Information Package Sample Clauses

Information Package. (a) Any factual information in the Information Package was true and accurate in all material respects as at the date it was provided or as at the date (if any) at which it is stated.
Information Package. On the twentieth (20th) day of each calendar month (or if such day is not a Business Day, the next Business Day) following the Cut-Off Date for such Settlement Period (each a “Reporting Date” for and related to the Settlement Period ending immediately prior to such date), Servicer shall deliver to Administrative Agent and each Purchaser Agent an e-mail attaching an Excel file and a file in .pdf or similar format signed by Servicer containing the information described in Exhibit 3.1(a), including the information calculated by Servicer pursuant to this Section 3.1 (each, an “Information Package”) for the related Settlement Period; provided that Administrative Agent may modify, in any reasonable respect, the information required to be provided by Servicer in, or the form of, the Information Package upon reasonable prior notice to Servicer; provided further that during the Liquidation Period or after the occurrence of an Event of Default that has not been waived in accordance with this Agreement, Administrative Agent or any Purchaser Agent may request, in its sole discretion, Servicer to, and Servicer agrees to, deliver any information related to the Asset Interest or the transactions contemplated hereby as Administrative Agent or any Purchaser Agent shall request (including a calculation of Required Reserves and each component thereof) on each Business Day.
Information Package. Evidence that the NCLC Group has submitted the Principles Information Package (including information related to crisis-related liquidity measures) to Hermes, as a basis for Hermes to assess the adequacy of the NCLC Group´s crisis-related liquidity measures with regard to utilization of the Deferred Loans, in accordance with the terms of the Credit Agreement.
Information Package. On the twentieth (20th) day of each calendar month (or if such day is not a Business Day, the next Business Day) following the Cut-Off Date for such Settlement Period, (each a “Reporting Date” for and related to the Settlement Period ending immediately prior to such date), the Servicer shall deliver to the Collateral Agent, the Administrative Agent and each Purchaser Agent an e-mail attaching an Excel file and a file in .pdf or similar format signed by the Servicer containing the information described in Exhibit 3.1(a), including the information calculated by the Servicer pursuant to this Section 3.1 (each, an “Information Package”) for the related Settlement Period; provided, that the Administrative Agent may modify, in good faith and in the exercise of reasonable (from the perspective of a secured asset-based lender) business judgment, the information required to be provided by the Servicer in, or the form of, the Information Package upon reasonable prior notice to the Servicer; provided, that the Administrative Agent obtains the consent of the Required Purchasers to any such modification (which consent shall not be unreasonably withheld or delayed) to the extent that any such modification (i) is not ministerial in nature, (ii) reduces the scope of the information to be set forth in the Information Package, or (iii) is not purely intended to clarify ambiguities or to correct inconsistencies in the Information Package; provided, further, that during the Liquidation Period, during the continuance of an Event of Termination, an Unmatured Event of Termination, Collection Control Event, or Non-Reinvestment Event, the Administrative Agent may (or at the request of the Required Purchasers shall) request, in its reasonable discretion, the Servicer to, and the Servicer agrees to, deliver any information related to the Asset Portfolios, Lease Devices, Lease Contracts, or the transactions contemplated hereby that can reasonably be produced by Servicer with its then-current reporting system at such time as the Administrative Agent or the Required Purchasers shall reasonably request (including a calculation of Required Reserves for each Receivable Pool and each component thereof) on each Business Day. The parties hereto hereby agree that the form of Information Package shall be as set forth on Exhibit 3.1(a) as of the Third Restatement Effective Date.
Information Package. On the 15th day of each calendar month (or if such day is not a Business Day, the next Business Day) (each, a “Reporting Date” for and related to the Settlement Period ending immediately prior to such date), Master Servicer shall deliver to Administrative Agent and each Purchaser Agent an e-mail attaching an Excel file and a file in .pdf or similar format signed by Master Servicer containing the information described in Exhibit 3.1(a), including the information calculated by Master Servicer pursuant to this Section 3.1 (each, an “Information Package”) for the related Settlement Period; provided, that Administrative Agent may modify, in any reasonable respect, the information required to be provided by Master Servicer in, or the form of, the Information Package upon reasonable prior notice to Master Servicer; provided, further, that during the Liquidation Period or after the occurrence of an Event of Termination that has not been waived in accordance with this Agreement, Administrative Agent or any Purchaser Agent may request, in its sole discretion, Master Servicer to, and Master Servicer agrees to, deliver any information related to the Asset Interest or the transactions contemplated hereby as Administrative Agent or any Purchaser Agent shall request (including a calculation of Required Reserves and each component thereof) on each Business Day.
Information Package. (a) In this Subclause:
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Information Package. 19.20.1 The factual information prepared by it and contained in the Information Package was true and accurate in all material respects as at the date it was provided or as at the date (if any) at which it is stated to be given; and to the best of its knowledge and belief, any other factual information contained in the Information Package was true and accurate in all material respects as at the date it was provided or as at the date (if any) at which it is stated to be given.
Information Package. (a) The material statements of fact in relation to the assets, financial condition and operations of the Business and the Group contained in the Information Package were true, complete and accurate in all material respects at the date ascribed thereto in the Information Package.
Information Package. On the Reporting Date for each Settlement Period, Servicer shall deliver to the Relationship Bank a diskette containing the information described in EXHIBIT 3.01 with such modifications as the Administrator or the Relationship Bank may reasonably request or which may be satisfactory to them (each, an "INFORMATION PACKAGE").
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