall ratify and confirm any such sale or sales by executing and delivering to Grantee or to such purchaser or purchasers all such instruments as may be advisable, in the judgment of Grantee, for such purpose, and as may be designated in such request.  To the extent permitted by Applicable Laws, any such sale or sales made under or by virtue of this Section 9.6 shall operate to divest all the estate, right, title, interest, claim and demand whatsoever, whether at law, or in equity, of Grantor in and to the pro perties and rights so sold, and shall be a perpetual bar both at law and in equity against Grantor and against any and all Persons claiming or who may claim the same, or any part thereof, from, through or under Grantor.  Upon any sale made under or by virtue of this Section 9.6, Trustee, or its successor or substitute, or Grantee may, to the extent permitted by Applicable Laws, bid for and acquire the Property or any part thereof and in lieu of paying cash therefor may make settlement for the purchase price by crediting upon the Secured Obligations secured hereby the net sales price after deducting therefrom the expenses of the sale and the cost of the auction and any other sums which Grantee is authorized to deduct by Applicable Laws or under this Security Instrument.  At any sale pursuant to this Section 9.6, whether made under power her ein granted, under or as otherwise authorized by Applicable Laws, or by virtue of any judicial proceeding or any other legal right, remedy or recourse, it shall not be necessary for Grantee or Trustee, or its successor or substitute, to be physically present, or to have constructive possession of, the Property, and the title to and right of possession of any such property shall pass to the purchaser thereof as completely as if the same had been actually presented and delivered to the purchaser at such sale.
 
Section 9.7    OTHER RIGHTS, ETC.
 
(a)           The failure of Trustee, Secured Parties or Grantee to insist upon strict performance of any term hereof shall not be deemed to be a waiver of any term of this Security Instrument or any other Note Document.  Grantor shall not be relieved of Grantor’s obligations hereunder by reason of (i) the failure of Trustee, Secured Parties or Grantee to comply with any request of Grantor or any guarantor or indemnitor with respect to the Indenture to take any action to foreclose this Security Instrument or otherwise enforce any of the provisions hereof or of the Indenture Notes or the other Note Documents, (ii) the release, regardless of consideration, of less than the whole of the Property, or of any Person liable for the Secured Obligations or any portion thereof unless, in connection with such release, Grantee releases of record this Security Instrument in its entirety, or (iii) any  written agreement or stipulation by Grantee or Secured Parties extending the time of payment or otherwise modifying or supplementing the terms of the Indenture Notes, this Security Instrument or the other Note Documents (except to the extent of any such modification).
 
(b)           It is agreed that the risk of loss or damage to the Property is on Grantor, and none of Trustee, Grantee nor Secured Parties shall have any liability whatsoever for decline in the value of the Property, for failure to maintain the insurance policies required to be maintained pursuant to the Indenture or for failure to determine whether insurance in force is adequate as to the amount of risks insured.  Possession by Grantee or Trustee shall not be deemed an election of judicial relief if any such possession is requested or obtained with respect to any Property or collateral not in Grantee’s possession.
 
    (c)           Grantee or Secured Parties may resort for the payment of the Secured Obligations to any other security held by Grantee or Secured Parties in such order and manner as Grantee or Secured Parties, in their discretion, may elect.  Grantee or Secured Parties may take action to recover the Secured Obligations, or any portion thereof, or to enforce any covenant hereof without prejudice to the right of Grantee or Secured Parties thereafter to foreclose this Security Instrument.  The rights of Grantee, Secured Parties and Trustee under this Security Instrument shall be separate, distinct and cumulative and none shall be given effect to the exclusion of the others.  No act of S ecured Parties, Grantee or Trustee shall be con

 
 
 
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strued as an election to proceed under any one provision herein to the exclusion of any other provision.  None of Secured Parties, Grantee or Trustee shall be limited exclusively to the rights and remedies herein stated but shall be entitled to every right and remedy now or hereafter afforded at law or in equity.
 
(d)           In the event of a foreclosure sale, whether made by the Trustee under the terms hereof, or under judgment of a court, the Collateral may, at the option of Grantee, be sold as a whole with the Land and Improvements.
 
Section 9.8     RIGHT TO RELEASE ANY PORTION OF THE PROPERTY.  Subject to the provisions of the Indenture, Grantee may release or direct Trustee to release any portion of the Property for such consideration as Grantee may require without, as to the remainder of the Property, in any way impairing or affecting the Lien or priority of this Security Instrument, or improving the position of any subordinate lien holder with respect thereto, except to the extent that the obligations hereunder shall have been reduced by the actual monetary consideration, if any, received by Grantee or any Secured Party for such release, and may accept by assignment, pledge or otherwise any other property in p lace thereof as Grantee may require without being accountable for so doing to any other lien holder.  This Security Instrument shall continue as a Lien and security interest in the remaining portion of the Property.
 
Section 9.9     RIGHT OF ENTRY.  Upon reasonable notice to Grantor, Grantee and its agents shall have the right to enter and inspect the Property at all reasonable times.
 
Section 9.10   BANKRUPTCY.
 
(a)           Upon the occurrence and during the continuance of an Event of Default, Grantee shall have the right to proceed in its own name or in the name of Secured Parties or in the name of Grantor in respect of any claim, suit, action or proceeding relating to the rejection of any Lease, including, without limitation, the right to file and prosecute, to the exclusion of Grantor, any proofs of claim, complaints, motions, applications, notices and other documents, in any case in respect of the lessee under such Lease under the Bankruptcy Code.
 
(b)           If there shall be filed by or against Grantor a petition under the Bankruptcy Code, as the same may be amended from time to time, and Grantor, as lessor under any Lease, shall determine to reject such Lease pursuant to Section 365(a) of the Bankruptcy Code, then Grantor shall give Grantee not less than ten (10) days’ prior notice of the date on which Grantor shall apply to the bankruptcy court for authority to reject the Lease.  Grantee shall have the right, but not the obligation, to serve upon Grantor within such ten-day period a notice stating that (i) Grantee demands that Grantor assume and assign the Lease to Grantee pursuant to Section 365 of the Bankruptcy Code and (ii) Grantee covenants to cure or provide adequate assurance of future performance under the Lease.  If Grantee serves upon Grantor the notice described in the preceding sentence, Grantor shall not seek to reject the Lease and shall comply with the demand provided for in clause (i) of the preceding sentence within thirty (30) days after the notice shall have been given, subject to the performance by Grantee of the covenant provided for in clause (ii) of the preceding sentence.
 
