Distribution Report Sample Clauses

Distribution Report. The Asset-Backed Issuer Distribution Report pursuant to Section 13 or 15(d) of the Exchange Act.
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Distribution Report. The Asset-Backed Issuer Distribution Report pursuant to Section 13 or 15(d) of the Exchange Act. DTC Custodian: Xxxxx Fargo Bank, National Association, or its successors in interest as custodian for the Depository.
Distribution Report. In conjunction with each Distribution, Seller shall provide Buyer a statement indicating the amount of the Distribution with (i) a reasonably detailed breakdown by payment category of the Receipts underlying the Distribution (i.e., interest, principal or other fee payable under the Loan Documents) and (ii) a reasonably detailed breakdown by category of the Distribution to Buyer and Seller pursuant to Section 4.8;
Distribution Report. Name, address, telephone and facsimile numbers of customers who purchased the Product and Service contracts in each calendar quarter shall be provided to Vital Images within thirty (30) days after the end of such quarter.
Distribution Report. A report in an electronic format reasonably acceptable to the Loan Participation Holder (e.g., spreadsheet or CSV format), which shall be substantially in the format attached hereto as Exhibit B (or as otherwise agreed to between the parties from time to time) that identifies each Loan Participation and contains at minimum the fields set forth in Exhibit B (or as otherwise agreed to between the parties from time to time) for each Loan Participation.
Distribution Report. “Distribution Report” means the sworn certification described in Paragraph 4.01 of this Agreement.
Distribution Report. Name, address, telephone and facsimile numbers of customers who purchased the Product and Service contracts in each calendar quarter shall be provided by Toshiba and TMSE to Vital Images within thirty (30) days after the end of such quarter.
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Distribution Report. Within [*]following the end of each [*]after termination of the Sublicense Agreement for any reason, Sublicensee shall submit a report to Company containing for such [*]: (i) the number of TiVo-Enabled DVR Products, GC DVR Products, GC Non-EPG DVR Products, GC Non-DVR Products [*]; (ii) all payments paid to Company hereunder for the foregoing; and (iii) any invoices billed and payments collected on behalf of the Company for the provision of any GC DVR Services or Non-DVR Services; including, without limitation, any Gross Revenue invoiced by the Sublicensee for the GC Premium DVR Services. Within [*] following the end of each [*] ending on [*], and within [*] after termination of the Sublicense Agreement for any reason, Sublicensee shall submit a report to Company containing for such [*]: (i) the number of TiVo-Enabled DVR Products, GC DVR Products, GC Non-EPG DVR Products, GC Non-DVR Products [*]; (ii) all payments paid to Company hereunder for the foregoing; and (iii) any invoices billed and payments collected on behalf of the Company for the provision of any GC DVR Services or Non-DVR Services; including, without limitation, any Gross Revenue invoiced by the Sublicensee for the GC Premium DVR Services.
Distribution Report. On each Payment Date, promptly following receipt thereof by Servicer, the Collection Agent shall deliver to the First Lien Agent and the Trustee a report in a form reasonably satisfactory to the First Lien Agent and the Trustee, covering the items set forth in Annex B hereto, prepared by Servicer and delivered to the Collection Agent pursuant to the terms of the Servicing Agreement (each, a "Distribution Report"). Each Distribution Report shall, pursuant to the terms of the Servicing Agreement, be accompanied by (i) a statement prepared by Servicer setting forth an analysis of the Collection Account activity for the period commencing on the day next following the preceding Calculation Date and ending on the Calculation Date relating to such Payment Date, (ii) such information, if any, that Quintiles shall have provided to the First Lien Agent pursuant to Section 7.1.1 (or any equivalent provision) of the First Lien Credit Agreement or to the Trustee pursuant to Section 6.4 of the Purchase and Sale Agreement during the Interest Accrual Period then ended and (iii) the information, if any, that Royalty Sub shall have provided to the Trustee pursuant to Section 5.2 of the Indenture, or Servicer shall have provided to the Collection Agent pursuant to Section 4.1 of the Servicing Agreement, during the period then ended.
Distribution Report. For each Quarter following the PIK Period, the General Partner shall provide written notice to the holders of Class B Units not later than the forty-fifth (45th) day following the end of such Quarter, describing in reasonable detail the General Partner’s calculation of Class B Distributable Cash for such Quarter, the portion of the Class B Distribution to be paid in cash, the portion of the Class B Distribution that will not be paid in cash in respect of such Quarter and the aggregate resulting accrued and unpaid distribution balance.
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