Common use of Trustee Reports Clause in Contracts

Trustee Reports. (a) On or prior to each Distribution Date, based on information provided in monthly reports prepared by the Master Servicer and the Special Servicer and delivered to the Trustee by the Master Servicer (no later than 1:00 p.m., New York time on the Report Date), the Trustee shall make available to any interested party (including the holder of a B Note, but only with respect to the related A/B Mortgage Loan) via its internet website initially located at "xxx.xxxxxxx.xxx/xxxx" (the "Trustee's Website"), (i) the Monthly Certificateholders Report (substantially in the form of Exhibit M), (ii) a report containing information regarding the Mortgage Loans as of the end of the related Collection Period, which report shall contain substantially the categories of information regarding the Mortgage Loans set forth in Appendix I to the Final Prospectus Supplement and shall be presented in tabular format substantially similar to the format utilized in such Appendix I which report may be included as part of the Monthly Certificateholders Report, (iii) the Loan Periodic Update File, Loan Setup File, Bond Level File and the Collateral Summary File, (iv) the Advance Recoverability Report, (v) the supplemental reports set forth in paragraph (b) of the definition of Unrestricted Servicer Reports and (vi) as a convenience for interested parties (and not in furtherance of the distribution thereof under the securities laws), the Final Prospectus Supplement and this Agreement. In addition, on or prior to each Distribution Date, based on information provided in monthly reports prepared by the Master Servicer and the Special Servicer and delivered to the Trustee in accordance herewith, the Trustee shall make available via the Trustee's Website, on a restricted basis, the Restricted Servicer Reports (including the Property File on or prior to each Distribution Date, commencing in April 2005). The Trustee shall provide access to the Restricted Servicer Reports, upon request, to each Certificateholder, to the holder of a B Note as applicable, each of the parties to this Agreement, each of the Rating Agencies, each of the Financial Market Publishers, each of the Underwriters, the Operating Adviser, the Placement Agents, any prospective purchaser of the Certificates and any Certificate Owner upon receipt (which may be in electronic form) from such person of an Investor Certificate in the form of Exhibit Y, and any other person upon the direction of the Depositor, the Placement Agents or any Underwriter. For assistance with the above-mentioned Trustee services, Certificateholders or any party hereto may initially call 000-000-0000. The Trustee makes no representations or warranties as to the accuracy or completeness of any report, document or other information made available on the Trustee's Website and assumes no responsibility therefor. The Trustee shall be entitled to conclusively rely on any information provided to it by the Master Servicer or the Special Servicer and shall have no obligation to verify such information and the Trustee may disclaim responsibility for any information distributed by the Trustee for which it is not the original source. In connection with providing access to the Trustee's Website, the Trustee, may require registration and the acceptance of a disclaimer. None of the Master Servicer, the Special Servicer or the Trustee shall be liable for the dissemination of information in accordance with this Agreement; provided that this sentence shall not in any way limit the liability the Trustee may otherwise have in the performance of its duties hereunder.

Appears in 3 contracts

Samples: Pooling and Servicing Agreement (Morgan Stanley Capital I Trust 2005 HQ5), Pooling and Servicing Agreement (Morgan Stanley Capital I Trust 2005 HQ5), Pooling and Servicing Agreement (Morgan Stanley Capital I Trust 2005 HQ5)

