HFA Trustee definition

HFA Trustee means the bond indenture trustee of the related Program Bonds as set forth on Schedule B-1 or B-2, as applicable, of the related Placement Agreement.
HFA Trustee means, with respect to each Program Bond Series, the party acting as indenture trustee under the related indenture and means, with respect to each TCLF, the party specified as the trustee in the related Reimbursement Agreement.
HFA Trustee means the bond indenture trustee of the Program Bonds identified in the Settlement Statement. “Indenture” means the indenture or resolution identified on Schedule B to the Placement Agreement pursuant to which the Program Bonds were issued. “Initial Securitization Fee” means the Initial Securitization Fee payable by the HFA to each GSE, which such amount is set forth on Schedule A to the Placement Agreement. “Legal Deposit” means the legal deposit in the amount of $25,000 wired by the HFA to the Closing Agent pursuant to the Participation Letter, evidencing the intent of the HFA to participate in the New Issue Bond Program. “New Issue Bond Program” means the program pursuant to which Treasury will purchase GSE Securities pursuant to the New Issue Bond Program Agreement. “New Issue Bond Program Agreement” means the New Issue Bond Program Agreement, dated as of December 9, 2009, among Treasury, ▇▇▇▇▇▇ Mae and ▇▇▇▇▇▇▇ Mac. “Official Statement” means the Official Statement of the HFA delivered pursuant to Section 5.1(a)(iv) of the Placement Agreement pertaining to the Program Bonds being delivered to the GSEs in exchange for the GSE Securities. “Opinion of Counsel” means a written opinion of counsel, who may be outside or salaried counsel of the party causing the opinion to be delivered, acceptable in any event to (a) each of the parties to which such opinion is addressed and (b) each of the parties entitled to rely on such opinion. “Participation Letter” means the participation letter from the HFA to ▇▇▇▇▇▇ Mae and ▇▇▇▇▇▇▇ Mac acknowledging the HFA’s intent to participate in the HFA Initiative. “Placement Agreement” means the Placement Agreement, dated December 9, 2009, by and among ▇▇▇▇▇▇ Mae, ▇▇▇▇▇▇▇ Mac and the HFA, which provides for the exchange of the Program Bonds for the GSE Securities. “Pre-Settlement Conditions” has the meaning given to such term in Section 3(d)(v) of this Agreement. “Private Placement Memorandum” means a private placement memorandum of a GSE relating to the GSE Securities. “Program Bonds” means, collectively, the single-family mortgage revenue bonds and/or multifamily mortgage revenue bonds issued by the HFA and identified in Schedule B to the Placement Agreement. “Purchase Price” means the aggregate purchase price paid by Treasury for the GSE Securities, which is specified in the Settlement Statement.

Examples of HFA Trustee in a sentence

  • A certificate of the secretary or assistant secretary and an authorized officer of the HFA Trustee, dated December 23, 2009, certifying as to the incumbency of the HFA Trustee officer executing the Complete Indenture (as applicable), the Continuing Disclosure Agreement (as applicable) and any other applicable documents and as to the genuineness of such officer’s signature.

  • The HFA hereby covenants that, from and after the date of this Agreement and for so long as Treasury owns the GSE Securities, it shall cause the HFA Trustee or its paying agent, as applicable, to make all payments of principal and interest required to be made in respect of the Program Bonds, to be made when due through the payment systems of DTC.

  • In connection therewith, the related HFA and HFA Trustee may arrange for the delivery of a new Bond to the Administrator (such Bond, the “Release Bond”).

  • An executed copy of the continuing disclosure agreement (the “Continuing Disclosure Agreement”), dated on or before December 23, 2009, between the HFA and the HFA Trustee (as applicable) delivered in connection with Rule 15c2-12 promulgated under the Securities Exchange Act of 1934, as amended.

  • The HFA further agrees that the HFA Trustee shall be a DTC FAST participant.

  • Notwithstanding the foregoing, the Administrator shall have no responsibility to deliver or calculate any information with respect to any Series for which it has not received from the related HFA Trustee the information needed to make the calculations required for the Remittance Report.

  • All documents which Discount files or is responsible for filing with the SEC and any regulatory agency in connection with the Merger (including, without limitation, the Proxy Statement/Prospectus) will comply as to form and, to the extent provided by Discount, as to content, in each case in all material respects with the provisions of applicable law.

Related to HFA Trustee

  • NIM Trustee The trustee for the NIM Securities.

  • Escrow Trustee means the bank or trust company designated by the Fiscal Officer in the Certificate of Award as the initial escrow agent with respect to the Refunded Bonds under the Escrow Agreement and until a successor Escrow Trustee shall have become such pursuant to the provisions of the Escrow Agreement and, thereafter, "Escrow Trustee" shall mean the successor Escrow Trustee.

  • Co-Trustee has the meaning set forth in the Basic Servicing Agreement.

  • Class A Trustee means the trustee for the Class A Pass Through Trust.

  • Trust Agent means U.S. Bank, as Trust Agent under the Titling Trust Agreement.