Reports to Trustee and Certificateholders Sample Clauses

Reports to Trustee and Certificateholders. On each Distribution Date, the Securities Administrator shall have prepared and shall make available to the Trustee and each Certificateholder a written report setting forth the following information (on the basis of Mortgage Loan level information obtained from the Master Servicer and the Servicers) (the “Distribution Date Statement”):
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Reports to Trustee and Certificateholders. On each Distribution Date, the Trustee shall have prepared and shall make available to each Certificateholder and other interested parties a written report setting forth the following information (based solely on the report provided to the Trustee by the Servicer pursuant to Section 9.18).
Reports to Trustee and Certificateholders. (a) On each Distribution Date, the Trustee shall have prepared (based solely on information provided by the Master Servicer) and shall make available to the NIMS Insurer and each Certificateholder a written report setting forth the following information (on the basis of Mortgage Loan level information obtained from the Servicers).
Reports to Trustee and Certificateholders. (a) On the Deposit Date related to each Distribution Date, the Master Servicer shall furnish a report to the Trustee by electronic medium as agreed to by the Master Servicer and the Trustee.
Reports to Trustee and Certificateholders. On each Distribution Date, the Securities Administrator shall have prepared and shall make available to the Trustee, the Depositor and each Certificateholder a written report setting forth the following information (on the basis of Mortgage Loan level information obtained from the Master Servicer in its role as Master Servicer hereunder with respect to the Xxxxxx Trust Mortgage Loans (which the Master Servicer shall deliver to the Securities Administrator no later than the 5th Business Day prior to the related Distribution Date)) and CMMC, as Servicer, with respect to the CMMC Mortgage Loans (which CMMC, as Servicer, shall deliver to the Securities Administrator in accordance with Section 5.02 of each CMMC Purchase and Servicing Agreement other than the SunTrust Purchase and Servicing Agreement, and Section 3.03 with respect to the SunTrust Purchase and Servicing Agreement and in any event, no later than the 5th Business day prior to the related Distribution Date):
Reports to Trustee and Certificateholders. On each Distribution Date, the Securities Administrator shall have prepared and shall make available to the Trustee, the Depositor, the Certificate Insurer and each Certificateholder a written report setting forth the following information (on the basis of Mortgage Loan level information obtained from the Master Servicer and the Servicers, which information with respect to the WMMSC Serviced Mortgage Loans and each Distribution Date shall be provided by WMMSC to the Securities Administrator no later than the Data Remittance Date related to that Distribution Date):

Related to Reports to Trustee and Certificateholders

  • Statements to Certificateholders and Noteholders (a) On each Determination Date the Servicer shall provide to the Indenture Trustee (with a copy to the Rating Agencies), for the Indenture Trustee to make available to each Noteholder of record, and, if NH Credit or an Affiliate is not the Servicer or the Depositor is not the sole Certificateholder, to the Indenture Trustee (if the Indenture Trustee is responsible on the related Payment Date to make the payment required under Section 5.2(a) of the Trust Agreement) or the Trustee (if the Trustee is responsible on the related Payment Date to make the payment required under Section 5.2(a) of the Trust Agreement), for the Indenture Trustee or Trustee, as applicable, to forward to each Certificateholder of record, a statement substantially in the form of Exhibit C, setting forth at least the following information as to each Class of the Notes and the Certificates to the extent applicable:

  • Statements to Noteholders and Certificateholders On or before each Determination Date, the Servicer shall provide to the Certificate Paying Agent and to the Relevant Trustee (with a copy to each Rating Agency and the Issuer), and the Relevant Trustee shall forward (or make available on its website, as described below) to each Noteholder and Certificateholder of record as of the most recent Record Date, a statement setting forth for the Collection Period and Payment Date relating to such Determination Date the following information (or such other substantially similar information so long as such information satisfies the requirement of Item 1121 of Regulation AB):

  • Reports to Certificateholders (a) On each Distribution Date, the Trustee shall prepare (based solely on information provided by the Master Servicer) and shall make available to each Certificateholder and each Rating Agency a written report setting forth the following information (on the basis of Mortgage Loan level information obtained from the Servicers and the Master Servicer):

  • Notification to Noteholders and Certificateholders Upon any termination of, or appointment of a successor to, the Servicer pursuant to this Article VII, the Indenture Trustee shall give prompt written notice thereof to the Noteholders and the Depositor, who promptly shall provide such notice to the Rating Agencies, and the Owner Trustee shall give prompt written notice thereof to the Certificateholders.

  • Distributions and Reports to Certificateholders Distributions shall be made to, and reports shall be provided to, Certificateholders as set forth in the applicable Supplement.

  • Notification to Certificateholders (a) Upon any termination of or appointment of a successor to the Master Servicer, the Trustee shall give prompt written notice thereof to Certificateholders and to each Rating Agency.

  • Statements to Certificateholders Section 5.05 Tax Returns and Reports to Certificateholders................ Section 5.06

  • Payments to Certificateholders 68 Section 4.01. Certificate Account..................................................68 Section 4.02. Distributions........................................................68 Section 4.03. Statements to Certificateholders; Statements to Rating Agencies; Exchange Act Reporting............................................68 Section 4.04. Distribution of Reports to the Trustee and the Company; Advances by the Master Servicer.............................................70

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