Section 9.11      SALE OF OPERATING LEASE.  The word “sale” as used in this Article 9 with respect to the Operating Lease shall mean the sale, transfer, assignment or conveyance for value of the leasehold interest of the Grantor in such Lease, together with all of the Grantor’s right, title and interest in and to the other items comprising the Property.
 
    Section 9.12          SUBROGATION.  If any or all of the proceeds of the Indenture Notes have been used to extinguish, extend or renew any indebtedness heretofore existing against all or any portion of the Property, then, to the extent of the funds so used, Grantee and Secured Parties shall be subrogated to all of

 
 
 
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the rights, claims, Liens, titles, and interests existing against the Property heretofore held by, or in favor of, the holder of such indebtedness and such former rights, claims, Liens, titles, and interests, if any, are not waived but rather are continued in full force and effect in favor of Grantee and Secured Parties and are merged with the Lien and security interest created herein as cumulative security for the payment and performance of the Secured Obligations.
 
ARTICLE 10
 
 
INDEMNIFICATIONS
 
Section 10.1       GENERAL INDEMNIFICATION.  The terms and conditions of the second paragraph of Section 7.07 of the Indenture regarding indemnification are hereby incorporated herein by reference, and are hereby made a part of this Security Instrument to the same extent and with the same force as if fully set forth herein; provided the terms “Trustee” and “Indemnified Party” as used therein shall, solely for purposes herein, be replaced with the term “Indemnified Party” (as defined in this Security Instrument), the term “Indenture” as used therein shall, solely for purposes herein, be replaced with the term “Security Ins trument”, and the term “Claims” as used therein shall, solely for purposes herein, be amended to exclude subsection (b) thereof and include: (a) any accident, injury to or death of persons or loss of or damage to property occurring in, on or about the Property or any part thereof or on the adjoining sidewalks, curbs, adjacent property or adjacent parking areas, streets or ways; (b) any use, nonuse or condition in, on or about the Property or any part thereof or on the adjoining sidewalks, curbs, adjacent property or adjacent parking areas, streets or ways; (c) performance of any labor services or the furnishing of any materials or other property in respect of the Property or any part thereof; (d) any failure of the Property to be in compliance with any Applicable Laws; (e) any and all claims and demands whatsoever which may be asserted against Grantee or any Secured Party by reason of any alleged obligations or undertakings on its part to perform or discharge any of the terms, covenants, or agreements contained in the Operating Lease or any Lease; or (f) the payment of any commission charge or brokerage fee to anyone which may be payable in connection with the Secured Obligations.
 
Section 10.2     MORTGAGE AND/OR INTANGIBLE TAX.  Grantor shall, at its sole cost and expense, protect, defend, indemnify, release and hold harmless the Indemnified Parties from and against any and all Losses imposed upon or incurred by or asserted against any Indemnified Party and directly or indirectly arising out of or in any way relating to any tax on the making and/or recording of this Security Instrument or any other Note Document.
 
    Section 10.3         GRANTEE’S RIGHTS.  Grantee and any other Person designated by Grantee, including, but not limited to, any representative of a governmental authority, and any environmental consultant, and any receiver appointed by any court of competent jurisdiction, shall have the right, but not the obligation, to enter upon the Property at all reasonable times to assess any and all aspects of the environmental condition of the Property and its use, including, but not limited to, conducting any environmental assessment or audit (the scope of which shall be determined in GranteeR 17;s sole (but reasonable) discretion) and taking samples of soil, groundwater or other water, air, or building materials, and conducting other invasive testing.  Grantor shall cooperate with and provide access to Grantee and any such Person designated by Grantee.  Grantee agrees that it shall not exercise its rights under this Section 10.3 more frequently than once per calendar year unless Grantee reasonably believes that an Event of Default has occurred and is continuing.

 
 
 
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ARTICLE 11
 

 
WAIVERS AND OTHER MATTERS
 
Section 11.1         WAIVER OF COUNTERCLAIM.  Grantor hereby waives the right to assert a counterclaim, other than a mandatory or compulsory counterclaim, in any action or proceeding brought against it by Trustee, Grantee or any Secured Party arising out of or in any way connected with this Security Instrument, the Property, the Indenture Notes, the Indenture, any of the other Note Documents, or the Secured Obligations.
 
Section 11.2         MARSHALLING AND OTHER MATTERS.  Grantor hereby waives, to the extent permitted by Applicable Laws, the benefit of all Applicable Laws now or hereafter in force regarding homestead, dower, elective or distributive share, appraisement, valuation, stay, extension, reinstatement and redemption and all rights of marshalling in the event of any sale hereunder of the Property or any part thereof or any interest therein and all other rights and exemptions of every kind, all of which are hereby expressly waived.  Further, Grantor hereby expressly waives any and all rights of redemption (statutory or otherwise) and the equity of redemption from sale under any order or decree of foreclosure of this Security Instrument on behalf of Grantor, and on behalf of each and every Person acquiring any interest in or title to the Property subsequent to the date of this Security Instrument and on behalf of all Persons to the extent permitted by Applicable Laws.
 
Section 11.3        WAIVER OF NOTICE.  Grantor shall not be entitled to any notices of any nature whatsoever from Secured Parties, Grantee or Trustee except with respect to matters for which this Security Instrument or the Indenture or any other Note Documents specifically and expressly provides for the giving of notice by Secured Parties, Grantee or Trustee to Grantor and except with respect to matters for which Grantor is not permitted by Applicable Laws to waive its right to receive notice, and Grantor hereby expressly waives presentment, demand, protest, notice of protest and non-payment, or other notice of default, notice of acceleration and intention to accelerate or other notice of any kind from Secured Parties, Grantee or Trustee with respect to any matter for which this Security Instrument or Applicable Laws do not specifically and expressly provide for the giving of notice by Secured Parties, Grantee or Trustee to Grantor.
 
Section 11.4       WAIVER OF STATUTE OF LIMITATIONS.  Grantor hereby expressly waives and releases to the fullest extent permitted by Applicable Laws, the pleading of any statute of limitations as a defense to payment or performance of the Secured Obligations.
 
Section 11.5       SOLE DISCRETION OF GRANTEE.  Whenever pursuant to this Security Instrument, Grantee exercises any right given to it to approve or disapprove, or any arrangement or term is to be satisfactory to Grantee, the decision of Grantee to approve or disapprove or to decide whether arrangements or terms are satisfactory or not satisfactory shall (except as is otherwise specifically provided herein or in the Indenture) be in the sole discretion of Grantee and shall be final and conclusive.
 
