Bond Level definition

Bond Level means the level of the Bond as determined by the Determination Agent by reference to the level of the Bond pub- lished by the Exchange.

Examples of Bond Level in a sentence

  • The Certificate Administrator shall prepare the CREFC® Bond Level File.

  • In addition, on each Distribution Date, the Trustee shall make available to any interested party via the Trustee's Internet Website the Unrestricted Servicer Reports, the CMSA Loan Periodic Update File, the CMSA Loan Setup File, the CMSA Bond Level File and the CMSA Collateral Summary File, in each case for such Distribution Date, and any other information at the request of the Depositor.

  • The Trustee shall publicly make available each month the related Distribution Date Statement, the CMSA Bond Level File, the CMSA Collateral Summary File and the CMSA Loan Setup File, any prospectus used to offer the Certificates and this Agreement via its internet website initially located at "www.ctslink.com".

  • In addition, on each Distribution Date, the Trustee shall make available to any interested party via the Trustee's Internet Website the Unrestricted Reports, the CMSA Loan Periodic Update File, the CMSA Loan Setup File, the CMSA Bond Level File and the CMSA Collateral Summary File, in each case for such Distribution Date, and any other information at the request of the Depositor.

  • In addition, on each Distribution Date, the Certificate Administrator shall make available to any interested party via the Certificate Administrator's Internet Website the Unrestricted Servicer Reports, the CMSA Loan Periodic Update File, the CMSA Loan Setup File, the CMSA Bond Level File and the CMSA Collateral Summary File, in each case for such Distribution Date, and any other information at the request of the Depositor.

  • In addition, on each Distribution Date, the Trustee shall make available to any interested party via the Trustee's Internet Website the Unrestricted Servicer Reports, the CMSA Loan Periodic Update File, the CMSA Loan Setup File, the CMSA Bond Level File, the CMSA Collateral Summary File and the CMSA Reconciliation of Funds Report, in each case for such Distribution Date, and any other information at the request of the Depositor.

  • The Trustee shall provide or make available on its Website the CMSA Bond Level File and the CMSA Collateral Summary File.

  • In addition, the Trustee will make available to any interested party each month the Servicer Reports, the CMSA Loan Setup File, the CMSA Loan Periodic Update File, CMSA Property File and CMSA Financial File, CMSA Bond Level File, CMSA Collateral Summary File and the Credit Lease Loan Report on the Trustee's Website.

  • Exhibit A Form of Trust Receipt Exhibit B Form of Final Certification Exhibit C Form of Rule 144A Agreement - QIB Certification Exhibit D [Reserved] Exhibit E Form of Benefit Plan Affidavit Exhibit F Residual Transfer Affidavit Exhibit G Transferor Certificate Exhibit H Form of Trustee Certification Schedule I Bond Level Report Schedule II Loan Level Report Schedule III Remittance Report RECITALS GS Mortgage Securities Corp.

  • Not later than 1:00 p.m. (New York City time) on the Business Day immediately prior to the Distribution Date, the Servicer shall prepare (if and to the extent necessary) and deliver or cause to be delivered to the Trustee, in electronic format reasonably acceptable to the Trustee, each of the files and reports comprising the CMSA Reporting Package (excluding any CMSA Collateral Summary File, CMSA Bond Level File and CMSA Loan Set-Up File).