Interim Overcollateralization Deficiency. As to any Payment Date, the excess, if any, of (x) the Targeted Overcollateralization Amount for such Payment Date over (y) the Interim Overcollateralization Amount for such Payment Date. Issuer: HSBC Home Equity Loan Trust (USA) 200 - . LIBOR: The per annum rate established by the Administrator in accordance with Section 5.02.
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Sources: Sale and Servicing Agreement (HSBC Home Equity Loan Corp I), Sale and Servicing Agreement (HSBC Home Equity Loan Corp I)
Interim Overcollateralization Deficiency. As to any Payment Date, the excess, if any, of (x) the Targeted Overcollateralization Amount for such Payment Date over (y) the Interim Overcollateralization Amount for such Payment DateAmount. Issuer: HSBC [ ] Home Equity Loan Trust (USA) 200 - 200_-_. LIBOR: The per annum rate established by the Administrator Indenture Trustee in accordance with Section 5.02.
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