     Section 11.6        WAIVER OF TRIAL BY JURY.  GRANTOR HEREBY IRREVOCABLY WAIVES, TO THE FULLEST EXTENT PERMITTED BY APPLICABLE LAWS, ANY RIGHT IT MAY HAVE TO A TRIAL BY JURY IN ANY LEGAL PROCEEDING DIRECTLY OR INDIRECTLY ARISING OUT OF OR RELATING TO THIS SECURITY INSTRUMENT OR ANY OTHER NOTE DOCUMENT OR THE TRANSACTIONS CONTEMPLATED HEREBY OR THEREBY (WHETHER BASED ON CONTRACT, TORT OR ANY OTHER THEORY).  GRANTOR CERTIFIES THAT NO REPRESENTATIVE, AGENT OR ATTORNEY OR ANY OTHER PERSON HAS REPRESENTED, EXPRESSLY OR OTHERWISE, THAT SUCH OTHER PERSON WOULD NOT, IN THE EVENT OF LITIGAT ION, SEEK TO ENFORCE THE FOREGOING WAIVER.

 
 
 
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Section 11.7      WAIVER OF FORECLOSURE DEFENSE.  Grantor hereby waives any defense Grantor might assert or have by reason of Grantee’s or Trustee’s failure to make any Tenant of the Property a party defendant in any foreclosure proceeding or action instituted by Grantee or Trustee.
 
Section 11.8     GRANTOR’S KNOWLEDGE.  GRANTOR SPECIFICALLY ACKNOWLEDGES AND AGREES (a) THAT IT HAS A DUTY TO READ THIS SECURITY INSTRUMENT AND THAT IT IS CHARGED WITH NOTICE AND KNOWLEDGE OF THE TERMS HEREOF, (b) THAT IT HAS IN FACT READ THIS SECURITY INSTRUMENT AND IS FULLY INFORMED AND HAS FULL NOTICE AND KNOWLEDGE OF THE TERMS, CONDITIONS AND EFFECTS OF THIS SECURITY INSTRUMENT, (c) THAT IT HAS BEEN REPRESENTED BY LEGAL COUNSEL OF ITS CHOICE THROUGHOUT THE NEGOTIATIONS PRECEDING ITS EXECUTION OF THIS SECURITY INSTRUMENT AND HAS RECEIVED THE ADVICE OF SUCH COUNSEL IN CONNECTION WITH ENTERING INTO THIS SECURITY INSTRUMENT, AND (d) THAT IT RECOGNIZES THAT CERTAIN OF THE TERMS O F THIS SECURITY INSTRUMENT PROVIDE FOR (i) CERTAIN WAIVERS AND (ii) THE ASSUMPTION BY ONE PARTY OF, AND/OR RELEASE OF THE OTHER PARTY FROM, CERTAIN LIABILITIES THAT SUCH PARTY MIGHT OTHERWISE BE RESPONSIBLE FOR UNDER APPLICABLE LAWS.  GRANTEE FURTHER AGREES AND COVENANTS THAT IT WILL NOT CONTEST THE VALIDITY OR ENFORCEABILITY OF ANY SUCH PROVISIONS OF THIS SECURITY INSTRUMENT ON THE BASIS THAT THE PARTY HAD NO NOTICE OR KNOWLEDGE OF SUCH PROVISION OR THAT SUCH PROVISIONS ARE NOT “CONSPICUOUS.”
 
    Section 11.9        USURY SAVINGS PROVISIONS.  It is the intent of Grantee, Secured Parties and Grantor in the execution of the Indenture and the other Note Documents and any other written or oral agreement by Grantor in favor of Grantee and Secured Parties to contract in strict compliance with Applicable Laws with respect to usury.  In furtherance thereof, Grantee, Secured Parties and Grantor stipulate and agree that none of the terms and provisions contained in the Indenture and the other Note Documents or in any other written or oral agreement by Grantor, the Companies or the Issuer i n favor of Grantee and Secured Parties, shall ever be construed to create a contract to pay for the use, forbearance or detention of money, or interest at a rate in excess of the maximum interest rate permitted to be charged by Applicable Laws; that neither Grantor nor any guarantors, endorsers or other Persons now or hereafter becoming liable for payment of the Secured Obligations are agreeing to pay at a rate in excess of the maximum interest that may be lawfully charged under Applicable Laws; and that the provisions of this subsection shall control over all other provisions of the Indenture, the other Note Documents or any other oral or written agreements which may be in apparent conflict herewith.  Grantee and Secured Parties expressly disavow any intention to charge or collect excessive unearned interest or finance charges in the event the maturity of the Secured Obligations or the remaining Secured Obligations are accelerated.  If the maturity of the Secured Obligations or the remai ning Secured Obligations shall be accelerated for any reason or if the principal of the Secured Obligations or the remaining Secured Obligations are paid prior to the maturity of the Indenture Notes or the Secured Obligations, as applicable, and as a result thereof the interest received for the actual period of existence of the Indenture Notes or the Secured Obligations, as applicable, exceeds the applicable maximum lawful rate, Grantee and Secured Parties shall, at Grantee’s option, either refund to Grantor the amount of such excess or credit the amount of such excess against the principal balance of the Secured Obligations then outstanding and thereby shall render inapplicable any and all penalties of any kind provided by Applicable Laws as a result of such excess interest.  In the event that Grantee and Secured Parties shall contract for, charge or receive any amount or amounts and/or any other thing of value which are determined to constitute interest which would increase the effective in terest rate on the Indenture Notes or the Secured Obligations to a rate in excess of that permitted to be charged by Applicable Laws, an amount equal to interest in excess of the lawful rate shall, upon such determination, at the option of Grantee, be either immediately returned to Grantor or credited against the Secured Obligations then outstanding, in which event any and all penalties of any kind under Applicable Laws as a

 
 
 
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result of such excess interest shall be inapplicable.
 
