Additional Provisions/Additional Defined Terms Sample Clauses

Additional Provisions/Additional Defined Terms. Optional, if needed for the related Trust Fund or Mega Certificates: The following additional provision(s) apply with reference to the Trust evidenced by this Issue Supplement: Whenever used in this Issue Supplement, the following word[s] and phrase[s] will have the following meaning[s]:]
Additional Provisions/Additional Defined Terms. Optional, if needed for the related Trust Fund or SMBS/Mega Certificates: The following additional provision(s) apply with reference to the Trust evidenced by this Issue Supplement:/Whenever used in this Issue Supplement, the following word[s] and phrase[s] will have the following meaning[s]:] [to be attached or prepared in electronic format pursuant to Section 2.07 of the Trust Agreement] ____________ $ ________________ ________________ THIS IS AN ISSUE SUPPLEMENT under the Mega-SMBS Master Trust Agreement, effective January 1, 2009 (the “Trust Agreement”), by the Federal National Mortgage Association (“▇▇▇▇▇▇ ▇▇▇”). Capitalized terms in this Issue Supplement have the meanings given to them in the Trust Agreement. The collective terms of the Trust Agreement and this Issue Supplement govern the composition of the Pool identified by the Pool Number appearing above, the issuance and administration of Certificates related to the Pool, and all matters related to the related Trust, and have no applicability to any other Pool or Trust. The Issue Date Pool Balance, Pass-Through Rate and Issue Date are stated above. Applicable Trust Agreement Provisions
Additional Provisions/Additional Defined Terms. The Trust Asset is a Guaranteed REMIC Pass-Through Certificate, identified by the Trust Identifier and Class Identifier appearing on Page 2 of this Issue Supplement, evidencing direct or indirect beneficial ownership interests in ▇▇▇▇▇▇ Mae
Additional Provisions/Additional Defined Terms. Optional, if needed for the related Trust Fund or SMBS/Mega Certificates: The following additional provision(s) apply with reference to the Trust evidenced by this Issue Supplement:/Whenever used in this Issue Supplement, the following word[s] and phrase[s] will have the following meaning[s]:] SCHEDULE D [SMBS / Megas] SCHEDULE OF TRUST ASSETS FOR SMBS - MEGA ISSUE SUPPLEMENT [to be attached or prepared in electronic format pursuant to Section 2.07 of the Trust Agreement] EXHIBIT E ISSUE SUPPLEMENT TO MEGA-SMBS MASTER TRUST AGREEMENT Effective January 1, 2009 ▇▇▇▇▇▇ ▇▇▇ Guaranteed MBS Pass-Through Securities (“Mega Certificates”) ▇▇▇▇▇▇ ▇▇▇ Pool Number: ____________ Issue Date Pool Balance: $ Issue Date: ________________ Settlement Date: ________________ (Backed by [Single-Family] [Multifamily] Fixed-Rate Mortgage-Backed Securities) THIS IS AN ISSUE SUPPLEMENT under the Mega-SMBS Master Trust Agreement, effective January 1, 2009 (the “Trust Agreement”), by the Federal National Mortgage Association (“▇▇▇▇▇▇ ▇▇▇”). Capitalized terms in this Issue Supplement have the meanings given to them in the Trust Agreement. The collective terms of the Trust Agreement and this Issue Supplement govern the composition of the Pool identified by the Pool Number appearing above, the issuance and administration of Certificates related to the Pool, and all matters related to the related Trust, and have no applicability to any other Pool or Trust. The Issue Date Pool Balance, Pass-Through Rate and Issue Date are stated above. Applicable Trust Agreement Provisions
Additional Provisions/Additional Defined Terms. Optional, if needed for the related Trust Fund or Mega Certificates: The following additional provision(s) apply with reference to the Trust evidenced by this Issue Supplement: Whenever used in this Issue Supplement, the following word[s] and phrase[s] will have the following meaning[s]:] $ [to be attached or prepared in electronic format pursuant to Section 2.07 of the Trust Agreement. If prepared in electronic format, include a reference here such as a universal resource locator (url) or other hyperlink.] THIS IS AN ISSUE SUPPLEMENT under the Multifamily Mega Master Trust Agreement, effective May 1, 2018 (the “Trust Agreement”), by the Federal National Mortgage Association (“▇▇▇▇▇▇ Mae”). Capitalized terms not defined in this Issue Supplement have the meanings given to them in the Trust Agreement. The collective terms of the Trust Agreement and this Issue Supplement govern the composition of the pool of Pooled Securities (the “Pool”) identified by the transaction identifier appearing on the attached Schedule, the issuance and administration of Certificates related to the Pool, and all matters related to the related Trust, and have no applicability to any other Pool or Trust. The Original Issue Balance, initial Pool Accrual Rate and Issue Date are stated on the attached Schedule.
Additional Provisions/Additional Defined Terms. Optional, if needed for the related Trust Fund or Mega Certificates: The following additional provision(s) apply with reference to the Trust evidenced by this Issue Supplement: Whenever used in this Issue Supplement, the following word[s] and phrase[s] will have the following meaning[s]:] $ [to be attached or prepared in electronic format pursuant to Section 2.07 of the Trust Agreement. If prepared in electronic format, include a reference here such as a universal resource locator (url) or other hyperlink.] THIS IS AN ISSUE SUPPLEMENT under the Multifamily Mega Master Trust Agreement, effective May 1, 2018 (the “Trust Agreement”), by the Federal National Mortgage Association (“▇▇▇▇▇▇ Mae”). Capitalized terms not defined in this Issue Supplement have the meanings given to them in the Trust Agreement. The collective terms of the Trust Agreement and this Issue Supplement govern the composition of the pool of Pooled Securities (the “Pool”) identified by the transaction identifier appearing on the attached Schedule, the issuance and administration of Certificates related to the Pool, and all matters related to the related Trust, and have no applicability to any other Pool or Trust. The Original Issue Balance, initial Pool Accrual Rate and Issue Date are stated on the attached Schedule.