Confirming accuracy of Latest Valuation determinations. The Asset Monitor shall obtain a schedule of the Latest Valuation for each Eligible Loan in respect of (a) the last day of the Calculation Period to which the Subject Investor Report relates, or (b) in respect of the Annual Asset Monitor Report delivered in connection with the First Issue Date, the last day of a month ending not more than 45 days prior to the date of such report.
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Confirming accuracy of Latest Valuation determinations. The Asset Monitor shall obtain a schedule of the Latest Valuation for each Eligible Loan in respect of (a) the last day of the Calculation Period to which the Subject Investor Report relates, relates or (b) in respect of the Annual Asset Monitor Report delivered in connection with the First Issue Date, the last day of a month ending not more than 45 days prior to the date of such report.
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Confirming accuracy of Latest Valuation determinations. The Asset Monitor shall obtain a schedule of the Latest Valuation for each Eligible Loan in respect of (a) the last day of the Calculation Period to which the Subject Investor Report relates, or (b) in respect of the Annual Asset Monitor Report delivered in connection with the First Issue Date, the last day of a the month ending not more than 45 days prior to the date of such report.
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Samples: Asset Monitor Agreement