ARTICLE 12
 
 
CROSS-COLLATERALIZATION
 
Section 12.1         CROSS-COLLATERALIZATION.  Grantor acknowledges that the Secured Obligations are secured by this Security Instrument together with those certain other Deeds of Trust (as defined in the Indenture) now or hereafter given by Grantor or certain Affiliates of Grantor to Grantee or to certain trustees in trust and for the benefit of Grantee (whether one or more, collectively, the “Other Mortgages”) securing the Secured Obligations and encumbering the real and personal property more particularly describ ed in the Other Mortgages (such real and personal property, collectively, the “Other Properties”), all as more particularly set forth in the Indenture.  Upon the occurrence and during the continuance of an Event of Default, Grantee shall have the right to institute or, if applicable, direct Trustee (or with respect to Other Mortgages, the trustees appointed pursuant to such Other Mortgages) to institute a proceeding or proceedings for the total or partial foreclosure of this Security Instrument and any or all of the Other Mortgages whether by court action, power of sale or otherwise, under Applicable Laws, for all of the Secured Obligations and the Lien and the security interest created by the Other Mortgages shall continue in full force and effect without loss of priority as a Lien and security interest securing the payment of that portion of the Secured Obligations then due and payable but still outstanding.  Grantor ac knowledges and agrees that the Property and the Other Properties are located in one or more states and/or counties, and therefore Grantee shall be permitted to, or as the case may be, to direct certain named trustees to, enforce payment and performance of the Secured Obligations and the performance of any term, covenant or condition of the Indenture, this Security Instrument, the Other Mortgages or the other Note Documents and exercise any and all rights and remedies under the Indenture, this Security Instrument, the other Note Documents or the Other Mortgages or, as provided by law or at equity, by one or more proceedings, whether contemporaneous, consecutive or both, to be determined by Grantee, in its sole discretion, in any one or more of the states or counties in which the Property or any of the Other Properties are located.  Neither the acceptance of this Security Instrument, the Other Mortgages or the other Note Documents nor the enforcement thereof in any one state or county, whether by cou rt action, foreclosure, power of sale or otherwise, shall prejudice or in any way limit or preclude enforcement by court action, foreclosure, power of sale or otherwise, of the Indenture Notes, this Security Instrument, the Other Mortgages or the other Note Documents through one or more additional proceedings in that state or county or in any other state or county.  Any and all sums received by Grantee or any Secured Party under the Indenture Notes, this Security Instrument, and the other Note Documents shall be applied to the Secured Obligations in such order and priority as Grantee shall determine, in its sole discretion, without regard to any portion of the Secured Obligations allocated to any Property or any of the Other Properties or the appraised value of the Property or any of the Other Properties.
 
ARTICLE 13
 
 
GRANTEE AND NOTICES
 
Section 13.1       FAILURE TO ACT.  Notwithstanding anything to the contrary contained herein or in any other Note Document, the failure of Grantee or Trustee to take any action hereunder or under any other Note Document shall not (a) be deemed to be a waiver of any term or condition of this Security Instrument or any of the other Note Documents, (b) adversely affect any rights of Trustee, Grantee or any Secured Party hereunder or under any other Note Document, or (c) relieve Grantor of any of Grantor’s obligations hereunder or under any other Note Document.
 
Section 13.2         NOTICES.  All notices or other written communications hereunder shall be delivered in accordance with the applicable terms and conditions of the

 
 
 
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 Indenture (including that notices to Grantor shall be sent to Grantor in care of FelCor at the address set forth for FelCor in the Indenture); provided, however, that any notice given in accordance with the requirements of any applicable statute (including, without limitation, statutes governing foreclosure or notices of foreclosure) shall be effective when given in accordance with statutory requirements, notwithstanding anything to the contrary contained herein or in any other Note Document.
 
ARTICLE 14
 
 
APPLICABLE LAWS
 
Section 14.1         GOVERNING LAWS; JURISDICTION; ETC.
 
(a)           GOVERNING LAW.  THIS SECURITY INSTRUMENT SHALL IN ALL RESPECTS (INCLUDING WITH RESPECT TO THE LIEN AND SECURITY INTEREST CREATED PURSUANT TO SECTION 2.6) BE GOVERNED, CONSTRUED, APPLIED AND ENFORCED IN ACCORDANCE WITH THE LAWS OF THE STATE OF NEW YORK (OTHER THAN THOSE CONFLICT OF LAW PROVISIONS THAT WOULD DEFER TO THE SUBSTANTIVE LAWS OF ANOTHER JURISDICTION).  WITHOUT IN ANY WAY LIMITING THE PRECEDING CHOICE OF LAW, THE PARTIES ELECT TO BE GOVERNED BY NEW YORK LAW IN ACCORDANCE WITH, AND ARE RELYING (AT LEAST IN PART) ON, SECTION 5-1401 OF THE GENERAL OBLIGATIONS LAW OF THE STATE OF NEW YORK; PROVIDED, HOWEVER, THAT WITH RESPECT TO THE CREATION, PERFECTION, PRIORITY AND ENFORCEMENT OF THE LIENS AND SECURITY INTERESTS CREATED BY THIS SECURITY INSTRUMENT (OTHER THAN THE LIEN AND SECURITY INTEREST CREATED PURSUANT TO SECTION 2.6) AND THE DETERMINATION OF DEFICIENCY JUDGMENTS, THE LAWS OF THE STATE WHERE THE PROPERTY IS LOCATED SHALL APPLY.
 
(b)           SUBMISSION TO JURISDICTION.  WITH RESPECT TO ANY CLAIM OR ACTION ARISING UNDER THIS SECURITY INSTRUMENT, GRANTOR (A) IRREVOCABLY SUBMITS TO THE NONEXCLUSIVE JURISDICTION OF THE COURTS OF THE STATE OF NEW YORK AND THE UNITED STATES DISTRICT COURT LOCATED IN THE BOROUGH OF MANHATTAN IN NEW YORK, NEW YORK, AND APPELLATE COURTS FROM ANY THEREOF, AND (B) IRREVOCABLY WAIVES ANY OBJECTION WHICH IT MAY HAVE AT ANY TIME TO THE LAYING ON VENUE OF ANY SUIT, ACTION OR PROCEEDING ARISING OUT OF OR RELATING TO THIS SECURITY INSTRUMENT BROUGHT IN ANY SUCH COURT AND IRREVOCABLY WAIVES ANY CLAIM THAT ANY SUCH SUIT, ACTION OR PROCEEDING BROUGHT IN ANY SUCH COURT HAS BEEN BROUGHT IN AN INCONVENIENT FORUM.  0;NOTHING IN THIS SECURITY INSTRUMENT WILL BE DEEMED TO PRECLUDE COLLATERAL AGENT FROM BRINGING AN ACTION OR PROCEEDING WITH RESPECT HERETO IN ANY OTHER JURISDICTION.
 
(c)           SERVICE OF PROCESS.  EACH PARTY HERETO IRREVOCABLY CONSENTS TO SERVICE OF PROCESS IN THE MANNER PROVIDED FOR NOTICES IN SECTION 13.2.  NOTHING IN THIS SECURITY INSTRUMENT WILL AFFECT THE RIGHT OF ANY PARTY HERETO TO SERVE PROCESS IN ANY OTHER MANNER PERMITTED BY APPLICABLE LAWS.
 
