Deposit and Security Agreement definition

Deposit and Security Agreement means the agreement of that name among Bank One, Agent, XXXX and FMC dated as of April 30, 2001.
Deposit and Security Agreement means the agreement of that name among Program Lender, Agent, FMC and XXXX dated as of June 30, 2003.
Deposit and Security Agreement means the Deposit and Security Agreement, dated as of March 9, 2006, among the Administrator, XXXX and the Trust.

Examples of Deposit and Security Agreement in a sentence

  • The board approved the needGrand Island-2,500.00; Matheson Tri-Gas, Inc.-79.84;AIR CONDITIONING,Alpha Home Inspection,P.O. Box 423for the use of local substitutes for the district.

  • The Deposit and Security Agreement shall apply to all "Loans" guaranteed under the Guaranty Agreement in accordance with the definition of "Loans" as amended herein.

  • The term "Guaranty Fees" in the Deposit and Security Agreement includes all Guaranty Fees paid to XXXX under the Guaranty Agreement with respect to CEDU prepGATE Loans, as set forth in this Amendment.

  • Further, by Article 70, the remuneration of directors was to be fixed by the company in general meeting.

  • XXXX and Lender hereby amend each of the Loan Origination Agreements by replacing each reference to the "Deposit and Security Agreement" with a reference to the "Security Agreement." III.


