Cumulative Net Loss Rate Table definition

Cumulative Net Loss Rate Table means the levels set forth below for the Collection Periods related to the Payment Dates set forth below: Payment Date. Trigger 6th Payment Date 2.40 % 12th Payment Date 7.28 % 18th Payment Date 11.51 % 24th Payment Date 15.00 % 30th Payment Date 17.93 % 36th Payment Date 19.95 % 42nd Payment Date 21.41 % 48th Payment Date and thereafter 22.50 %
Cumulative Net Loss Rate Table means the levels set forth below for the Collection Periods related to the payment dates set forth below:
Cumulative Net Loss Rate Table means the levels set forth below for the Collection Periods related to the Payment Dates set forth below: Payment Date. Trigger [ ] [ ]% [ ] [ ]% [ ] [ ]% [ ] [ ]% [ ] [ ]% [ ] [ ]% [ ] [ ]% [ ] [ ]%

More Definitions of Cumulative Net Loss Rate Table

Cumulative Net Loss Rate Table. The levels set forth below for the periods set forth below: Collection Period No. Collection Period Occurring In Reserve Event Trigger Event 1 March 2007 3.69% 4.29% 2 April 2007 3.69% 4.29% 3 May 2007 3.19% 4.29% 4 June 2007 5.96% 7.29% 5 July 2007 5.96% 7.29% 6 August 2007 5.96% 7.29% 7 September 2007 8.73% 10.29% 8 October 2007 8.73% 10.29% 9 November 2007 8.73% 10.29% 10 December 2007 11.54% 12.15% 1 11 January 2008 11.54% 12.15% 12 February 2008 11.54% 12.15% 13 March 2008 13.62% 14.50% 14 April 2008 13.62% 14.50% 15 May 2008 13.12% 14.50% 16 June 2008 14.96% 16.50% 17 July 2008 14.96% 16.50% 18 August 2008 14.96% 16.50% 19 September 2008 16.58% 18.25% 20 October 2008 16.58% 18.25% 21 November 2008 16.58% 18.25% 22 December 2008 18.23% 20.00% 23 January 2009 18.23% 20.00% 24 February 2009 18.23% 20.00% 25 March 2009 19.38% 21.25% 26 April 2009 19.38% 21.25% 27 May 2009 18.88% 21.25% 28 June 2009 19.81% 22.50% 29 July 2009 19.81% 22.50% 30 August 2009 19.81% 22.50% 31 September 2009 20.50% 24.00% 32 October 2009 20.50% 24.00% 33 November 2009 20.50% 24.00% 34 December 2009 21.00% 24.00% 35 January 2010 21.00% 24.00% 36 February 2010 21.00% 24.00% 37 March 2010 21.00% 24.00% 38 April 2010 21.00% 24.00% 39 May 2010 20.50% 24.00% 40 June 2010 20.50% 24.00% 41 July 2010 20.50% 24.00% 42 August 2010 20.50% 24.00% 43 September 2010 20.50% 24.00% 44 October 2010 20.50% 24.00% 45 November 2010 20.50% 24.00% 46 December 2010 and thereafter 21.00% 24.00%
Cumulative Net Loss Rate Table means the levels set forth below for the Collection Periods related to the payment dates set forth below: Payment Date Trigger1st-6th Payment Date 5.00%7th-12th Payment Date 8.50%13th-18th Payment Date 12.00%19th-24th Payment Date 15.50%25th-30th Payment Date 19.00%31st-36th Payment Date 21.50%37th Payment Date and thereafter 24.00%

Related to Cumulative Net Loss Rate Table

  • Cumulative Net Loss Ratio means, as of any Payment Date, the ratio (expressed as a percentage) of (i) the aggregate Principal Balance of Receivables that became Defaulted Receivables plus all the Cram Down Losses (without duplication) which occurred during the period from the Cut-Off Date through the end of the related Collection Period reduced by the amount of Liquidation Proceeds with respect to Defaulted Receivables received during such period which are applied to principal of the Defaulted Receivables to (ii) the Pool Balance as of the Cut-Off Date.

  • Cumulative Net Loss Test With respect to any Payment Date, a test that will be satisfied if the Cumulative Net Loss Percentage does not exceed the applicable percentage indicated below: Payment Date occurring in the period Percentage March 2017 to February 2018 0.10% March 2018 to February 2019 0.20% March 2019 to February 2020 0.30% March 2020 to February 2021 0.40% March 2021 to February 2022 0.50% March 2022 to February 2023 0.60% March 2023 to February 2024 0.70% March 2024 to February 2025 0.80% March 2025 to February 2026 0.90% March 2026 to February 2027 1.00% March 2027 to February 2028 1.10% March 2028 to February 2029 1.20% March 2029 and thereafter 1.30% Current Accrual Rate: With respect to each Payment Date and any Reference Obligation, the lesser of (i) the related current Accounting Net Yield; and (ii) the related current mortgage rate thereon (as adjusted for any modifications) minus 0.35%.