    Section 14.2       PROVISIONS SUBJECT TO APPLICABLE LAWS.  All rights, powers and remedies provided in this Security Instrument may be exercised only to the extent that the exercise thereof does not violate Applicable Laws and are intended to be limited to the extent necessary so that they will

 
 
 
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not render this Security Instrument invalid, unenforceable or not entitled to be recorded, registered or filed under Applicable Laws.  If any term of this Security Instrument or any application thereof shall be invalid or unenforceable, the remainder of this Security Instrument and any other application of the term shall not be affected thereby.
 
ARTICLE 15
 
 
MISCELLANEOUS PROVISIONS
 
Section 15.1          NO ORAL CHANGE.  This Security Instrument, and any provisions hereof, may not be modified, amended, waived, extended, changed, discharged or terminated orally or by any act or failure to act on the part of Grantor, Secured Parties, Grantee or Trustee, but only in accordance with the terms of the Indenture and in writing signed by Grantor and Grantee.
 
Section 15.2          SUCCESSORS AND ASSIGNS; JOINT AND SEVERAL.  This Security Instrument shall be binding upon and inure to the benefit of Grantor, Grantee and Secured Parties and their respective successors and assigns forever.  If Grantor consists of more than one Person, the obligations and liabilities of each such Person hereunder shall be joint and several.
 
Section 15.3          INAPPLICABLE PROVISIONS.  If any term, covenant or condition of the Indenture, the Indenture Notes or this Security Instrument is held to be invalid, illegal or unenforceable in any respect, the Indenture, the Indenture Notes and this Security Instrument shall be construed without such provision.
 
Section 15.4        HEADINGS, ETC.  The headings and captions of various Sections of this Security Instrument are for convenience of reference only and are not to be construed as defining or limiting, in any way, the scope or intent of the provisions hereof.
 
Section 15.5        NUMBER AND GENDER.  Whenever the context may require, any pronouns used herein shall include the corresponding masculine, feminine or neuter forms, and the singular form of nouns and pronouns shall include the plural and vice versa.
 
Section 15.6        ENTIRE AGREEMENT.  This Security Instrument and the other Note Documents contain the entire agreement of the parties hereto and thereto in respect of the transactions contemplated hereby and thereby, and all prior agreements among or between such parties, whether oral or written, are superseded by the terms of this Security Instrument and the other Note Documents.
 
Section 15.7         LIMITATION ON GRANTEE’S OR SECURED PARTIES’ RESPONSIBILITY.  Subject to Section 10.1, no provision of this Security Instrument shall operate to place any obligation or liability for the control, care, management or repair of the Property upon Trustee, Secured Parties or Grantee, nor shall it operate to make Trustee, Secured Parties or Grantee responsible or liable for any waste committed on the Property by the Tenants or any other Person, or for any dangerous or defective condition of the Property, or for any negligence in the management, upkeep, repair or control of the Property resulting in loss or injury or death to any tenant, l icensee, employee or stranger.  Nothing herein contained shall be construed as constituting Trustee, Secured Parties or Grantee a “mortgagee in possession.”
 
Section 15.8        DUPLICATE ORIGINALS; COUNTERPARTS.  This Security Instrument may be executed in any number of duplicate originals and each duplicate original shall be deemed to be an original.  This Security Instrument may be executed in several counterparts, each of which shall be deemed an original instrument and all of which together shall constitute a single Security Instrument.

 
 
 
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           Section 15.9        COVENANTS TO RUN WITH THE LAND.  All of the grants, covenants, terms, provisions and conditions in this Security Instrument shall run with the Land and the Grantor‘s interest therein and shall apply to, and bind the successors and assigns of, the Grantor.
   
    Section 15.10     CONCERNING GRANTEE.
 
(a)           The Grantee has been appointed as Collateral Agent pursuant to the Indenture.  The actions of the Grantee hereunder are subject to the provisions of the Indenture.  The Grantee shall have the right hereunder to make demands, to give notices, to exercise or refrain from exercising any rights, and to take or refrain from taking action (including, without limitation, the release or substitution of the Property), in accordance with this Security Instrument and the Indenture.  The Grantee may employ agents and attorneys-in-fact in connection herewith and shall not be liable for the negligence or misconduct of any such agents or attorneys-in-fact selected by it in good faith.  The Grantee may resign and a successor Grantee may be appoin ted in the manner provided in the Indenture.  Upon the acceptance of any appointment as the Grantee by a successor Grantee, that successor Grantee shall thereupon succeed to and become vested with all the rights, powers, privileges and duties of, and assume, from and after the date of acceptance of any such appointment, the obligations of, the retiring Grantee under this Security Instrument, and the retiring Grantee shall thereupon be discharged from its duties and obligations under this Security Instrument.  After any retiring Grantee’s resignation, the provisions hereof shall bind and inure to its benefit as to any actions taken or omitted to be taken by it under this Security Instrument while it was the Grantee.
 
(b)           The Grantee shall be deemed to have exercised reasonable care in the custody and preservation of the Property in its possession if such Property is accorded treatment substantially equivalent to that which the Grantee, in its individual capacity, accords its own property consisting of similar property, instruments or interests, it being understood that neither the Grantee nor any of the Secured Parties shall have responsibility for taking any necessary steps to preserve rights against any Person with respect to any Property.
 
(c)           The Grantee shall be entitled to rely upon any written notice, statement, certificate, order or other document or any telephone message believed by it to be genuine and correct and to have been signed, sent or made by the proper Person, and, with respect to all matters pertaining to this Security Instrument and its duties hereunder, upon advice of counsel selected by it.
 
(d)           With respect to any of its rights and obligations as a Secured Party, the Grantee shall have and may exercise the same rights and powers hereunder.  The Grantee may accept deposits from, lend money to, and generally engage in any kind of banking, trust or other business with the Grantor or any Affiliate of the Grantor to the same extent as if the Grantee were not acting as Collateral Agent.
 
