Distributions and Payments. (a) Prior to a CP Swap Termination Event, on each Distribution Date the Trustee shall apply the funds in the Certificate Account, solely to the extent of Available Funds in the Certificate Account, as follows:
Appears in 4 contracts
Samples: Market Agent Agreement (PPLUS Trust Series JPM-1), Market Agent Agreement (PPLUS Trust Series JPM-1), Market Agent Agreement (PPLUS Trust Series GSC-2)