Common use of Information to Be Provided by the Indenture Trustee Clause in Contracts

Information to Be Provided by the Indenture Trustee. The Indenture Trustee shall provide such information regarding the Indenture Trustee as is required for the purpose of compliance with Items 1103(a)(1), 1109(a), 1109(b), 1117, 1118, 1119 and 1122 of Regulation AB (or for any private offering utilizing an offering document disclosure comparable to that required under the Securities Act) no later than three Business Days before each Most Recent Quarterly Filing Date in the form attached hereto as Exhibit E, or such other form as may mutually be agreed upon, and as promptly as practicable following notice to or discovery by the Indenture Trustee of any changes to such information. The Indenture Trustee shall provide to the Transferor and Chase USA, in writing, any updates to the information regarding the Indenture Trustee as is required for the purpose of compliance with Items 1109(a), 1109(b), 1117, 1118, 1119 and 1122 of Regulation AB, no later than three Business Days before each Most Recent Quarterly Filing Date and as promptly as practicable following notice to or discovery by the Indenture Trustee of any changes to such information. The Indenture Trustee’s obligations to provide disclosure required by Item 1119 of Regulation AB pursuant to this Section 13.03 shall be deemed satisfied if the Indenture Trustee provides a description of any affiliation or material relationship between (a) the Indenture Trustee, on the one hand, and (b) those parties to the Securitization Transaction as are identified by the Transferor and Chase USA in writing, on the other.

Appears in 3 contracts

Samples: Indenture (Chase Card Funding LLC), Indenture (Chase Issuance Trust), Indenture (Chase Issuance Trust)

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Information to Be Provided by the Indenture Trustee. The Indenture Trustee shall provide such information regarding the Indenture Trustee as is required for the purpose of compliance with Items 1103(a)(1), 1109(a), 1109(b), 1117, 1118, 1118 and 1119 and 1122 of Regulation AB (or for any private offering utilizing an offering document disclosure comparable to that required under the Securities Act) no later than three Business Days before each Most Recent Quarterly Filing Date in the form of a certificate signed by an authorized officer of the Indenture Trustee at the time of the offering of any new Notes issued by the Issuing Entity in the form attached hereto as Exhibit E, or such other form as may mutually be agreed upon, and as promptly as practicable following notice to or discovery by the Indenture Trustee of any changes to such information. The Indenture Trustee shall provide to the Transferor and Chase USATransferor, in writing, any updates to the information regarding the Indenture Trustee as is required for the purpose of compliance with Items 1109(a), 1109(b), 1117, 1118, 1118 and 1119 and 1122 of Regulation AB, no later than three Business Days before each Most Recent Quarterly Filing Date and as promptly as practicable following notice to or discovery by the Indenture Trustee of any changes to such information. The Indenture Trustee’s obligations to provide disclosure required by Item 1119 of Regulation AB pursuant to this Section 13.03 shall be deemed satisfied if the Indenture Trustee provides a description of any affiliation or material relationship between (a) the Indenture Trustee, on the one hand, and (b) those parties to the Securitization Transaction as are identified by the Transferor and Chase USA in writing, on the other.

Appears in 1 contract

Samples: Indenture (First Usa Credit Card Master Trust)

Information to Be Provided by the Indenture Trustee. The (a) For so long as the Issuer is required to report under the Exchange Act, the Indenture Trustee shall (i) on or before the fifth Business Day of each month, provide to the Seller, in writing, such information regarding the Indenture Trustee as is required requested by the Seller for the purpose of compliance with Items 1103(a)(1), 1109(a), 1109(b), 1117, 1118, 1119 and 1122 Item 1117 of Regulation AB (or for any private offering utilizing an offering document disclosure comparable AB; provided, however, that the Indenture Trustee shall not be required to that required under the Securities Act) no later than three Business Days before each Most Recent Quarterly Filing Date provide such information in the form attached hereto as Exhibit E, or such other form as may mutually be agreed uponevent that there has been no change to the information previously provided by the Indenture Trustee to Seller, and (ii) as promptly as practicable following notice to or discovery by a Responsible Officer of the Indenture Trustee of any changes to such information. The Indenture Trustee shall , provide to the Transferor and Chase USASeller, in writing, any updates such updated information. (b) As soon as available but no later than March 15 of each calendar year for so long as the Issuer is required to report under the Exchange Act, commencing in 2007, the Indenture Trustee shall: (i) deliver to the information Seller a report regarding the Indenture Trustee as is required for the purpose Trustee’s assessment of compliance with Items 1109(a)the Servicing Criteria during the immediately preceding calendar year, 1109(b)as required under paragraph (b) of Rule 13a-18, 1117, 1118, 1119 Rule 15d-18 of the Exchange Act and Item 1122 of Regulation AB, no later than three Business Days before each Most Recent Quarterly Filing Date and as promptly as practicable following notice to or discovery by the Indenture Trustee of any changes to such information. The Indenture Trustee’s obligations to provide disclosure required by Item 1119 of Regulation AB pursuant to this Section 13.03 Such report shall be deemed satisfied if the Indenture Trustee provides a description signed by an authorized officer of any affiliation or material relationship between (a) the Indenture Trustee, on and shall address each of the one hand, and (b) those parties to the Securitization Transaction Servicing Criteria specified in Exhibit E or such criteria as are identified mutually agreed upon by the Transferor Seller and Chase USA in writing, on the other.Indenture Trustee;