    Section 15.11    GRANTEE MAY PERFORM; GRANTEE APPOINTED ATTORNEY-IN-FACT.  If the Grantor shall fail to perform any covenants contained in this Security Instrument (including, without limitation, the Grantor’s covenants to (i) pay the premiums in respect of all required insurance policies hereunder or under the Indenture, (ii) pay Other Charges, (iii) make repairs, (iv) discharge Liens or (v) pay or perform any obligations of the Grantor under any Property) or if any warranty on the part of the Grantor contained herein shall be breached, the Grantee may (but shall not be obligated to), do the same or cause it t o be done or remedy any such breach, and may expend funds for such purpose; provided, however, that the Grantee shall in no event be bound to inquire into the validity of any tax, Lien, imposition or other obligation which the Grantor fails to pay or perform as and when required hereby and which the Grantor does not contest in accordance with the provisions of the Indenture.  Any and all amounts so expended by the Grantee shall be paid by the Grantor in accordance with the provisions of the Indenture and repayment shall be secured by this Security Instrument.  Neither the provisions of this Sec-

 
 
 
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tion 15.11 nor any action taken by the Grantee pursuant to the provisions of this Section 15.11 shall prevent any such failure to observe any covenant contained in this Security Instrument nor any breach of warranty from constituting an Event of Default.  The Grantor hereby appoints the Grantee and Trustee as attorney-in-fact, with full power and authority in the place and stead of the Grantor and in the name of the Grantor, or otherwise, from time to time in the Grantee’s discretion to take any action and to execute any instrument consistent with the terms hereof and the other Note Documents which the Grantee may deem necessary or advisable to accomplish the purposes hereo f (but the Grantee and Trustee shall not be obligated to and shall have no liability to the Grantor or any third party for failure to so do or take action).  The foregoing grant of authority is a power of attorney coupled with an interest and such appointment shall be irrevocable for the term hereof.  The Grantor hereby ratifies all that such attorney shall lawfully do or cause to be done by virtue hereof.
 
Section 15.12        CONTINUING SECURITY INTEREST; ASSIGNMENT.  This Security Instrument shall create a continuing Lien on and security interest in the Property and shall (i) be binding upon the Grantor, its successors and assigns and (ii) inure, together with the rights and remedies of the Grantee and Trustee hereunder, to the benefit of the Grantee for the benefit of the Secured Parties and each of their respective successors, transferees and assigns.  No other Persons (including, without limitation, any other creditor of any of the Companies, the Issuer or Grantor) shall have any interest herein or any right or benefit with respect hereto. &# 160;Without limiting the generality of the foregoing clause (ii), any Secured Party may assign or otherwise transfer any indebtedness held by it secured by this Security Instrument to any other Person, and such other Person shall thereupon become vested with all the benefits in respect thereof granted to such Secured Party, herein or otherwise, subject, however, to the provisions of the Indenture and this Security Instrument.  The Grantor agrees that its obligations hereunder and the security interest created hereunder shall continue to be effective or be reinstated, as applicable, if at any time payment, or any part thereof, of all or any part of the Secured Obligations is rescinded or must otherwise be restored by the Secured Party upon the bankruptcy or reorganization of any of the Grantor, the Issuer or the Companies or otherwise.
 
Section 15.13       TERMINATION; RELEASE.  In accordance with the terms of the Indenture and this Security Instrument, when all the Secured Obligations have been paid in full this Security Instrument shall terminate.  Upon termination hereof or any release of the Property or any portion thereof in accordance with the provisions of the Indenture and this Security Instrument, the Grantee and/or Trustee at the direction of the Grantee (as so required by Applicable Laws) shall, upon the request and at the sole cost and expense of the Grantor, forthwith assign, transfer and deliver to the Grantor, against r eceipt and without recourse to or warranty by the Grantee or Trustee, such of the Property to be released (in the case of a release) as may be in possession of the Grantee or Trustee and as shall not have been sold or otherwise applied pursuant to the terms hereof, and, with respect to any such Property, proper documents and instruments (including UCC-3 termination statements or releases) acknowledging the termination hereof or the release of such Property, as the case may be.
 
Section 15.14       RELATIONSHIP.  The relationship of the Grantee to the Grantor hereunder is strictly and solely that of grantor and grantee and nothing contained in the Indenture, this Security Instrument, or any other document or instrument now existing and delivered in connection therewith or otherwise in connection with the Secured Obligations is intended to create, or shall in any event or under any circumstance be construed as creating a partnership, joint venture, tenancy-in-common, joint tenancy or other relationship of any nature whatsoever between the Grantee and the Grantor other than as grantor and grantee.

 
 
 
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ARTICLE 16
 
 
[RESERVED]
 
ARTICLE 17
 
 
[DEED OF TRUST PROVISIONS
 
Section 17.1        CONCERNING THE TRUSTEE.  Trustee shall be under no duty to take any action hereunder except as expressly required hereunder or by Applicable Laws, or to perform any act which would involve Trustee in any expense or liability or to institute or defend any suit in respect hereof, unless properly indemnified to Trustee’s reasonable satisfaction.  Trustee, by acceptance of this Security Instrument, covenants to perform and fulfill the trusts herein created, being liable, however, only for gross negligence or willful misconduct, and hereby waives any statutory fee and agrees to accept reasonable compensation, in lieu thereof, for any servi ces rendered by Trustee in accordance with the terms hereof.  Trustee may resign at any time upon giving thirty (30) days’ notice to Grantor and to Grantee.  Grantee may remove Trustee at any time or from time to time and select a successor trustee.  In the event of the death, removal, resignation, refusal to act, or inability to act of Trustee, or in its sole discretion for any reason whatsoever Grantee may, without notice and without specifying any reason therefor and without applying to any court, select and appoint a successor trustee, by an instrument recorded wherever this Security Instrument is recorded and all powers, rights, duties and authority of Trustee, as aforesaid, shall thereupon become vested in such successor.  Such substitute trustee shall not be required to give bond for the faithful performance of the duties of Trustee hereunder unless required by Grantee.  The procedure provided for in this paragraph for substitution of Trustee sha ll be in addition to and not in exclusion of any other provisions for substitution, by Applicable Laws or otherwise.  If Grantee is a corporation or limited liability company, any appointment of a substitute trustee may be made on behalf of Grantee by any person who is then the president, or a vice-president, assistant vice-president, treasurer, cashier, secretary, manager or any other authorized officer or agent of Grantee.
 
Section 17.2       TRUSTEE’S FEES.  Grantor shall pay all reasonable costs, fees and expenses incurred by Trustee and Trustee’s agents and counsel in connection with the performance by Trustee of Trustee’s duties hereunder and all such costs, fees and expenses shall be secured by this Security Instrument.
 