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Trustee Reports. (a) On or prior to each Distribution Date, based on information provided in monthly reports prepared by the Master Servicer Servicers and the Special Servicer Servicers and delivered to the Trustee by the such Master Servicer Servicers (no later than 1:00 2:00 p.m., New York City time on the Report Date), the Trustee shall make available to any interested party (including the holder of a B Note, but only with respect to the related A/B Mortgage Loan) via its internet website initially located at "xxx.xxxxxxx.xxx/xxxxhttp://www.usbank.com/abs" (the "Trustee's Website"), (i) the Monthly Certificateholders Report Xxxxxxxxxxxxxxxxxx Xxxxxt (substantially in the form of Exhibit M), (ii) a report containing information regarding the Mortgage Loans as of the end of the related Collection Period, which report shall contain substantially the categories of information regarding the Mortgage Loans set forth in Appendix I to the Final Prospectus Supplement and shall be presented in tabular format substantially similar to the format utilized in such Appendix I which report may be included as part of the Monthly Certificateholders Report, (iii) the CMSA Loan Periodic Update File, CMSA Loan Setup File, CMSA Bond Level File and the CMSA Collateral Summary File, (iv) the Advance Recoverability a CMSA Delinquent Loan Status Report, (v) a CMSA Historical Loan Modification and Corrected Mortgage Loan Report, a CMSA Historical Liquidation Report, a CMSA Reconciliation of Funds Report, a CMSA REO Status Report and an CMSA Loan Level Reserve/LOC Report, each containing substantially the supplemental reports set forth information contemplated in paragraph (b) of the definition of Unrestricted Servicer Reports and (viv) as a convenience for interested parties (and not in furtherance of the distribution thereof under the securities laws), the Final Prospectus Supplement and this Agreement. In addition, on or prior to each Distribution Date, based on information provided in monthly reports prepared by the Master Servicer Servicers and the Special Servicer Servicers and delivered to the Trustee in accordance herewith, the Trustee shall make available via the Trustee's Website, on a restricted basis, the Restricted Servicer Reports (including the Property File on or prior to each Distribution Date, commencing in April 20052007). The Trustee shall provide access to the Restricted Servicer Reports, upon request, to each Certificateholder, to the holder of a B Note as applicableCertificateholder and any prospective Certificateholder or Certificate Owner, each of the parties to this Agreement, each of the Rating Agencies, each of the Financial Market Publishers, each of the Underwriters, the Operating Adviser, the Placement Agents, any prospective purchaser of the Certificates Agent and any Certificate Owner upon receipt (which may be in electronic form) from such person Person of an Investor Certificate in the form of Exhibit Y, and any other person Person upon the direction of the Depositor, the any Placement Agents Agent or any Underwriter. For assistance with the above-mentioned Trustee services, Certificateholders or any party hereto may initially call 000(617) 603-000-00006455. The Trustee makes no representations or warranties as to warxxxxxxx xx xx the accuracy or completeness of any report, document or other information made available on the Trustee's Website and assumes no responsibility therefor. The Trustee shall be entitled to conclusively rely on any information provided to it by the Master Servicer Servicers or the Special Servicer Servicers and shall have no obligation to verify such information and the Trustee may disclaim responsibility for any information distributed by the Trustee for which it is not the original source. In connection with providing access to the Trustee's Website, the Trustee, may require registration and the acceptance of a disclaimer. None of the any Master Servicer, the any Special Servicer, any Primary Servicer or the Trustee shall be liable for the dissemination of information in accordance with this Agreement; provided that this sentence shall not in any way limit the liability the Trustee may otherwise have in the performance of its duties hereunder.

Appears in 3 contracts

Samples: Mortgage Loan Purchase Agreement (Morgan Stanley Capital I Trust 2007-Iq13), Mortgage Loan Purchase Agreement (Morgan Stanley Capital I Trust 2007-Iq13), Mortgage Loan Purchase Agreement (Morgan Stanley Capital I Trust 2007-Iq13)