Appears in 1 contract

Samples: Sale and Servicing Agreement (Capital One Prime Auto Receivables Trust 2006-1)

Information to Be Provided by the Indenture Trustee. The Indenture Trustee shall provide such information regarding the Indenture Trustee as is required for the purpose of compliance with Items 1103(a)(1), 1109(a), 1109(b), 1117, 1118, 1118 and 1119 and 1122 of Regulation AB (or for any private offering utilizing an offering document disclosure comparable to that required under the Securities Act) no later than three Business Days before each Most Recent Quarterly Filing Date in the form attached hereto as Exhibit E, or such other form as may mutually be agreed upon, and as promptly as practicable following notice to or discovery by the Indenture Trustee of any changes to such information. The Indenture Trustee shall provide to the Transferor and Chase USATransferor, in writing, any updates to the information regarding the Indenture Trustee as is required for the purpose of compliance with Items 1109(a), 1109(b), 1117, 1118, 1118 and 1119 and 1122 of Regulation AB, no later than three Business Days before each Most Recent Quarterly Filing Date and as promptly as practicable following notice to or discovery by the Indenture Trustee of any changes to such information. The Indenture Trustee’s obligations to provide disclosure required by Item 1119 of Regulation AB pursuant to this Section 13.03 shall be deemed satisfied if the Indenture Trustee provides a description of any affiliation or material relationship between (a) the Indenture Trustee, on the one hand, and (b) those parties to the Securitization Transaction as are identified by the Transferor and Chase USA in writing, on the other.

Appears in 1 contract

Samples: Indenture (First Usa Credit Card Master Trust)

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Information to Be Provided by the Indenture Trustee. The Indenture Trustee shall provide such information regarding the Indenture Trustee as is required for the purpose of compliance with Items 1103(a)(1), 1109(a), 1109(b), 1117, 1118, 1118 and 1119 and 1122 of Regulation AB (or for any private offering utilizing an offering document disclosure comparable to that required under the Securities Act) no later than three Business Days before each Most Recent Quarterly Filing Date in the form of a certificate signed by an authorized officer of the Indenture Trustee at the time of the offering of any new Notes issued by the Issuing Entity in the form attached hereto as Exhibit ED, or such other form as may mutually be agreed upon, and as promptly as practicable following notice to or discovery by the Indenture Trustee of any changes to such information. The Indenture Trustee shall provide to the Transferor and Chase USATransferor, in writing, any updates to the information regarding the Indenture Trustee as is required for the purpose of compliance with Items 1109(a), 1109(b), 1117, 1118, 1118 and 1119 and 1122 of Regulation AB, no later than three Business Days before each Most Recent Quarterly Filing Date and as promptly as practicable following notice to or discovery by the Indenture Trustee of any changes to such information. The Indenture Trustee’s obligations to provide disclosure required by Item 1119 of Regulation AB pursuant to this Section 13.03 14.03 shall be deemed satisfied if the Indenture Trustee provides a description of any affiliation or material relationship between (a) the Indenture Trustee, on the one hand, and (b) those parties to the Securitization Transaction as are identified by the Transferor and Chase USA in writing, on the other.

Appears in 1 contract

Samples: Indenture (Wachovia Card Receivables LLC)

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