    Section 17.3           CERTAIN RIGHTS.  With the approval of Grantee, Trustee shall have the right to take any and all of the following actions:  (a) to select, employ, and advise with counsel (who may be, but need not be, counsel for Grantee) upon any matters arising hereunder, including the preparation, execution, and interpretation of the Indenture Notes, this Security Instrument or the other Note Documents, and shall be fully protected in relying as to legal matters on the advice of counsel; (b) to execute any of the trusts and powers hereof and to perform any duty her eunder either directly or through its agents or attorneys; (c) to select and employ, in and about the execution of its duties hereunder, suitable accountants, engineers and other experts, agents and attorneys-in-fact, either corporate or individual, not regularly in the employ of Trustee, and Trustee shall not be answerable for any act, default, negligence, or misconduct of any such accountant, engineer or other expert, agent or attorney-in-fact, if selected with reasonable care, or for any error of judgment or act done by Trustee in good faith, or be otherwise responsible or accountable under any circumstances whatsoever, except for Trustee’s gross negligence or bad faith; and (d) any and all other lawful action as Grantee may instruct Trustee to take to protect or enforce Grantee’s rights hereunder.  Trustee shall not be personally liable in case of entry by Trustee, or anyone entering by virtue of the powers herein granted to Trustee, upon the Property for debts contracted for or lia bility or damages incurred in the management or operation of the Property.  Trustee shall have the right to rely on any instrument, document, or signature authorizing or supporting an action taken or proposed to

 
 
 
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be taken by Trustee hereunder, believed by Trustee in good faith to be genuine.  Trustee shall be entitled to reimbursement for actual expenses incurred by Trustee in the performance of Trustee’s duties hereunder and to reasonable compensation for such of Trustee’s services hereunder as shall be rendered.
 
Section 17.4        RETENTION OF MONEY.  All moneys received by Trustee shall, until used or applied as herein provided, be held in trust for the purposes for which they were received, but need not be segregated in any manner from any other moneys (except to the extent required by Applicable Laws) and Trustee shall be under no liability for interest on any moneys received by Trustee hereunder.
 
Section 17.5       PERFECTION OF APPOINTMENT.  Should any deed, conveyance, or instrument of any nature be required from Grantor by Trustee or any substitute trustee to more fully and certainly vest in and confirm to Trustee or the substitute trustee such estates, rights, powers, and duties, then, upon request by Trustee or the substitute trustee, any and all such deeds, conveyances and instruments shall be made, executed, acknowledged, and delivered and shall be caused to be recorded and/or filed by Grantor.
 
Section 17.6        SUCCESSION INSTRUMENTS.  Any substitute trustee appointed pursuant to any of the provisions hereof shall, without any further act, deed, or conveyance, become vested with all the estates, properties, rights, powers, and trusts of it or its predecessor in the rights hereunder with like effect as if originally named as Trustee herein; but nevertheless, upon the written request of Grantee or of the substitute trustee, Trustee ceasing to act shall execute and deliver any instrument transferring to such substitute trustee, upon the trusts herein expressed, all the estates, properties, rights, powers, and trusts of Trustee so ceasing to act, and shall duly assign, transfer and deliver any of the property and moneys held by such Trustee to the substitute trustee so appointed in Trustee’s place.]
 
ARTICLE 18
 
 
[RESERVED]
 
ARTICLE 19
 
 
THIRD PARTY GRANTOR PROVISIONS
 
Section 19.1     THIRD PARTY GRANTOR.  Each Grantor agrees to the provisions of this Article 19 with respect to its interest in the Property encumbered by this Security Instrument and the obligations secured hereby to the extent the proceeds of the Secured Obligations have been paid to or for the benefit of a Person (the “Third Party Borrower”) other than such Grantor (including, without limitation, the Issuer and the Companies).
 
Section 19.2      AUTHORIZATIONS TO GRANTEE.  Grantor authorizes Grantee, without notice or demand and without affecting their liability hereunder, from time to time to (i) renew, extend, accelerate or otherwise change the time for payment of, or otherwise change the terms of the Secured Obligations or any part thereof, including increase or decrease of the rate of interest thereon; (ii) take and hold other security for the payment of the Secured Obligations, and exchange, enforce, waive and release any such security; (iii) apply such security and direct the order or manner of sale thereof, including, without limitation, a non-judicial sale permitted by the terms of this Security Instrument or the Indenture as Grantee in its discretion may determine; and (iv) release or substitute any one or more of the endorsers or guarantors of any Secured Obligations.
 
Section 19.3      GRANTOR’S WARRANTIES.  Grantor warrants that: (i) this Security Instrument is executed at the request of Third Party Borrower; and (ii) Grantor has adequate means of obtaining

 
 
 
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from Third Party Borrower on a continuing basis financial and other information pertaining to Third Party Borrower’s financial condition without relying on Grantee therefor.  Grantor agrees to keep adequately informed from such means of any facts, events or circumstances which Grantor considers material or which might in any way affect Grantor’s risks hereunder.  With respect to information or material acquired in the normal course of Grantee’s relationship with Third Party Borrower, Grantor agrees that Grantee shall have no obligation to disclose such information or material to Grantor.
 
Section 19.4     GRANTOR’S WAIVERS.
 
(a)           Grantor waives any right to require Grantee to (A) proceed against any Person, including Third Party Borrower; (B) proceed against or exhaust any Collateral held from Third Party Borrower, any endorser or guarantor or any other person; (C) give notice of terms, time and place of any public or private sale of personal property or real property security held from Grantors; (D) pursue any other remedy in Grantee’s power; or (E) make any presentments, demands for performance, or give any notices of nonperformance, protests, notices of protests or notices of dishonor in connection with any obligations or evidences of indebtedness held by Grantee as security, in connection with any obligations or evidences of indebtedness which constitute in whole or in part the indebte dness secured hereunder, or in connection with the creation of new or additional indebtedness.  Grantor agrees that, in case of an Event of Default and foreclosure, Grantee may enforce this Security Instrument against any or all interests encumbered by this Security Instrument in a single proceeding.
 
(b)           Grantor waives any defense arising by reason of (A) any disability or other defense of Third Party Borrower, any endorser or guarantor or any other Person; (B) the cessation from any cause whatsoever, other than payment in full of the indebtedness of Third Party Borrower, of the liability of any endorser or guarantor or any other Person; (C) the application by Third Party Borrower of the proceeds of any indebtedness for purposes other than the purpose represented by Third Party Borrower to Grantee or intended or understood by Grantee or Grantor; (D) any act or omission by Grantee which directly or indirectly results in or aids the discharge of Third Party Borrower or of any indebtedness by operation of law or otherwise; (E) any modification to any secured indebtedness, and including, without limitation, the renewal, extension, acceleration or other change in time for payment of the indebtedness, or other change in the terms of the indebtedness or any part thereof, including an increase or decrease of the rate of interest thereon; and (F) all suretyship and guarantor’s defenses generally.
 
(c)           Grantor shall have no right of subrogation, and Grantor further waives any right to enforce any remedy which Grantee now has or may hereafter have against Third Party Borrower, any endorser or guarantor or any other Person, and waives any benefit of, or any right to participate in, any security whatsoever now or hereafter held by Grantee from Third Party Borrower or any other Person.
 
