New Portfolio Notice Sample Clauses

New Portfolio Notice. 61 13. Forms of Scottish Transfer.............................................64 14.
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New Portfolio Notice. Dated [ ]
New Portfolio Notice. 55 13. Forms of Scottish Transfer................................................57 14. Forms of Scottish Transfer................................................60 15. Form of Scottish Declaration of Trust.....................................63 16. Appendix Part 1 Initial Portfolio................................................71 Part 2 Standard Documentation...........................................72 THIS AMENDED AND RESTATED MORTGAGE SALE AGREEMENT is made on 23rd March, 2005 BETWEEN:
New Portfolio Notice. 55 13. Forms of Scottish Transfer................................................57 14. Forms of Scottish Transfer................................................60 15. Form of Scottish Declaration of Trust.....................................63 16. Appendix Part 1 Initial Portfolio................................................71 Part 2 Standard Documentation...........................................72 THIS AMENDED AND RESTATED MORTGAGE SALE AGREEMENT is made on [{circle}], 2004 BETWEEN:
New Portfolio Notice. 53 13. Appendix Part 1 .................................................................... 55 Part 2 Standard Documentation.............................................. 56 THIS AMENDED AND RESTATED MORTGAGE SALE AGREEMENT is made on [25th November], 2003 BETWEEN:

Related to New Portfolio Notice

  • New Portfolio The Trust hereby authorizes MID to participate in the distribution of Class A Shares of the following new portfolio (“New Portfolio”) on the terms and conditions contained in the Agreement: Met/Artisan International Portfolio

  • Existing Portfolio The Manager hereby reaffirms its appointment of the Adviser as the investment adviser to the Portfolio.

  • Funding Notice Administrative Agent shall have received a fully executed and delivered Funding Notice.

  • Investment Portfolio All investment securities held by Seller or its Subsidiaries, as reflected in the consolidated balance sheets of Seller included in the Seller Financial Statements, are carried in accordance with GAAP, specifically including but not limited to, FAS 115.

  • Sale Notice Parent shall provide the Holder with written notice (the “Tag-Along Sale Notice”) not more than sixty (60) nor less than twenty (20) days prior to the proposed date of the Tag-Along Sale (the “Tag-Along Sale Date”). Each Tag-Along Sale Notice shall set forth: (i) the name and address of each proposed transferee or purchaser of shares in the Tag-Along Sale; (ii) the number of shares proposed to be transferred or sold by Parent; (iii) the proposed amount and form of consideration to be paid for such shares and the terms and conditions of payment offered by each proposed transferee or purchaser; (iv) the aggregate number of shares of Common Stock held of record as of the close of business on the day immediately preceding the Tag-Along Notice Date by Parent; (v) the Management Investor’s Allotment assuming the Holder elected to sell the maximum number of shares of Common Stock possible; (vi) confirmation that the proposed purchaser or transferee has been informed of the “Tag-Along Rights” provided for herein and has agreed to purchase shares of Common Stock in accordance with the terms hereof and (vii) the Tag-Along Sale Date.

  • Mortgage Loan Schedule The information pertaining to each Mortgage Loan which is set forth in the Mortgage Loan Schedule attached as an exhibit to this Agreement is true and correct in all material respects as of the Cut-off Date and contains all information required by the Pooling and Servicing Agreement to be contained therein.

  • TRUST NOTICE If a Fund is a Trust, notice is hereby given that this Agreement has been executed on behalf of Fund by the undersigned duly authorized representative of Fund in his/her capacity as such and not individually; and that the obligations of this Agreement are binding only upon the assets and property of Fund and not upon any trustee, officer of shareholder of Fund individually, and, if the Fund is a Massachusetts business trust, that a copy of Fund’s Trust Agreement and all amendments thereto is on file with the Secretary of State of Massachusetts.

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