Trustee Reports. (a) On or prior to each Distribution Date, based on information provided in monthly reports prepared by the Master Servicer and the Special Servicer and delivered to the Trustee by the Master Servicer (no later than 1:00 p.m., New York time on the Report Date), the Trustee shall make available to any interested party (including the holder of a B Note, but only with respect to the related A/B Mortgage Loan) via its internet website initially located at "xxx.xxxxxxx.xxx/xxxxxxx.xxxxxxxx.xxx" (the "Trustee's Website"), (i) the Monthly Certificateholders Report (substantially in the form of Exhibit M), (ii) a report containing information regarding the Mortgage Loans as of the end of the related Collection Period, which report shall contain substantially the categories of information regarding the Mortgage Loans set forth in Appendix I to the Final Prospectus Supplement and shall be presented in tabular format substantially similar to the format utilized in such Appendix I which report may be included as part of the Monthly Certificateholders Report, (iii) the Loan Periodic Update File, Loan Setup File, Bond Level File and the Collateral Summary File, (iv) the Advance Recoverability ReportMonthly Additional Report on Recoveries and Reimbursements, (v) the supplemental reports set forth in paragraph (b) of the definition of Unrestricted Servicer Reports and (vi) as a convenience for interested parties (and not in furtherance of the distribution thereof under the securities laws), the Final Prospectus Supplement and this Agreement. In addition, on or prior to each Distribution Date, based on information provided in monthly reports prepared by the Master Servicer and the Special Servicer and delivered to the Trustee in accordance herewith, the Trustee shall make available via the Trustee's Website, on a restricted basis, the Restricted Servicer Reports (including the Property File on or prior to each Distribution Date, commencing in April 2005March 2004). The Trustee shall provide access to the Restricted Servicer Reports, upon request, to each Certificateholder, to the holder of a B Note as applicable, each of the parties to this Agreement, each of the Rating Agencies, each of the Financial Market Publishers, each of the Underwriters, the Operating Adviser, the Placement AgentsAgent, any prospective purchaser of the Certificates and any Certificate Owner upon receipt (which may be in electronic form) from such person of an Investor Certificate in the form of Exhibit Y, and any other person upon the direction of the Depositor, the Placement Agents Agent or any Underwriter. For assistance with the above-mentioned Trustee services, Certificateholders or any party hereto may initially call 000-000-0000. The Trustee makes no representations or warranties as to the accuracy or completeness of any report, document or other information made available on the Trustee's Website and assumes no responsibility therefor. The Trustee shall be entitled to conclusively rely on any information provided to it by the Master Servicer or the Special Servicer and shall have no obligation to verify such information and the Trustee may disclaim responsibility for any information distributed by the Trustee for which it is not the original source. In connection with providing access to the Trustee's Website, the Trustee, may require registration and the acceptance of a disclaimer. None of the Master Servicer, the Special Servicer or the Trustee shall be liable for the dissemination of information in accordance with this Agreement; provided that this sentence shall not in any way limit the liability the Trustee may otherwise have in the performance of its duties hereunder.

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Morgan Stanley Dean Witter Cap I Inc Capital I Tr 2004-Hq3)

