Pool Corporation has entered into the Second Amendment to its Second Amended and Restated Credit Agreement, updating the Base Rate index from the London Interbank Offered Rate Market Index Rate to the Term Secured Overnight Financing Rate Index Rate, and increasing the limit for Accounts Securitization from $350,000,000 to $500,000,000. The Canadian Dollar Commitment, Euro Commitment and Swingline Commitment have also been increased to $50,000,000 each.