Additional Pool Information Sample Clauses

Additional Pool Information. Not applicable.
AutoNDA by SimpleDocs
Additional Pool Information. SCHEDULES SCHEDULE 1 Servicing Criteria to be Addressed in Report on Assessment of Compliance SCHEDULE 2 Additional Form 10-D Disclosure SCHEDULE 3 Additional Form 10-K Disclosure SCHEDULE 4 Form 8-K Disclosure Information EXHIBITS EXHIBIT A-1 Form of Class A Certificates EXHIBIT A-2 Form of Class M Certificates EXHIBIT A-3 Form of Class CE Certificates EXHIBIT A-4 Form of Class R Certificate EXHIBIT B Schedule of Mortgage Loans EXHIBIT C Form of Purchaser Letter EXHIBIT D Form of ERISA Letter EXHIBIT E Form of Servicer Certification EXHIBIT F Form of Mortgage Document Custodial Agreement THIS POOLING AND SERVICING AGREEMENT ("this Pooling Agreement" or "this Agreement"), dated as of August 1, 2006, among CITICORP RESIDENTIAL MORTGAGE SECURITIES, INC., a Delaware corporation, as depositor ("CRMSI" or the "Depositor"), CITIMORTGAGE, INC., a New York corporation, as servicer (the "Servicer") and certificate administrator (the "Certificate Administrator"), U.S. BANK NATIONAL ASSOCIATION, a national banking association, as trustee (the "Trustee"), and CITIBANK, N.A., a national banking association, as paying agent (the "Paying Agent"), certificate registrar (the "Certificate Registrar") and authenticating agent (the "Authenticating Agent").
Additional Pool Information. CERTIFICATES GOVERNED BY POOLING AGREEMENT OPTIONAL EARLY TERMINATION GOVERNING LAW AUTHENTICATION REQUIRED CERTIFICATES GOVERNED BY POOLING AGREEMENT OPTIONAL EARLY TERMINATION GOVERNING LAW AUTHENTICATION REQUIRED CERTIFICATES GOVERNED BY POOLING AGREEMENT U.S. FEDERAL INCOME TAX INFORMATION GOVERNING LAW AUTHENTICATION REQUIRED CERTIFICATES GOVERNED BY POOLING AGREEMENT U.S. FEDERAL INCOME TAX INFORMATION GOVERNING LAW AUTHENTICATION REQUIRED SCHEDULES SCHEDULE 1 Servicing Criteria to be Addressed in Report on Assessment of Compliance SCHEDULE 2 Additional Form 10-D Disclosure SCHEDULE 3 Additional Form 10-K Disclosure SCHEDULE 4 Form 8-K Disclosure Information EXHIBITS EXHIBIT A-1 Form of Class A Certificates EXHIBIT A-2 Form of Class M Certificates EXHIBIT A-3 Form of Class CE Certificates EXHIBIT A-4 Form of Class R Certificate EXHIBIT B Schedule of Mortgage Loans EXHIBIT C Form of Purchaser Letter EXHIBIT D Form of ERISA Letter EXHIBIT E Form of Servicer Certification EXHIBIT F Form of Mortgage Document Custodial Agreement THIS POOLING AND SERVICING AGREEMENT ("this Pooling Agreement" or "this Agreement"), dated as of September 1, 2006, among CITICORP RESIDENTIAL MORTGAGE SECURITIES, INC., a Delaware corporation, as depositor ("CRMSI" or the "Depositor"), CITIMORTGAGE, INC., a New York corporation, as servicer (the "Servicer") and certificate administrator (the "Certificate Administrator"), U.S. BANK NATIONAL ASSOCIATION, a national banking association, as trustee (the "Trustee"), and CITIBANK, N.A., a national banking association, as paying agent (the "Paying Agent"), certificate registrar (the "Certificate Registrar") and authenticating agent (the "Authenticating Agent").
Additional Pool Information. For the purposes of Section 4.07(d), the Trustee shall provide to ____________ the following additional information: ___________________.]

Related to Additional Pool Information

  • Static Pool Information For clarification purposes, in this Section 8 only, it is understood that the terms “Preliminary Prospectus” and “Prospectus” include static pool information required to be disclosed pursuant to Item 1105 of Regulation AB under the Act, without regard to whether such information is deemed to be a part of a prospectus under Item 1105(d) of Regulation AB under the Act.