Trustee Reports. (a) On or prior Based solely on (and to each Distribution Date, based on the extent of the information provided in monthly reports prepared by contained in) the Master Servicer and the Special Servicer and delivered Remittance Report provided to the Trustee by the Master Servicer (no later than 1:00 p.m., New York time on the Report Date), on each Distribution Date, the Trustee shall be required to provide or make available to any interested party either electronically or by first class mail (including or such other medium as the holder Depositor shall reasonably request, the incremental cost of a B Note, but only with respect to which shall be paid in advance by the related A/B Mortgage Loan) via its internet website initially located at "xxx.xxxxxxx.xxx/xxxx" (the "Trustee's Website"recipient thereof), to each Certificateholder, the Trustee, the Rating Agencies, the Master Servicer, the Special Servicer, the Primary Servicers, each Placement Agent, each Underwriter, the Depositor and anyone the Depositor, the Placement Agent or any Underwriter reasonably designates (i) the a Monthly Certificateholders Report (substantially in the form of Exhibit M), ) and (ii) a report containing information regarding the Mortgage Loans as of the end of the related Collection Period, which report shall contain substantially the categories of information regarding the Mortgage Loans set forth in Appendix I to the Final Prospectus Supplement and shall be presented in tabular format substantially similar to the format utilized in such Appendix I which report may be included as part of the Monthly Certificateholders Report, (iii) the Loan Periodic Update File, Loan Setup File, Bond Level File and the Collateral Summary File, (iv) the Advance Recoverability Report, (v) the supplemental reports set forth in paragraph (b) of the definition of Unrestricted Servicer Reports and (vi) as a convenience for interested parties (and not in furtherance of the distribution thereof under the securities laws), the Final Prospectus Supplement and this Agreement. In addition, on or prior to each Distribution Date, based on information provided in monthly reports prepared by the Master Servicer and the Special Servicer and delivered to the Trustee in accordance herewith, the Trustee shall make available via the Trustee's Website, on a restricted basis, the Restricted Servicer Reports (including the Property File on or prior to each Distribution Date, commencing in April 2005). The Trustee shall provide access to the Restricted Servicer Reports, upon request, to each Certificateholder, to the holder of a B Note as applicable, each of the parties to this Agreement, each of the Rating Agencies, each of the Financial Market Publishers, each of the Underwriters, the Operating Adviser, the Placement Agents, any prospective purchaser of the Certificates and any Certificate Owner upon receipt (which may be in electronic form) from such person of an Investor Certificate in the form of Exhibit Y, and any other person upon the direction of the Depositor, the Placement Agents or any Underwriter. For assistance with the above-mentioned Trustee services, Certificateholders or any party hereto may initially call 000-000-0000. The Trustee makes no representations or warranties as to the accuracy or completeness of any report, document or other information made available on the Trustee's Website and assumes no responsibility therefor. I. The Trustee shall be entitled to conclusively rely on any such information provided to it by the Master Servicer or the Special Servicer and shall have no obligation to verify any such information and the Trustee may disclaim responsibility for any information distributed by the Trustee for which it is not the original source. Upon written request, the Trustee shall send the reports described in the preceding paragraph to any Certificate Owner or Certificateholder by first class mail at no cost to such Certificate Owner or Certificateholder. In addition, the Trustee shall make the reports described in the preceding paragraph available through its website, initially located at xxx.xxxxxx.xxx (the "Trustee's Website"), electronic bulletin board and its ASAP System (via facsimile). The Trustee's electronic bulletin board may be initially accessed by calling (000) 000-0000, and its ASAP System may be initially accessed by calling (000) 000-0000 and requesting statement number 430. For assistance with the above-mentioned Trustee services, Certificateholders or any party hereto may initially call (000) 000-0000. In addition, the Trustee will also make Mortgage Loan information as presented in the "CMSA f/k/a/ CSSA" standard file formats, the "CMSA f/k/a CSSA," loan setup file format, the "CMSA f/k/a/ CSSA" loan periodic update file format, the Special Servicer Monthly Reports (including a Watch Report) and the Annual Report available each month to any Certificateholder, any Certificate Owner, the Rating Agencies or any other interested party via the Trustee's Website or other electronic means. The Trustee shall not be deemed to have made any representations or warranties as to the accuracy or completeness of such documents and will assume no responsibility therefor. In addition, the Trustee may disclaim responsibility for any information distributed by it of which information the Trustee is not the original source. In connection with providing access to the Trustee's WebsiteWebsite or electronic bulletin board, the Trustee, Trustee may require registration and the acceptance of a disclaimer. None of the Master Servicer, the Special Servicer or the The Trustee shall not be liable for the dissemination of information in accordance with this Agreement; provided that this sentence shall not in any way limit the liability the Trustee may otherwise have in the performance of its duties hereunder.

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Morgan Stanley Capital I Inc Depositor for Ser 1999-Life1)

