Description of Notes as of the date hereof. Each Note shall have the approximate Principal Balance and initial rate of interest set forth in the table below as of the Lead Securitization Date. Note Designation Principal Balance Initial Interest Rate Initial Noteholder Note A-1 $17,500,000 4.65% BMO Note A-2 $15,000,000 4.65% BMO Note A-3 $15,000,000 4.65% BMO Note A-4 $15,000,000 4.65% BMO Note A-5 $17,500,000 4.65% CREFI Note A-6 $15,000,000 4.65% CREFI Note A-7 $15,000,000 4.65% CREFI Note A-8 $15,000,000 4.65% CREFI Note A-9 $17,500,000 4.65% SMC Note A-10 $15,000,000 4.65% SMC Note A-11 $15,000,000 4.65% BMO Note A-12 $15,000,000 4.65% BMO Note B-A $66,500,000 4.65% BMO Note B-B $111,000,000 4.65% PWV Grand Avenue EXHIBIT B Initial Noteholders:
Appears in 4 contracts
Samples: Agreement Between Noteholders (FIVE 2023-V1 Mortgage Trust), Agreement Between Noteholders (BMO 2023-C4 Mortgage Trust), Agreement Between Noteholders (BBCMS Mortgage Trust 2022-C18)