Series 2000 definition

Series 2000 or “Series 2000 Certificate” shall mean any investor certificate in the Master Trust created by this Series Supplement.
Series 2000 means the Series of Notes the terms of which are specified in this Indenture Supplement.
Series 2000 means the Series of the Prime Credit Card Master Trust represented by the Series 2000-__ Certificates.

Examples of Series 2000 in a sentence

  • The agreement is based on the JBCC Series 2000 Principal Building Agreement Edition 4.1 (March 2005), prepared by the Joint Building Contracts Committee.

  • Contracting Document JBCC Series 2000 PBA March 2005, Edition 4.1 Bidders are required to score minimum points of 70 (70%) for quality / Functionality stated in tender data.

  • The agreement is based on the JBCC Series 2000 Principal Building Agreement, prepared by the Joint Building Contracts Committee, Edition 4.1, March 2005.

  • DETAIL: This is no change compared to estimated FY 2022 for the FaDSS Program.

  • Full Faith and Credit Obligations, Series 2009A – Issued in the amount of $27,930,000 on November 2, 2009 and used to refund a majority of the Series 2000 obligations and to finance the purchase and improvements to the Public Health Facility, the purchase of the Riverstone Health Clinic building, additional AIRS conversion costs, and upgrades to the heating and air conditioning system at the County correctional facility.

  • XXXXX XXXXXX OREGON MUNICIPALS FUND XXXXX XXXXXX PRINCIPAL RETURN FUND Zeros Plus Emerging Growth Series 2000 Xxxxx Xxxxxx Security and Growth Fund 2005 XXXXX XXXXXX SMALL CAP BLEND FUND, INC XXXXX XXXXXX TELECOMMUNICATIONS TRUST Xxxxx Xxxxxx Telecommunications Income Fund XXXXX XXXXXX VARIABLE ACCOUNT FUNDS (VARIABLE ANNUITY) Income and Growth Portfolio Reserve Account Portfolio U.S. Government/High Quality Securities Portfolio XXXXX XXXXXX WORLD FUNDS, INC.

  • SUNY Educational Facilities Series 2000 partial current refunded on December 16, 2010by Consolidated Service Contracts Series 2010 as follows:$69,445,000 called 1/17/11 @ 101%.

  • A securitization in a totalitarian regime would therefore fall into the realm of ‘normal politics’ in the according system (ibidem: 69f).

  • FIT Series 2000 State share fully refunded on October 12, 2018 bySales Tax 2018G and with cash on hand as follows:2,885,000 called 11/16/18 @ par.

  • Partially advance refunded on February 15, 2000 by SUNY Educational FacilitiesRevenue Bonds, Series 2000 as follows:$21,830,000 of the 5/15/02 7.5% bonds called on 5/15/00 @ 102%.


More Definitions of Series 2000

Series 2000 or “Series 2000 Certificate” means the Series 2000 Certificate, issued pursuant to the Prior Pooling and Servicing Agreement and the Prior Series 2000 Supplement, as amended, supplemented, restated or otherwise modified from time to time.
Series 2000 means the Series the terms of which are ---------------- specified in this Series Supplement.
Series 2000 means the Series of Notes the terms of which --------------- are specified in this Indenture Supplement.
Series 2000 means the Series of Investor Certificates the terms of which are specified in this Supplement.

Related to Series 2000

  • Series 2015 Bonds means, collectively, the Series 2015B Bonds, Series 2015C Bonds and Series 2015D Bonds.

  • Series 2019 Bonds means, collectively, the Series 2019A Bonds and the Series 2019B Bonds.

  • Series 2017 Bonds means, collectively, the Series 2017A Bonds and the Series 2017B Bonds.

  • Series 2020 Bonds means the Series 2020A Bonds and the Series 2020B Bonds.

  • Exchange Note Collection Account means the account established under Section 4.1(a) of the Servicing Supplement.

  • Principal Collection Account A sub-account of the Collection Account created and maintained on the books and records of the Securities Intermediary entitled “Principal Collection Account” in the name of the Borrower and subject to the Lien of the Collateral Agent for the benefit of the Secured Parties.

  • Yield Supplement Account means the account designated as such, and established and maintained pursuant to Section 4.01.

  • Interest Collection Account A sub-account of the Collection Account created and maintained on the books and records of the Securities Intermediary entitled “Interest Collection Account” in the name of the Borrower and subject to the Lien of the Collateral Agent for the benefit of the Secured Parties.