  • Additional Information and Where to Find It In connection with the proposed acquisition, Hxxxxxx will commence a tender offer for the outstanding shares of Zynerba. The tender offer has not yet commenced. This document is for informational purposes only and is neither an offer to purchase nor a solicitation of an offer to sell shares of Zynerba, nor is it a substitute for the tender offer materials that Harmony and Xylophone Acquisition Corp. (“Purchaser”) will file with the SEC upon commencement of the tender offer. At the time the tender offer is commenced, Harmony and Purchaser will file tender offer materials on Schedule TO, and Zynerba will file a Solicitation/Recommendation Statement on Schedule 14D-9 with the SEC with respect to the tender offer. Holders of shares of Zynerba common stock are urged to read the tender offer materials (including an Offer to Purchase, a related Letter of Transmittal and certain other tender offer documents) and the Solicitation/Recommendation Statement when they become available (as each may be amended or supplemented from time to time) because they will contain important information that holders of shares of Zynerba common stock should consider before making any decision regarding tendering their shares. The Offer to Purchase, the related Letter of Transmittal and certain other tender offer documents, as well as the Solicitation/Recommendation Statement, will be made available to all holders of shares of Zynerba at no expense to them. The tender offer materials and the Solicitation/Recommendation Statement will be made available for free at the SEC’s website at wxx.xxx.xxx. In addition, these materials will be available at no charge on the Enhanced SEC Filings section of the Investor Relations page of Zxxxxxx’s website at wxx.xxxxxxx.xxx and by directing a request to the information agent for the tender offer, whose contact information will be set forth in the Offer to Purchase. 80 X. Xxxxxxxxx Avenue, Suite 300| Devon, PA 19333 | 484-581-7505 | wxx.xxxxxxx.xxx

  • Basic Financial Information The Company will furnish the following reports to each Holder:

  • Collateral Information Debtor shall provide all information, in form and substance satisfactory to Secured Party, that Secured Party shall from time to time request to (i) identify the nature, extent, value, age and location of any of the Collateral, or (ii) identify any account debtor or other party obligated with respect to any chattel paper, general intangible, instrument, investment property, document or deposit account included in the Collateral.

  • Information Updates During the term of this Agreement the Trust shall have the ongoing obligation to provide UMBFS with the following documents as soon as they become effective: (i) certified copies of all amendments to its Declaration of Trust and By-laws made after the date of this Agreement; and (ii) a copy of each Fund’s currently effective Prospectus. For purposes of this Agreement, UMBFS shall not be deemed to have notice of any information contained in any such Prospectus until a reasonable time after it is actually received by UMBFS.

  • Asset-Level Information On or before the 15th day following each Payment Date, the Servicer will prepare a Form ABS-EE, including an asset data file and asset-related document containing the asset-level information for each Receivable for the prior Collection Period as required by Item 1A of Form 10-D.

  • Statement of Additional Information We shall provide you with a copy of the Trust’s current statement of additional information, including any amendments or supplements to it (“SAI), in a form suitable for reproduction , but we will not pay Printing Expenses or other expenses with respect to the SAI.

  • Access to Financial Information Buyer’s representatives shall have access to, and Seller and its Affiliates shall cooperate with Buyer and furnish upon request, all financial and other information relating to the Hotel’s operations to the extent necessary to enable Buyer’s representatives to prepare audited financial statements in conformity with Regulation S-X of the Securities and Exchange Commission (the “SEC”) and other applicable rules and regulations of the SEC and to enable them to prepare a registration statement, report or disclosure statement for filing with the SEC on behalf of Buyer or its Affiliates, whether before or after Closing and regardless of whether such information is included in the Records to be transferred to Buyer hereunder. Seller shall also provide to Buyer’s representative a signed representation letter in form and substance reasonably acceptable to Seller sufficient to enable an independent public accountant to render an opinion on the financial statements related to the Hotel. Buyer will reimburse Seller for costs reasonably incurred by Seller to comply with the requirements of the preceding sentence to the extent that Seller is required to incur costs not in the ordinary course of business for third parties to provide such representation letters. The provisions of this Section shall survive Closing or termination of this Contract.

  • Financial Information, etc The Administrative Agent shall have received:

  • Annual Information The Company will deliver to the Holder as soon as available and in any event within 90 days after the end of each fiscal year of the Company, one copy of an audited consolidated balance sheet of the Company and its subsidiaries as at the end of such year, and audited consolidated statements of income, retained earnings and cash flow of the Company and its subsidiaries for such year; setting forth in each case in comparative form the figures for the corresponding periods in the previous fiscal year; all prepared in accordance with GAAP, and which audited financial statements shall be accompanied by an opinion thereon of the independent certified public accountants regularly retained by the Company, or any other firm of independent certified public accountants of recognized national standing selected by the Company; provided, however, that the Company shall have no obligation to deliver such annual information under this Section 13.2 to the extent it is publicly available; and provided further, that if such information contains material non-public information, the Company shall so notify the Holder prior to delivery thereof and the Holder shall have the right to refuse delivery of such information.

Time is Money Join Law Insider Premium to draft better contracts faster.