More Definitions of Deposit and Security Agreement

Deposit and Security Agreement means that certain Deposit and Security Agreement among Program Lender, XXXX, the Agent and FMC dated April 30, 2001.
Deposit and Security Agreement means the agreement of that name among Program Lender, TXXX, FMC, and State Street Bank & Trust Company, dated as of April 30, 2001.
Deposit and Security Agreement means that certain agreement bearing that name entered into by and among Program Lender, FMC, XXXX, and U.S. Bank dated as of April 30, 2001, as amended. "Guaranty Agreement" means that certain agreement bearing that name entered into by and between Program Lender and XXXX dated as of April 30, 2001, as amended. "Loan Origination Agreement" means that certain agreement bearing that name entered into between Program Lender and XXXX dated as of April 30, 2001, as amended. "Note Purchase Agreement" means that certain agreement bearing that name by and between FMC and Program Lender dated as of April 30, 2001, as amended. "Program Agreements" means the Deposit and Security Agreement, the Guaranty Agreement, the Loan Origination Agreement, the Note Purchase Agreement, and the Umbrella Agreement, all as heretofore amended, and including all Exhibits and Schedules thereto, including, without limitation, the Program Guidelines. "Umbrella Agreement" means the agreement bearing that name by and between FMC and Program Lender dated as of April 30, 2001, as amended. 1 <Page> I.
Deposit and Security Agreement means that certain agreement bearing that name entered into by and among Program Lender, FMC, XXXX, and U.S. Bank dated as of April 30, 2001, as amended. "Guaranty Agreement" means that certain agreement bearing that name entered into by and between Program Lender and XXXX dated as of April 30, 2001, as amended. "Loan Origination Agreement" means that certain agreement bearing that name entered into between Program Lender and XXXX dated as of April 30, 2001, as amended. "Note Purchase Agreement" means that certain agreement bearing that name by and between FMC and Program Lender dated as of April 30, 2001, as amended. "Old Core Guaranty Agreement" means that certain Guaranty Agreement entered into by and between Program Lender and XXXX and dated as of February 1, 2000, including all exhibits thereto and the Program Guidelines. "Program Agreements" means the Umbrella Agreement, the Note Purchase Agreement, the Guaranty Agreement, the Deposit and Security Agreement and the Loan Origination Agreement, <Page> all as heretofore amended, and including all Exhibits and Schedules thereto, including, without limitation, the Program Guidelines. "Umbrella Agreement" means the agreement bearing that name by and between FMC and Program Lender dated as of April 30, 2001, as amended. RECITALS WHEREAS, pursuant to the terms of the Guaranty Agreement, XXXX provides guaranties of education loans made by the Program Lender; and
Deposit and Security Agreement means the agreement of that name among Program Lender, XXXX, FMC, and State Street Bank & Trust Company, dated as of April 30, 2001. "First Marblehead" or “FMC” shall mean The First Marblehead Corporation, a Delaware corporation. “Guaranty Agreement” means the Amended and Restated Guaranty Agreement between Program Lender and XXXX, dated as of June 30, 2006. "Loan Origination Agreement" refers to (a) the Amended and Restated Loan Origination Agreement entered into between XXXX and Program Lender with respect to origination of prepGATE Conforming Loans and Bank of America XXXX Loans that are Conforming Loans, as amended from time to time, and (b) any subsequent agreement relating to origination services provided to Program Lender with respect to Bank of America SC Loan Notes purchased under this Agreement. "Minimum Purchase Price" has the meaning set forth in Section 2.04. “Option Period” means, with respect to any particular Bank of America SC Conforming Loan, the period beginning on the first May 1 when such loan first becomes a Seasoned Loan and ending [**] days thereafter. "Origination Records" means and refers to the original Bank of America SC Loan Application and Note, a form of cosigner notice when required under 16 C.F.R. § 444, and any other standardized documentation specified from time to time in the Program Guidelines as required to be received by the Servicer from the Program Lender in order to service Bank of America SC Conforming Loans adequately and accurately. "Participating Institution" means an institution approved by XXXX for participation in the Bank of America SC Loan Programs. "Program" shall mean, collectively, the Bank of America Private Loan Programs and the Bank of America XXXX Loan Programs. "Program Guidelines" has the meaning set forth in the Umbrella Agreement. "Purchase Date" shall mean the date of consummation of a Securitization Transaction with respect to a particular Pool including Bank of America SC Conforming Loans originated by Program Lender, which date: (a) shall be set by written notice from FMC to Program Lender, given to Program Lender not less than five (5) Business Days in advance of the specified date, and (b) shall occur [**] for each loan in the Pool in question. "Purchaser Trust" shall mean and refer to a trust or other SPE formed for the purpose of purchasing Bank of America SC Conforming Loans by FMC or by any Affiliate of FMC. Any action required or permitted to be taken by FMC hereunder may be taken by ...
Deposit and Security Agreement means that certain agreement bearing that name entered into by and among Bank One, FMC, XXXX, and State Street Bank and Trust Company (n/k/a U.S. Bank, N.A.) dated as of April 30, 2001, as amended. "Guaranty Agreement" means that certain amended and restated agreement bearing that name entered into by and between Bank One and XXXX dated as of May 13, 2002, as amended. "Loan Origination Agreement" means that certain amended and restated agreement bearing that name entered into between Bank One and XXXX dated as of May 13, 2002, as amended. "Note Purchase Agreement" means that certain amended and restated agreement bearing that name by and between FMC and Program Lender dated as of May 1, 2002, as amended. "Program Agreements" means the Guaranty Agreement, the Loan Origination Agreement, the Note Purchase Agreement, and the Deposit and Security Agreement, all as heretofore amended and as heretofore extended pursuant to an Extension Agreement dated November 1, 2002, and <PAGE> including all Exhibits and Schedules thereto, including, without limitation, the Program Guidelines. "Program Guidelines" shall mean the document of that name, as amended from time to time, attached to and made a part of the Guaranty Agreement. II.
Deposit and Security Agreement means that certain agreement bearing that name entered into by and among Bank One, FMC, XXXX, and State Street Bank and Trust Company (n/k/a U.S. Bank, N.A.) dated as of April 30, 2001, as previously amended. "Guaranty Agreement" means that certain amended and restated agreement bearing that name entered into by and between Bank One and XXXX dated as of May 13, 2002, as previously amended. <PAGE> "Loan Origination Agreement" means that certain amended and restated agreement bearing that name entered into between Bank One and XXXX dated as of May 13, 2002, as previously amended. "Note Purchase Agreement" means that certain amended and restated agreement bearing that name by and between FMC and Program Lender dated as of May 1, 2002, as previously amended. "Parent Loan Notes" means notes evidencing loans made under the Parent Loan Program "Program Agreements" means the Guaranty Agreement, the Loan Origination Agreement, the Note Purchase Agreement, and the Deposit and Security Agreement, all as heretofore amended and extended in the Prior Amendments, and including all Exhibits and Schedules thereto, including, without limitation, the Program Guidelines. II. Amendments A.