Reports to Securityholders. (a) On each Payment Date, concurrently with the distribution to the Securityholders, the Indenture Trustee shall furnish to the Securityholders, the Depositor, the Issuer, and each Rating Agency, a report, based solely on information provided to the Indenture Trustee by the Master Servicer, the Underlying Payment Date Statements for the related Underlying Payment Date, and in the Master Servicer’s Monthly Report, containing the following information:
Appears in 3 contracts
Samples: Transfer and Servicing Agreement (Bayview Financial Securities Co LLC), Transfer and Servicing Agreement (Bayview Financial Securities Co LLC), Transfer and Servicing Agreement (BLG Securities Company, LLC)
Reports to Securityholders. (a) On each Payment Distribution Date, concurrently with the distribution to the Securityholders, the Indenture Trustee shall furnish to the Securityholders, the Depositor, the Issuer, and each Rating Agency, a report, based solely on information provided to the Indenture Trustee by the Master Servicer, the Underlying Payment Distribution Date Statements for the related Underlying Payment Distribution Date, and in the Master Servicer’s Monthly Report, containing the following information:
Appears in 2 contracts
Samples: Transfer and Servicing Agreement (HMB Acceptance Corp.), Transfer and Servicing Agreement (Aegis Asset Backed Securities Corp)