{"component": "definition", "props": {"groups": [{"samples": [{"hash": "eM2Zb5r5S77", "uri": "/contracts/eM2Zb5r5S77#assumed-final-maturity-date", "label": "Pooling and Servicing Agreement (American General Finance Inc)", "score": 21.3586584531, "published": true}, {"hash": "llcHar9Pogd", "uri": "/contracts/llcHar9Pogd#assumed-final-maturity-date", "label": "Pooling and Servicing Agreement (First Franklin Mortgage Loan Trust 2005-Ffh3)", "score": 21.0, "published": true}, {"hash": "fbyESGikQU2", "uri": "/contracts/fbyESGikQU2#assumed-final-maturity-date", "label": "Pooling and Servicing Agreement (First Franklin Mortgage Loan Trust 2005-Ffh3)", "score": 21.0, "published": true}], "snippet_links": [{"key": "class-of-certificates", "type": "definition", "offset": [11, 32]}, {"key": "preliminary-statement", "type": "clause", "offset": [68, 89]}], "size": 223, "snippet": "As to each Class of Certificates, the date set forth as such in the Preliminary Statement.", "hash": "3cc3adcf5b29f88a0dd7e3eff1213edf", "id": 1}, {"samples": [{"hash": "kFAD4b9ewL2", "uri": "/contracts/kFAD4b9ewL2#assumed-final-maturity-date", "label": "Pooling and Servicing Agreement (NovaStar Certificates Financing CORP)", "score": 21.0, "published": true}, {"hash": "h9cnWQ7pdtf", "uri": "/contracts/h9cnWQ7pdtf#assumed-final-maturity-date", "label": "Pooling and Servicing Agreement (NovaStar Certificates Financing LLC)", "score": 21.0, "published": true}, {"hash": "dTPion1DOjN", "uri": "/contracts/dTPion1DOjN#assumed-final-maturity-date", "label": "Pooling and Servicing Agreement (NovaStar Certificates Financing CORP)", "score": 21.0, "published": true}], "snippet_links": [{"key": "class-of-certificates", "type": "definition", "offset": [11, 32]}, {"key": "the-distribution-date", "type": "definition", "offset": [34, 55]}], "size": 28, "snippet": "As to each Class of Certificates, the Distribution Date in January 2036.", "hash": "81934a4071d4baad220ed2446ca7f9b8", "id": 2}, {"samples": [{"hash": "eGgv2WE1SD5", "uri": "/contracts/eGgv2WE1SD5#assumed-final-maturity-date", "label": "Pooling and Servicing Agreement (Soundview Home Loan Trust 2007-Ns1)", "score": 21.0, "published": true}, {"hash": "LLHYBMxKDX", "uri": "/contracts/LLHYBMxKDX#assumed-final-maturity-date", "label": "Pooling and Servicing Agreement (Soundview Home Loan Trust 2006-Eq2)", "score": 21.0, "published": true}, {"hash": "6VZaZfMjmC8", "uri": "/contracts/6VZaZfMjmC8#assumed-final-maturity-date", "label": "Pooling and Servicing Agreement (Soundview Home Loan Trust 2006-Wf1)", "score": 21.0, "published": true}], "snippet_links": [{"key": "class-of-certificates", "type": "definition", "offset": [11, 32]}, {"key": "the-prospectus-supplement", "type": "clause", "offset": [64, 89]}], "size": 18, "snippet": "As to each Class of Certificates, the date set forth as such in the Prospectus Supplement.", "hash": "9a5a41a3c466cc6943a9d30c0e5293f1", "id": 3}, {"samples": [{"hash": "7qGpAkqXTHZ", "uri": "/contracts/7qGpAkqXTHZ#assumed-final-maturity-date", "label": "Pooling and Servicing Agreement (American Home Mortgage Assets Trust 2006-3)", "score": 21.0, "published": true}, {"hash": "7EcW4bY0bet", "uri": "/contracts/7EcW4bY0bet#assumed-final-maturity-date", "label": "Pooling and Servicing Agreement (American Home Mortgage Assets Trust 2006-5)", "score": 21.0, "published": true}, {"hash": "6A2nOYXuaSR", "uri": "/contracts/6A2nOYXuaSR#assumed-final-maturity-date", "label": "Pooling and Servicing Agreement (American Home Mortgage Assets Trust 2006-3)", "score": 21.0, "published": true}], "snippet_links": [{"key": "the-distribution-date", "type": "definition", "offset": [0, 21]}], "size": 14, "snippet": "The Distribution Date in October 2046.", "hash": "1b01ac6215b937c566df83427aeb2d35", "id": 4}, {"samples": [{"hash": "cRtBYl9zWCv", "uri": "/contracts/cRtBYl9zWCv#assumed-final-maturity-date", "label": "Pooling and Servicing Agreement (Novastar Mortgage Funding Trust Series 2001-1)", "score": 18.0, "published": true}], "snippet_links": [{"key": "class-of-certificates", "type": "definition", "offset": [11, 32]}, {"key": "distribution-date", "type": "definition", "offset": [66, 83]}], "size": 3, "snippet": "As to each Class of Certificates, the --------------------------- Distribution Date in August, 2031.", "hash": "c08db8f3a381c6797c312b3fe2538fb7", "id": 5}, {"samples": [{"hash": "gL7ZKuN06qR", "uri": "/contracts/gL7ZKuN06qR#assumed-final-maturity-date", "label": "Pooling and Servicing Agreement (American Home Mortgage Assets Trust 2007-3)", "score": 19.0, "published": true}], "snippet_links": [{"key": "the-distribution-date", "type": "definition", "offset": [27, 48]}, {"key": "in-november", "type": "clause", "offset": [113, 124]}, {"key": "loan-group-iii", "type": "definition", "offset": [144, 158]}], "size": 1, "snippet": "With respect Loan Group I, the Distribution Date in June 2037. With respect Loan Group II, the Distribution Date in November 2046. 