Series Account. On each Payment Date, the Indenture Trustee shall distribute funds then on deposit in the Series 2005-1 Series Account in accordance with the provisions of one of subsection (I), (II) and (III) of this Section 302.
Appears in 1 contract
Series Account. On each Payment Date, the Indenture Trustee shall distribute funds then on deposit in the Series 20052013-1 Series Account in accordance with the provisions of one of subsection (ISection 303(I), (II) and or (III) of this Section 302).
Appears in 1 contract
Samples: CAI International, Inc.
Series Account. On each Payment Date, the Indenture Trustee shall distribute funds then on deposit in the Series 20052008-1 Series Account in accordance with the provisions of one of subsection (I), (II) and (III) of this Section 302.
Appears in 1 contract
Series Account. On each Payment DateDate and on each other date on which any payment is to be made with respect to the Series 2006-1 Notes in accordance with Sections 203, 204 or 205 hereof, the Indenture Trustee shall distribute funds then on deposit in the Series 20052006-1 Series Account in accordance with the provisions of one of either subsection (I), (II) and or (III) of this Section 302303.
Appears in 1 contract
Samples: TAL International Group, Inc.