Common use of Certain Notices upon Final Payment Clause in Contracts

Certain Notices upon Final Payment. [ ] shall give the Issuer, the Indenture Trustee, each Rating Agency, each Securityholder and the Depositor at least 30 days’ prior written notice of the date on which the Trust is expected to terminate in accordance with Section 10.01, or the date on which the Securities will be redeemed in accordance with Section 10.02. Not later than the fifth Business Day in the Due Period in which the final distribution in respect to the Securities is payable to the Securityholders, the Indenture Trustee shall mail to the Holders of the Securities a notice specifying the procedures with respect to such final distribution. The Indenture Trustee shall give a copy of such notice to each Rating Agency at the time such notice is given to Securityholders. Following the final distribution thereon, such Securities shall become void, no longer outstanding and no longer evidence any right or interest in the Loan Assets, the Mortgage Files or any proceeds of the foregoing.

Appears in 3 contracts

Samples: Transfer and Servicing Agreement (Bayview Financial Securities Co LLC), Transfer and Servicing Agreement (Bayview Financial Securities Co LLC), Transfer and Servicing Agreement (BLG Securities Company, LLC)

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Certain Notices upon Final Payment. [ ] shall give the Issuer, the Indenture Trustee, each Rating Agency, each Securityholder and the Depositor at least 30 days’ prior written notice of the date on which the Trust is expected to terminate in accordance with Section 10.0111.01, or the date on which the Securities will be redeemed in accordance with Section 10.0211.02. Not later than the fifth Business Day in the Due Period in which the final distribution in respect to the Securities is payable to the Securityholders, the Indenture Trustee shall mail to the Holders of the Securities a notice specifying the procedures with respect to such final distribution. The Indenture Trustee shall give a copy of such notice to each Rating Agency at the time such notice is given to Securityholders. Following the final distribution thereon, such Securities shall become void, no longer outstanding and no longer evidence any right or interest in the Loan Assets, the Mortgage Files or any proceeds of the foregoing.

Appears in 2 contracts

Samples: Transfer and Servicing Agreement (HMB Acceptance Corp.), Transfer and Servicing Agreement (Aegis Asset Backed Securities Corp)

Certain Notices upon Final Payment. [ ] The Servicer or the Administrator, as applicable, shall give the Issuer, the Indenture Trustee, each Rating Agency, each Securityholder and the Depositor at least 30 days’ prior written notice of the date on which the Trust Issuer is expected to terminate in accordance with Section 10.018.01, or the date on which the Securities will be redeemed in accordance with Section 10.028.02. Not later than the fifth Business Day in the Due Collection Period in which the final distribution in respect to the Securities is payable to the Securityholders, the Indenture Trustee shall mail to the Holders of the Securities Securityholders a notice specifying the procedures with respect to such final distribution. The Indenture Trustee shall give a copy of such notice to each Rating Agency at the time such notice is given to Securityholders. Following the final distribution thereon, such Securities shall become void, no longer outstanding and no longer evidence any right or interest in the Loan AssetsMortgage Loans, the Mortgage Files or any proceeds of the foregoing.

Appears in 1 contract

Samples: Servicing Agreement (Greenpoint Mortgage Funding Trust 2005-He4)

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Certain Notices upon Final Payment. [ ] The Servicer or the Administrator, as applicable, shall give the IssuerIssuing Entity, the Indenture Trustee, each Rating Agency, each Securityholder and the Depositor at least 30 days' prior written notice of the date on which the Trust Issuing Entity is expected to terminate in accordance with Section 10.018.01, or the date on which the Securities will be redeemed in accordance with Section 10.028.02. Not later than the fifth Business Day in the Due Collection Period in which the final distribution in respect to the Securities is payable to the Securityholders, the Indenture Trustee shall mail to the Holders of the Securities Securityholders a notice specifying the procedures with respect to such final distribution. The Indenture Trustee shall give a copy of such notice to each Rating Agency at the time such notice is given to Securityholders. Following the final distribution thereon, such Securities shall become void, no longer outstanding and no longer evidence any right or interest in the Loan AssetsMortgage Loans, the Mortgage Files or any proceeds of the foregoing.

Appears in 1 contract

Samples: Sale and Servicing Agreement (Financial Asset Securities Corp)

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