{"component": "clause", "props": {"groups": [{"snippet": "A settlement statement setting forth the amounts paid by or on behalf of and/or credited to each of Purchaser and Seller pursuant to this Agreement;", "size": 149, "samples": [{"hash": "chuOxJzRWjy", "uri": "/contracts/chuOxJzRWjy#settlement-statement", "label": "Purchase and Sale Agreement (Generation Income Properties, Inc.)", "score": 34.1225204468, "published": true}, {"hash": "kd4iUsb84Rl", "uri": "/contracts/kd4iUsb84Rl#settlement-statement", "label": "Purchase and Sale Agreement (Generation Income Properties, Inc.)", "score": 33.3887748718, "published": true}, {"hash": "fEtvRIAQBNr", "uri": "/contracts/fEtvRIAQBNr#settlement-statement", "label": "Purchase and Sale Agreement (Generation Income Properties, Inc.)", "score": 33.3696098328, "published": true}], "snippet_links": [{"key": "a-settlement", "type": "clause", "offset": [0, 12]}, {"key": "by-or-on-behalf-of", "type": "definition", "offset": [54, 72]}, {"key": "purchaser-and-seller", "type": "clause", "offset": [100, 120]}, {"key": "pursuant-to-this-agreement", "type": "clause", "offset": [121, 147]}], "hash": "596aebd2550a131ee0f241a129f7de2e", "id": 1}, {"snippet": "Sellers and Buyer shall execute the Settlement Statement.", "size": 19, "samples": [{"hash": "fB4HwyYAVkp", "uri": "/contracts/fB4HwyYAVkp#settlement-statement", "label": "Lease Acquisition Agreement", "score": 31.3408622742, "published": true}, {"hash": "6qm1PsZUWnD", "uri": "/contracts/6qm1PsZUWnD#settlement-statement", "label": "Purchase and Sale Agreement (Carbon Natural Gas Co)", "score": 26.2429847717, "published": true}, {"hash": "2aIYA8YMCse", "uri": "/contracts/2aIYA8YMCse#settlement-statement", "label": "Lease Acquisition Agreement (GMX Resources Inc)", "score": 22.1882266998, "published": true}], "snippet_links": [{"key": "buyer-shall", "type": "clause", "offset": [12, 23]}, {"key": "the-settlement-statement", "type": "clause", "offset": [32, 56]}], "hash": "4a113071187581ac69a4a3ec245751eb", "id": 3}, {"snippet": "An executed counterpart to the Settlement Statement, delivered to Seller;", "size": 15, "samples": [{"hash": "kaGWrluAIsY", "uri": "/contracts/kaGWrluAIsY#settlement-statement", "label": "Purchase Agreement", "score": 31.3408622742, "published": true}, {"hash": "8OMQ8CaTRo3", "uri": "/contracts/8OMQ8CaTRo3#settlement-statement", "label": "Purchase Agreement (Boyd Gaming Corp)", "score": 29.7939758301, "published": true}, {"hash": "ltP3yttHGbe", "uri": "/contracts/ltP3yttHGbe#settlement-statement", "label": "Purchase Agreement (Penn National Gaming Inc)", "score": 28.9671459198, "published": true}], "snippet_links": [{"key": "executed-counterpart", "type": "clause", "offset": [3, 23]}, {"key": "the-settlement-statement", "type": "clause", "offset": [27, 51]}, {"key": "to-seller", "type": "definition", "offset": [63, 72]}], "hash": "b8c4d00aeeeddc6435647d9298a44979", "id": 7}, {"snippet": "At Closing, Seller and Purchaser will execute a Closing settlement statement to reflect the credits, prorations, and adjustments contemplated by or specifically provided for in this Agreement.", "size": 14, "samples": [{"hash": "jdpKM9gscAm", "uri": "/contracts/jdpKM9gscAm#settlement-statement", "label": "Purchase and Sale Agreement", "score": 32.9852104187, "published": true}, {"hash": "aAPznfS1vZ7", "uri": "/contracts/aAPznfS1vZ7#settlement-statement", "label": "Purchase and Sale Agreement", "score": 30.8747005463, "published": true}, {"hash": "5GzOF1kPigP", "uri": "/contracts/5GzOF1kPigP#settlement-statement", "label": "Purchase and Sale Agreement", "score": 30.8528022766, "published": true}], "snippet_links": [{"key": "at-closing", "type": "definition", "offset": [0, 10]}, {"key": "purchaser-will", "type": "clause", "offset": [23, 37]}, {"key": "closing-settlement-statement", "type": "clause", "offset": [48, 76]}, {"key": "the-credits", "type": "clause", "offset": [88, 99]}, {"key": "in-this-agreement", "type": "clause", "offset": [174, 191]}], "hash": "a8838014cadc18c37058a3e3202e2218", "id": 8}, {"snippet": "Seller may, at its own expense, have access to and make copies of all, or any part thereof, of the files and records provided Buyer hereunder at reasonable times and upon reasonable notice during regular business hours for as long as the Properties remain in effect. As to those \u2587\u2587\u2587\u2587\u2587 which Seller is disbursing proceeds of production, Seller shall continue to collect proceeds of production as long as it remains operator and shall be responsible for making disbursements, in accordance with its normal procedures (and at normal times), of such proceeds of production so collected to the parties entitled to same, with any proceeds of production thereafter collected by Seller to be forwarded promptly to its successor as operator. Provided Buyer succeeds Seller as operator, Buyer shall become responsible for all disbursements of proceeds of production and such disbursement activities shall be included in the matters that Buyer assumes and with respect to which Buyer indemnifies Seller under Section 17 below. SELLER GIVES NO ASSURANCE HEREUNDER THAT BUYER SHALL SUCCEED SELLER AS OPERATOR OF ANY PROPERTY WHERE PARTIES OTHER THAN SELLER OWN INTERESTS IN SUCH PROPERTY. It is understood that in most (if not all) of the operating agreements affecting the Properties, Seller does not have the right to transfer operations of the leasehold interests subject thereto to Buyer. However, Seller shall use its best efforts to secure consent from all non-operators naming Buyer as Operator under such operating agreements prior to Closing, to be effective on