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the Preliminary Statement.", "id": "assumed-final-maturity-date", "examples": ["The Seller does not represent that any Class of Uncertificated Subsidiary Interests will, in fact, mature on any given date, except that each regular interest of the Subsidiary REMIC will absolutely mature by the <strong>Assumed Final Maturity Date</strong> as indicated above.", "All REMIC regular and residual interests created hereby will be retired on or before the <strong>Assumed Final Maturity Date</strong>.", "Certificate No. 1 Class P Percentage Interest: 100% Date of Pooling and Servicing Agreement and Cut-off Date: December 1, 2006 Aggregate Initial Certificate Principal Balance of the Class P Certificates: $[________] First Distribution Date: January 25, 2007 Initial Certificate Principal Balance of this Certificate: $[_________] <strong>Assumed Final Maturity Date</strong>: October 2036 Principal in respect of this Certificate is distributable monthly as set forth herein.", "Certificate No. 1 Class R-I Percentage Interest: 100% Date of Pooling and Servicing Agreement and Cut-off Date: December 1, 2006 First Distribution Date: January 25, 2007 <strong>Assumed Final Maturity Date</strong>: October 2036 This Certificate does not evidence an obligation of, or an interest in, and is not guaranteed by the Depositor, the Servicer, the Master Servicer, the Trustee or the Securities Administrator referred to below or any of their respective affiliates.", "Certificate No. 1 Variable Pass-Through Rate Class A-1 Percentage Interest: 100% Date of Pooling and Servicing Agreement and Cut-off Date: November 1, 2005 Aggregate Initial Certificate Principal Balance of the Class A-1 Certificates: $[ ] First Distribution Date: December 26, 2005 Initial Certificate Principal Balance of this Certificate: $[ ] <strong>Assumed Final Maturity Date</strong>: October 2035 CUSIP [ ] Principal in respect of this Certificate is distributable monthly as set forth herein.", "The following table sets forth (or describes) the Class designation, Pass-Through Rate, Original Class Certificate Principal Balance and <strong>Assumed Final Maturity Date</strong> for each Class of Certificates comprising the interests in the Trust Fund created hereunder: Original Class Certificate Principal Pass-Through Assumed Final Class Balance Rate Maturity Date Class A-1.................", "Certificate No. 1 Variable Pass-Through Rate Class CE Percentage Interest: 100% Date of Pooling and Servicing Agreement: March 24, 2006 Cut-off Date: May 1, 2006 Aggregate Initial Certificate Principal Balance of the Class CE Certificates: $[ ] First Distribution Date: June 26, 2006 Initial Certificate Principal Balance of this Certificate: $[ ] <strong>Assumed Final Maturity Date</strong>: February 25, 2036 Principal in respect of this Certificate is distributable monthly as set forth herein.", "Certificate No. 1 Variable Pass-Through Rate Class M-10 Percentage Interest: 100% Date of Pooling and Servicing Agreement: March 24, 2006 Cut-off Date: May 1, 2006 Aggregate Initial Certificate Principal Balance of the Class M-10 Certificates: $[ ] First Distribution Date: June 26, 2006 Initial Certificate Principal Balance of this Certificate: $[ ] <strong>Assumed Final Maturity Date</strong>: February 25, 2036 CUSIP [ ] Principal in respect of this Certificate is distributable monthly as set forth herein.", "Certificate No. 1 Variable Pass-Through Rate Class M-9 Percentage Interest: 100% Date of Pooling and Servicing Agreement: March 24, 2006 Cut-off Date: May 1, 2006 Aggregate Initial Certificate Principal Balance of the Class M-9 Certificates: $[ ] First Distribution Date: June 26, 2006 Initial Certificate Principal Balance of this Certificate: $[ ] <strong>Assumed Final Maturity Date</strong>: February 25, 2036 CUSIP [ ] Principal in respect of this Certificate is distributable monthly as set forth herein.", "The Seller does not represent that any Class of Uncertificated Subsidiary Interests or Class P(F) or Class P(V) Interest will, in fact, mature on any given date, except that each regular interest of the Subsidiary REMIC will absolutely mature