  • Reserve Account Draw Amount means, for any Payment Date, an amount equal to the lesser of (a) the Available Funds Shortfall Amount, if any, for such Payment Date and (b) the amount of cash or other immediately available funds on deposit in the Reserve Account (excluding any net investment earnings) on such Payment Date; provided, however, that if such Payment Date is the Redemption Date, the “Reserve Account Draw Amount” shall mean an amount equal to the amount of cash or other immediately available funds on deposit in the Reserve Account on the Redemption Date.

  • Liquidity Reserve Account shall have the meaning set forth in Section 8.2(A)(iii).

  • Reallocated Class B Principal Collections means, with respect to any Transfer Date, Collections of Principal Receivables applied in accordance with subsection 4.12(a) in an amount not to exceed the product of (a) the Class B Investor Allocation with respect to the Monthly Period relating to such Transfer Date and (b) the Investor Percentage with respect to the Monthly Period relating to such Transfer Date and (c) the amount of Collections of Principal Receivables with respect to the Monthly Period relating to such Transfer Date; provided, however, that such amount shall not exceed the Class B Investor Interest after giving effect to any Class B Investor Charge-Offs for such Transfer Date.

  • Principal Funding Account shall have the meaning specified in subsection 4.03(a)(i).

  • Monthly Principal Reallocation Amount means, for any Monthly Period, an amount equal to the sum of:

  • Collection Account means the account designated as such, established and maintained pursuant to Section 5.1.

  • Principal Funding Investment Shortfall means, with respect to each Transfer Date relating to the Controlled Accumulation Period, the amount, if any, by which the Principal Funding Investment Proceeds for such Transfer Date are less than the Covered Amount determined as of such Transfer Date.

  • Prefunding Account The separate Eligible Account created and maintained by the Trustee pursuant to Section 3.06(g) in the name of the Trustee for the benefit of the Certificateholders and designated “U.S. Bank National Association, in trust for registered holders of Home Equity Asset Trust 2004-2, Home Equity Pass-Through Certificates, Series 2004-2. Funds in the Prefunding Account shall be held in trust for the Certificateholders for the uses and purposes set forth in this Agreement and shall not be a part of any REMIC created hereunder; provided, however, that any investment income earned from Permitted Investments made with funds in the Prefunding Account shall be for the account of the Depositor.

  • Class B Servicing Fee shall have the meaning specified in Section 3.01.

  • Funding Account has the meaning assigned to such term in Section 4.01(h).

  • Class A-P Collection Shortfall With respect to the Cash Liquidation or REO Disposition of a Discount Mortgage Loan and any Distribution Date, the excess of the amount described in Section 4.02(b)(i)(C)(1) over the amount described in Section 4.02(b)(i)(C)(2).

  • Available Investor Principal Collections means, with respect to any Monthly Period, an amount equal to the sum of (a) an amount equal to the Principal Allocation Percentage of all Collections of Principal Receivables received during such Monthly Period, plus (b) the amount of Miscellaneous Payments, if any, for such Monthly Period that are allocated to Series 2002-CC pursuant to Section 4.03 of the Agreement, plus (c) any Shared Principal Collections with respect to other Series that are allocated to Series 2002-CC in accordance with Section 4.04 of the Agreement and Section 4.04 hereof.

  • Class A Servicing Fee shall have the meaning specified in Section 3.01.

  • Yield Supplement Amount means, with respect to any Collection Period and the related Deposit Date, the aggregate amount by which one month’s interest on the Principal Balance as of the first day of such Collection Period of each Discount Receivable (other than a Discount Receivable that is a Defaulted Receivable) at a rate equal to the Required Rate, exceeds one month’s interest on such Principal Balance at the APR of each such Receivable.

  • Principal Collection Subaccount The meaning specified in Section 10.2(a).

  • Master Servicer Collection Account The trust account or accounts created and maintained pursuant to Section 4.02, which shall be denominated "JPMorgan Chase Bank, as Trustee f/b/o holders of Structured Asset Mortgage Investments II Inc., Bear Xxxxxxx ALT-A Trust 2004-8, Mortgage Pass-Through Certificates, Series 2004-8 - Master Servicer Collection Account," and which shall be an Eligible Account.

  • Investor Principal Collections means, with respect to any Monthly Period, the aggregate amount retained in the Collection Account for Series 2007-A pursuant to Section 4.01(c)(ii) for such Monthly Period.

  • Class Y Principal Reduction Amounts For any Distribution Date, the amounts by which the Class Principal Balances of the Class Y-1 and Class Y-2 Regular Interests, respectively, will be reduced on such Distribution Date by the allocation of Realized Losses and the distribution of principal, determined as described in Appendix 1.