the Closing Date and provided Closing takes place. After Closing, Buyer shall use its best efforts to comply with the terms of any operating agreements to name a successor operator thereunder for which Seller was unable to obtain prior to Closing. Upon obtaining consent from non-operators naming Buyer as successor operator, Seller and Buyer promptly shall file all forms required by any governmental agency having authority, to change the operator from Seller to Buyer. Seller shall operate the Seller-operated Properties until the Effective Date and thereafter, if necessary, until such time as provided under the applicable operating agreement, plan of unitization, or law requires. As soon as practicable thereafter, operations shall be turned over to, and become the responsibility of, Seller's successor as Operator To the extent Seller so operates any Property after the Effective Date, its obligations to Buyer with respect to such operations shall be no greater than those that it would have to a non-operator under the applicable operating agreement. In the absence of an operating agreement, those terms and provisions contained in the AAPL 610 (1382 Revision) form Operating Agreement shall apply. THE PARTIES RECOGNIZE THAT, UNDER SUCH AGREEMENTS AND SUCH FORM OF AGREEMENT, THE OPERATOR IS NOT RESPONSIBLE TO THE OTHER PARTIES THERETO FOR ITS OWN NEGLIGENCE AND HAS NO RESPONSIBILITY TO SUCH OTHER PARTIES OTHER THAN FOR GROSS NEGLIGENCE OR WILLFUL MISCONDUCT. As to all \u2587\u2587\u2587\u2587\u2587 acquired by Buyer hereunder which Seller continues to operate on behalf of Buyer and for Buyer's account after the Effective Date because a successor operator has not been approved by the requisite governmental authority, or consent of non-operators has not been obtained, by mutual agreement or otherwise, Seller will be paid the producing well overhead rates shown in the operating agreement applicable to such \u2587\u2587\u2587\u2587\u2587 and if there is no such established rate, Buyer shall pay Seller for its proportionate share thereof based upon the rate of five hundred dollars ($500.00) per month, or any part thereof, for each well.", "size": 17, "samples": [{"hash": "fTc3zB0q28Q", "uri": "/contracts/fTc3zB0q28Q#settlement-statement", "label": "Purchase and Sale Agreement (Continental Crude Co)", "score": 18.0, "published": true}, {"hash": "fFj6umhnx4t", "uri": "/contracts/fFj6umhnx4t#settlement-statement", "label": "Purchase and Sale 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p.m. (New York City time) on such day, deliver to the Transferor, the Trustee and the Paying Agent the Settlement Statement for the related Monthly Period substantially in the form of Exhibit C hereto, including the following information (which, in the case of clauses (iii), (iv) and (v) below, will be stated on the basis of an original principal amount of $1,000 per Security): (i) the aggregate amount of Collections received in the Collection Account for the Monthly Period preceding such Determination Date and the aggregate amount of Finance Charge Collections and the aggregate amount of Principal Collections processed during such Monthly Period; (ii) the aggregate amount of the applicable Investor Percentage of Principal Collections during the preceding Monthly Period for each Series of Securities and the aggregate amount of the applicable Investor Percentage of Finance Charge Collections during the preceding Monthly Period for each Series of Securities; (iii) for each Series and for each Class within any such Series, the total amount to be distributed to Investor Securityholders on the next succeeding Distribution Date; (iv) for each Series and for each Class within any such Series, the amount of such distribution allocable to principal; (v) for each Series and for each Class within any such Series, the amount of such distribution allocable to interest; (vi) for each Series and each Class within a Series, the Series Default Amount for the immediately preceding Monthly Period; (vii) for each Series and each Class within a Series, the amount of the Series Charge-Offs and the amount of the reimbursements of Series Charge-Offs for such Distribution Date; (viii) for each Series, the Servicing Fee allocated to and paid by such Series for such Distribution Date; (ix) for each Series, the existing deficit controlled amortization amount, if applicable; (x) the Aggregate Principal Receivables in the Trust at the close of business on the last day of the Monthly Period preceding such Distribution Date; (xi) for each Series, the Invested Amount at the close of business on the last day of the Monthly Period immediately preceding such Distribution Date; (xii) the available amount of any Enhancement for each Class of each Series, if any; (xiii) for each Series and each Class within a Series, the Pool Factor as of the end of the related Monthly Period; (xiv) whether a Pay Out Event or a Prospective Pay Out Event with respect to any Series shall have occurred during or with respect to the related Monthly Period; (xv) the aggregate amount of Discount Option Receivables in the Trust at the close of business on the last day of the Monthly Period preceding such Distribution Date; (xvi) the aggregate amount of Discount Option Receivables Collections processed during such Monthly Period; and (xvii) such other calculations as may be required by any Supplement. The Trustee shall be under no duty to recalculate, verify or recompute the information supplied to it under this Section 3.4 or such other matters as are set forth in any Settlement Statement. 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