Section 19.5       FURTHER EXPLANATION OF WAIVERS.  Grantor waives all rights and defenses that the Grantor may have because the Third Party Borrower’s debt is secured by real property.  This means, among other things:
 
(a)           The Grantee may foreclose against the Grantor’s interests without first foreclosing on any real or personal property collateral pledged by the Third Party Borrower;
 
        (b)           If the Grantee forecloses on any real property collateral pledged by the Third Party Borrower: (A) the amount of the debt may be reduced only by the price for which that collateral is sold at the foreclosure sale, even if the collateral is worth more than the sale price; and (B) the Grantee may foreclose against the Grantor’s interests even if the Grantee, by foreclosing on the Third Party Borrower’s interests, has destroyed any right the Grantor may have to collect from the Third Party Borrower.

 
 
 
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This is an unconditional and irrevocable waiver of any rights and defenses the Grantor may have because the Third Party Borrower’s debt is secured by the Third Party Borrower’s interest in real property.
 
Section 19.6         GRANTOR’S UNDERSTANDINGS WITH RESPECT TO WAIVERS
 
.
 
(a)           Grantor warrants and agrees that Grantor has had all necessary opportunity to secure any advice which Grantor desires with respect to each of the waivers set forth above, that such waivers are made with Grantor’s full knowledge of their significance and consequences, and that under the circumstances, the waivers are reasonable and not contrary to public policy or law.
 
(b)           Notwithstanding the foregoing, all waivers in this Article 19 shall be effective only to the extent permitted by Applicable Laws.
 
ARTICLE 20
 
 
 
STATE SPECIFIC PROVISIONS
 

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

 
 
 
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EXECUTED as of the date first written above and made effective as of the Effective Date.
 
 
OWNER:
 
_____________________________,
 
a Delaware [limited partnership]
 
By: _____________________________,
a Delaware limited liability company,
its General Partner

By: _____________________________
Name:
Title:


State of Texas       )
 ) ss.
County of Dallas  )

Personally appeared before me, the undersigned, a Notary Public having authority within the State and County aforesaid, _____________________________, with whom I am personally acquainted, and who acknowledged that she executed the within instrument for the purposes therein contained, and who further acknowledged that she is __________________ of _____________________________, a Delaware [limited liability company], the general partner of _____________________________, a Delaware [limited partnership], and executed this instrument on behalf of said limited liability company and said limited partnership.

WITNESS my hand, at office, this ___ day of March, 2010.
 

 
______________________________
 
Notary Public
 
My Commission Expires:_______________
 
Name:______________________________

 
Signatures continue on next page.
 

 
 

 

EXECUTED as of the date first written above and made effective as of the Effective Date.
 
 
OPERATOR:
_____________________________,
a Delaware [limited liability company]

 
By: _________________________
 
Name:
 
Title:

State of Texas       )
 ) ss.
County of Dallas  )

Personally appeared before me, the undersigned, a Notary Public having authority within the State and County aforesaid, _____________________________, with whom I am personally acquainted, and who acknowledged that she executed the within instrument for the purposes therein contained, and who further acknowledged that she is _____________________ of _____________________________, a Delaware [limited liability company], and executed this instrument on behalf of said limited liability company.

WITNESS my hand, at office, this ___ day of March, 2010.
 
____________________________
 
Notary Public
 
My Commission Expires:_______________
 
Name:______________________________
 

 

 
 

 

EXHIBIT A
 

 
LEGAL DESCRIPTION OF LAND
 

 
 

 


SCHEDULE I
 
MAJOR LEASE
 



 
 

 

EX-31.1 4 exh31_1.htm EXHIBIT 31.1 TO FELCOR 1Q 2010 FORM 10-Q exh31_1.htm
Exhibit 31.1


Certification Pursuant to Section 302 of Sarbanes-Oxley Act of 2002

I, Richard A. Smith, certify that:

1.      I have reviewed this Quarterly Report on Form 10-Q of FelCor Lodging Trust Incorporated;

2.
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3.
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4.
The registrant's other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

 
a)
designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 
b)
designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 
c)
evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 
d)
disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5.
The registrant's other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant's auditors and the audit committee of registrant's board of directors (or persons performing the equivalent function):

 
a)
all significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and

 
b)
any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.


Date:
May 3, 2010
 
/s/Richard A. Smith
     
Richard A. Smith
Chief Executive Officer

EX-31.2 5 exh31_2.htm EXHIBIT 31.2 TO FELCOR 1Q 2010 FORM 10-Q exh31_2.htm
Exhibit 31.2

Certification Pursuant to Section 302 of Sarbanes-Oxley Act of 2002

I, Andrew J. Welch, certify that:

1.      I have reviewed this Quarterly Report on Form 10-Q of FelCor Lodging Trust Incorporated;

2.
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3.
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4.
The registrant's other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

 
a)
designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 
b)
designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 
c)
evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 
d)
disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5.
The registrant's other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant's auditors and the audit committee of registrant's board of directors (or persons performing the equivalent function):

 
a)
all significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and

 
b)
any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.


Date:
May 3, 2010
 
/s/Andrew J. Welch
     
Andrew J. Welch
Chief Financial Officer

EX-32.1 6 exh32_1.htm EXHIBIT 32.1 TO FELCOR 1Q 2010 FORM 10-Q exh32_1.htm
Exhibit 32.1
 
Certification Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002

In connection with the Quarterly Report on Form 10-Q of FelCor Lodging Trust Incorporated (the “Registrant”) for the three months ended March 31, 2010, as filed with the Securities and Exchange Commission on the date hereof (the “Report), the undersigned hereby certifies, in the capacity as indicated below and pursuant to 18 U.S.C. § 1350, as adopted pursuant to § 906 of the Sarbanes-Oxley Act of 2002, that:

 
1.
The Report fully complies with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended, and

 
2.
The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of Registrant.




May 3, 2010
/s/Richard A. Smith
 
Richard A. Smith
 
Chief Executive Officer

 

EX-32.2 7 exh32_2.htm EXHIBIT 32.2 TO FELCOR 1Q 2010 FORM 10-Q exh32_2.htm
Exhibit 32.2

Certification Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002

In connection with the Quarterly Report on Form 10-Q of FelCor Lodging Trust Incorporated (the “Registrant”) for the three months ended March 31, 2010, as filed with the Securities and Exchange Commission on the date hereof (the “Report), the undersigned hereby certifies, in the capacity as indicated below and pursuant to 18 U.S.C. § 1350, as adopted pursuant to § 906 of the Sarbanes-Oxley Act of 2002, that:
 
 
1.
The Report fully complies with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended, and
 

 
2.
The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of Registrant.



May 3, 2010
/s/Andrew J. Welch
 
Andrew J. Welch
 
Chief Financial Officer


 

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