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Trustee Reports. (a) On or prior Based solely on (and to each Distribution Date, based on the extent of the information provided in monthly reports prepared by contained in) the Master Servicer and the Special Servicer and delivered Remittance Report provided to the Trustee by the Master Servicer (no later than 1:00 p.m., New York time on the Report Date), on each Distribution Date, the Trustee shall be required to provide or make available to any interested party either electronically or by first class mail (including or such other medium as the holder Depositor shall reasonably request, the incremental cost of a B Note, but only with respect to which shall be paid in advance by the related A/B Mortgage Loan) via its internet website initially located at "xxx.xxxxxxx.xxx/xxxx" (the "Trustee's Website"recipient thereof), to each Certificateholder, the Operating Adviser, the Rating Agencies, the Master Servicer, the Special Servicer, the Primary Servicer, the Placement Agent, each Underwriter, the Depositor and anyone the Depositor, the Placement Agent or either Underwriter reasonably designates (i) the a Monthly Certificateholders Report (substantially in the form of Exhibit M), ) and (ii) a report containing information regarding the Mortgage Loans as of the end of the related Collection Period, which report shall contain substantially the categories of information regarding the Mortgage Loans set forth in Appendix I to the Final Prospectus Supplement and shall be presented in tabular format substantially similar to the format utilized in such Appendix I which report may be included as part of the Monthly Certificateholders Report, (iii) the Loan Periodic Update File, Loan Setup File, Bond Level File and the Collateral Summary File, (iv) the Advance Recoverability Report, (v) the supplemental reports set forth in paragraph (b) of the definition of Unrestricted Servicer Reports and (vi) as a convenience for interested parties (and not in furtherance of the distribution thereof under the securities laws), the Final Prospectus Supplement and this Agreement. In addition, on or prior to each Distribution Date, based on information provided in monthly reports prepared by the Master Servicer and the Special Servicer and delivered to the Trustee in accordance herewith, the Trustee shall make available via the Trustee's Website, on a restricted basis, the Restricted Servicer Reports (including the Property File on or prior to each Distribution Date, commencing in April 2005). The Trustee shall provide access to the Restricted Servicer Reports, upon request, to each Certificateholder, to the holder of a B Note as applicable, each of the parties to this Agreement, each of the Rating Agencies, each of the Financial Market Publishers, each of the Underwriters, the Operating Adviser, the Placement Agents, any prospective purchaser of the Certificates and any Certificate Owner upon receipt (which may be in electronic form) from such person of an Investor Certificate in the form of Exhibit Y, and any other person upon the direction of the Depositor, the Placement Agents or any Underwriter. For assistance with the above-mentioned Trustee services, Certificateholders or any party hereto may initially call 000-000-0000. The Trustee makes no representations or warranties as to the accuracy or completeness of any report, document or other information made available on the Trustee's Website and assumes no responsibility therefor. The Trustee shall be entitled to conclusively rely on any such information provided to it by the Master Servicer or the Special Servicer and shall have no obligation to verify any such information and the Trustee may disclaim responsibility for any information distributed by the Trustee for which it is not the original source. Upon written request, the Trustee shall send the reports described in the preceding paragraph to any Certificate Owner, which has provided evidence satisfactory to the Trustee that it is a Certificate Owner, or Certificateholder by first class mail at no cost to such Certificate Owner or Certificateholder. In addition, the Trustee shall make the reports described in the preceding paragraph available through its website, initially located at xxx.xxxxxx.xxx (the "Trustee's Website") and electronic bulletin board. The Trustee's electronic bulletin board may be initially accessed by calling (000) 000-0000. For assistance with the above-mentioned Trustee services, Certificateholders or any party hereto may initially call (000) 000-0000. In addition, the Trustee will also make Mortgage Loan information as presented in the following CMSA Reports: the Loan Setup File, the Loan Periodic Update File, the Property File, the Comparative Financial Status Report, the Operating Statement Analysis Report and the other CMSA Reports set forth in Section 8.11(g) and the Special Servicer Monthly Reports (including the Servicer Watch List) available each month to any Certificateholder, any Certificate Owner, the Rating Agencies or any other interested party via the Trustee's Website or other electronic means. The Trustee shall not be deemed to have made any representations or warranties as to the accuracy or completeness of such documents and will assume no responsibility therefor. In addition, the Trustee may disclaim responsibility for any information distributed by it of which information the Trustee is not the original source. In connection with providing access to the Trustee's WebsiteWebsite or electronic bulletin board, the Trustee, Trustee may require registration and the acceptance of a disclaimer. None of the Master Servicer, the Special Servicer or the The Trustee shall not be liable for the dissemination of information in accordance with this Agreement; provided that this sentence shall not in any way limit the liability the Trustee may otherwise have in the performance of its duties hereunder.

