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3 similar Underwriting Agreement contracts by National City Credit Card Master Trust, National City Bank /

NATIONAL CITY CREDIT CARD MASTER NOTE TRUST NATIONAL CITY BANK (Originator, Beneficiary, Seller and Servicer) $175,000,000 Class A Asset Backed Notes, Series 2008-2 UNDERWRITING AGREEMENT May 15, 2008
Underwriting Agreement • June 4th, 2008 • National City Credit Card Master Trust • Asset-backed securities • Delaware

Morgan Stanley & Co. Incorporated as an Underwriter and as a Representative of the several Underwriters set forth on Schedule A hereto 1585 Broadway New York, New York 10036

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NATIONAL CITY CREDIT CARD MASTER NOTE TRUST NATIONAL CITY BANK (Originator, Beneficiary, Seller and Servicer) $66,000,000 Class A Asset Backed Notes, Series 2008-1 UNDERWRITING AGREEMENT May 15, 2008
Underwriting Agreement • June 4th, 2008 • National City Credit Card Master Trust • Asset-backed securities • Delaware

Morgan Stanley & Co. Incorporated as an Underwriter and as a Representative of the several Underwriters set forth on Schedule A hereto 1585 Broadway New York, New York 10036

NATIONAL CITY CREDIT CARD MASTER NOTE TRUST NATIONAL CITY BANK (Originator, Beneficiary, Seller and Servicer) $[•] Class A Floating Rate Asset Backed Notes, Series 200[•]-[•] $[•] Class B Floating Rate Asset Backed Notes, Series 200[•]-[•] $[•] Class...
Underwriting Agreement • March 23rd, 2007 • National City Bank / • National commercial banks • Delaware

National City Credit Card Master Note Trust, a Delaware statutory trust (the “Issuer”), and National City Bank, a national banking association (the “Bank”), as originator and as beneficiary of the Issuer, propose to sell (a) $[•] Class A Floating Rate Asset Backed Notes, Series 200[•]-[•] (the “Class A Notes”), (b) $[•] Class B Floating Rate Asset Backed Notes, Series 200[•]-[•] (the “Class B Notes”) and (c) $[•] Class C Floating Rate Asset Backed Notes, Series 200[•]-[•] (the “Class C Notes” and, together with the Class A Notes and the Class B Notes, the “Notes”) representing debt obligations of the Issuer. The Notes will be issued pursuant to the Indenture, dated as of August 23, 2005, as supplemented by the Series 200[•]-[•] Indenture Supplement, to be dated as of [•] [•], [•] (as so supplemented and as otherwise modified or amended from time to time, the “Indenture”), between the Issuer and The Bank of New York, as indenture trustee (in such capacity, the “Indenture Trustee”). The

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