by the <strong>Assumed Final Maturity Date</strong> as indicated above."], "related": [["final-maturity-date", "Final Maturity Date", "Final Maturity Date"], ["original-maturity-date", "Original Maturity Date", "Original Maturity Date"], ["initial-maturity-date", "Initial Maturity Date", "Initial Maturity Date"], ["legal-final-maturity-date", "Legal Final Maturity Date", "Legal Final Maturity Date"], ["class-b-maturity-date", "Class B Maturity Date", "Class B Maturity Date"]], "related_snippets": [["expected-maturity-date", "means June 15, 2021."], ["term-maturity-date", "means the Term B Maturity Date, the Term C Maturity Date and the maturity date of any other Class of Term Loan as set forth in the applicable amendment documentation, as the context may require."], ["facility-maturity-date", "means the earliest to occur of (i) the Stated Maturity Date, (ii) the date of the declaration, or automatic occurrence, of the Facility Maturity Date pursuant to Section 7.01, (iii) the Collection Date and (iv) the occurrence of the termination of this Agreement pursuant to Section 2.18(b) hereof."], ["latest-term-loan-maturity-date", "means, as of any date of determination, the latest maturity or expiration date applicable to any Term Loan hereunder at such time."], ["latest-maturity-date", "means, at any date of determination, the latest maturity or expiration date applicable to any Loan or Commitment hereunder at such time, including the latest maturity or expiration date of any Other Term Loan, any Other Term Commitment, any Other Revolving Loan or any Other Revolving Commitment, in each case as extended in accordance with this Agreement from time to time."], ["l-c-maturity-date", "means the date that is five Business Days prior to the Revolving Credit Maturity Date."], ["term-b-maturity-date", "means March 2, 2027, or if such date is not a Business Day, the next preceding Business Day."], ["new-term-loan-maturity-date", "means the date on which a New Term Loan matures."], ["tranche-b-term-loan-maturity-date", "means June 30, 2022."], ["initial-maturity-date", "means the earlier of (i) February 1, 2020 (the \"Scheduled Initial Maturity Date\"), and (ii) the date on which the unpaid principal balance of this Note becomes due and payable by acceleration or otherwise pursuant to the Loan Documents or the exercise by Lender of any right or remedy thereunder."], ["incremental-term-maturity-date", "means, with respect to Incremental Term Loans of any Series, the scheduled date on which such Incremental Term Loans shall become due and payable in full hereunder, as specified in the applicable Incremental Facility Agreement."], ["final-maturity-date", "means, at any time (a) the then scheduled Termination Date or (b) if extended pursuant to Section 2.16(b), the date requested by the Borrower pursuant to Section 2.16(b), but in no event shall such date be later than the first anniversary of the then scheduled Termination Date."], ["equipment-maturity-date", "is defined in Section 2.1.1."], ["class-a-1-maturity-date", "means [ ] (or, if such day is not a Business Day, the next preceding Business Day)."], ["extended-maturity-date", "has the meaning specified in Section 2.17(a)."], ["initial-term-loan-maturity-date", "means the date that is seven years after the Closing Date."], ["class-b-maturity-date", "means [ ] (or, if such day is not a Business Day, the next succeeding Business Day thereafter)."], ["legal-final-maturity-date", "means the Payment Date falling in the twelfth month following the Revolving Period Termination Date."], ["final-maturity", "has the meaning specified in Section 3.08."], ["existing-maturity-date", "has the meaning specified in Section 2.14(a)."], ["original-maturity-date", "means, for each Bond designated as EMCP, the date that is from 1 to 180 days from the original issue date, specified as such in the confirmation sent to the Holder of the EMCP."], ["term-loan-b-maturity-date", "means the earliest of (a) May 24, 2014, or (b) such earlier date upon which the Outstanding Amounts under the Term Loan Facility, including all accrued and unpaid interest, are required to be paid in full in accordance with the terms hereof."], ["legal-maturity-date", "means July 15, 2024."], ["class-c-maturity-date", "means [ ] (or, if such day is not a Business Day, the next succeeding Business Day thereafter)."], ["tranche-b-maturity-date", "means May 8, 2009, or, if such day is not a Business Day, the next preceding Business Day."]], "updated": "2025-07-06T21:58:41+00:00"}, "json": true, "cursor": ""}}