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Morgan Stanley Dean Witter Capital 1 Inc Series 2000-Prin)

Trustee Reports. (a) On or prior to each Distribution Date, based on information provided in monthly reports prepared by the Master Servicer and the Special Servicer and delivered to the Trustee by the Master Servicer (no later than 1:00 2:00 p.m., New York time on the Report Date), the Trustee shall make available to any interested party (including the holder of a B Note, but only with respect to the related A/B Mortgage Loan) via its internet website initially located at "xxx.xxxxxxx.xxx/xxxx" (the "Trustee's Website") (or such other medium as the Depositor shall reasonably request, the incremental cost of which shall be paid in advance by the recipient thereof), or by first class mail upon request, (i) the Monthly Certificateholders Certificateholder's Report (substantially in the form of Exhibit M), (ii) a report containing information regarding the Mortgage Loans as of the end of the related Collection Period, which report shall contain substantially the categories of information regarding the Mortgage Loans set forth in Appendix I to the Final Prospectus Supplement and shall be presented in tabular format substantially similar to the format utilized in such Appendix I which report may be included as part of the Monthly Certificateholders Report, (iii) the Loan Periodic Update File, Loan Setup File, Loan Financial File, Bond Level File and the Collateral Summary File, (iv) the Advance Recoverability ReportUnrestricted Servicer Reports, and (v) the supplemental reports set forth in paragraph (b) of the definition of Unrestricted Servicer Reports and (vi) as a convenience for interested parties (and not in furtherance of the distribution thereof under the securities laws), the Final Prospectus Supplement Supplement, the Prospectus and this Agreement. In addition, on or prior to each Distribution Date, based on information provided in monthly reports prepared by the Master Servicer and the Special Servicer and delivered to the Trustee in accordance herewith, the Trustee shall make available via the Trustee's Website, on a restricted basis, (i) the Restricted Servicer Reports Reports, and (including ii) the Property File on or prior to each Distribution Date, commencing in April 2005)File. The Trustee shall provide access to the Restricted Servicer Reportssuch restricted reports, upon request, to each Certificateholder, to the holder of a B Note as applicable, each of the parties to this Agreement, each of the Rating Agencies, each of the Financial Market Publishers, each of the Underwriters, the Operating Adviser, the Placement Agents, any prospective purchaser of the Certificates Agent and any Certificate Owner upon receipt (which may be in electronic form) from such person of an Investor Certificate in investor certification, the form of which is attached hereto as Exhibit YG, and any other person upon the direction of the Depositor, the Placement Agents Agent or any either Underwriter. For assistance with the above-mentioned Trustee services, Certificateholders or any party hereto may initially call 000-000-0000. The Delinquent Loan Status Report, the Historical Loan Modification Report, the Historical Liquidation Report and the REO Status Report are referred to herein as the "Unrestricted Servicer Reports" and the Servicer Watch List, the NOI Adjustment Worksheet, the Comparative Financial Status Report, and the Operating Statement Analysis are referenced to herein as the "Restricted Servicer Reports". The Trustee makes no representations or warranties as to the accuracy or completeness of any report, document or other information made available on the Trustee's Website and assumes no responsibility therefor. The Trustee shall be entitled to conclusively rely on any information provided to it by the Master Servicer or the Special Servicer and shall have no obligation to verify such information and the Trustee may disclaim responsibility for any information distributed by the Trustee for which it is not the original source. In connection with providing access to the Trustee's Website, the Trustee, may require registration and the acceptance of a disclaimer. None of the Master Servicer, the Special Servicer or the The Trustee shall not be liable for the dissemination of information in accordance with this Agreement; provided that this sentence shall not in any way limit the liability the Trustee may otherwise have in the performance of its duties hereunder.

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Morgan Stanley Dean Witter Capital I Trust 2001-PPM)

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