  • Cumulative Net Losses means, as of any date of determination, the aggregate cumulative principal amount of all Receivables that have become Liquidated Receivables since the Initial Cutoff Date, net of all Net Liquidation Proceeds and Recoveries with respect to such Receivables as of last day of the most recently ended Collection Period.

  • Cumulative Net Income means, in respect of any Performance Period, the aggregate cumulative amount of the Adjusted Net Income for the calendar or other fiscal years of the Company during such Performance Period.

  • Cumulative Retained Excess Cash Flow Amount means, at any date of determination, an amount equal to the aggregate cumulative sum of the Retained Percentage of Excess Cash Flow for the Excess Cash Flow Periods ended on or prior to such date.

  • Cumulative EBITDA means, as of any date of determination, EBITDA of the Company from the Existing Notes Issue Date to the end of the Company’s most recently ended full fiscal quarter prior to such date, taken as a single accounting period.

  • Cumulative Excess Cash Flow means the amount equal to the sum of Excess Cash Flow (but not less than zero for any Fiscal Year) for the Fiscal Year ending on December 31, 2022 and Excess Cash Flow (but not less than zero in any Fiscal Year) for each succeeding and completed Fiscal Year.

  • Net Monthly Excess Cashflow With respect to each Distribution Date, the sum of (a) any Overcollateralization Release Amount for such Distribution Date and (b) the excess of (x) Available Funds for such Distribution Date over (y) the sum for such Distribution Date of (A) the Monthly Interest Distributable Amounts for the Class A Certificates and the Mezzanine Certificates, (B) the Unpaid Interest Shortfall Amounts for the Class A Certificates and (C) the Principal Remittance Amount.

  • Cumulative Shared-Loss Amount means the excess, if any, of the Cumulative Loss Amount over the First Loss Tranche.

  • Cumulative Loss Percentage With respect to any Distribution Date, the percentage equivalent of a fraction, the numerator of which is the aggregate amount of Realized Losses incurred from the Cut-off Date to the last day of the calendar month preceding the month in which such Distribution Date occurs and the denominator of which is the Cut-off Date Pool Principal Balance of the Mortgage Loans.

  • Cumulative Loss Amount means the sum of the Monthly Loss Amounts less the sum of all Recovery Amounts.

  • Cumulative Consolidated Net Income means, for any period, Consolidated Net Income for such period, taken as a single accounting period. Cumulative Consolidated Net Income may be a positive or negative amount.

  • Daily Non-Cumulative Compounded RFR Rate means, in relation to any U.S. Government Securities Business Day during a Floating Rate Interest Period for a Loan (or any part of it), the percentage rate per annum determined by the Facility Agent in accordance with the methodology set out in Schedule 15B (Daily Non-Cumulative Compounded RFR Rate) or in any relevant Compounding Methodology Supplement.

  • Subsequent Reset Period means the period from (and including) the Second Reset Date to (but excluding) the next Subsequent Reset Date, and each successive period from (and including) a Subsequent Reset Date to (but excluding) the next succeeding Subsequent Reset Date; and

  • Net Loss Amount means the sum of Cumulative Loss Amounts under this Single Family Shared-Loss Agreement and Aggregate Net Charge-Offs under the Commercial Shared-Loss Agreement.

  • Cumulative Interest Expense means, in respect of any Restricted Payment, the sum of the aggregate amount of Consolidated Interest Expense of the Issuer and the Restricted Subsidiaries for the period from and after January 1, 2005 to the end of the Issuer’s most recently ended fiscal quarter for which internal financial statements are available and immediately preceding the proposed Restricted Payment.

  • Monthly Excess Cashflow For any Distribution Date, an amount equal to the sum of the Monthly Excess Interest and Overcollateralization Release Amount, if any, for such date.

  • SBI 1 Year MCLR Rate means 1 year Marginal Cost of Funds Based Lending Rate (MCLR) fixed by State Bank of India (SBI) / any replacement thereof by SBI for the time being in effect applicable for 1 year period, as on 1st April of the respective financial year in accordance with regulations and guidelines of Reserve Bank of India. In absence of such rate, any other arrangement that substitutes such rate as mutually agreed to by the Parties.

  • Excess Cash Flow Percentage 50%; provided that the Excess Cash Flow Percentage shall be reduced to (a) 25% if the Consolidated Total Leverage Ratio as of the last day of the relevant fiscal year is not greater than 3.75 to 1.00 and (b) to 0% if the Consolidated Total Leverage Ratio as of the last day of the relevant fiscal year is not greater than 2.25 to 1.00.

  • Floating Profit/Loss means current profit/loss on Open Positions calculated at the current Quotes.

  • Excess Cash Flow Payment Period with respect to the prepayment required on each Excess Cash Flow Application Date, the immediately preceding fiscal year of the Borrower.

  • Applicable Measurement Period means the most recently completed four consecutive fiscal quarters of the Issuer immediately preceding the Applicable Calculation Date for which internal financial statements are available.