Common use of Monthly Reports on Indenture Trustee’s Website Clause in Contracts

Monthly Reports on Indenture Trustee’s Website. The Indenture Trustee will make each Determination Date Report, Payment Date Report and Interim Payment Date Report (and, at its option, any additional files containing the same information in an alternative format) available each month to any interested parties via the Indenture Trustee’s internet website and such other information as the Indenture Trustee may have in its possession, but only with the use of a password provided by the Indenture Trustee. In connection with providing access to the Indenture Trustee’s internet website, the Indenture Trustee may require registration and the acceptance of a disclaimer. The Indenture Trustee’s internet website shall initially be located at xxx.xxxxxxx.xxx. Assistance in using the Indenture Trustee’s website can be obtained by calling the Indenture Trustee’s investor relations desk at 0-000-000-0000. Parties that are unable to use the above distribution option are entitled to have a paper copy mailed to them via first class mail by calling the investor relations desk and requesting a copy. The Indenture Trustee shall have the right to change the way the Determination Date Reports, Payment Date Reports and Interim Payment Date Reports are distributed in order to make such distribution more convenient and/or more accessible to the above parties and the Indenture Trustee shall provide timely and adequate notification to all above parties regarding any such changes. All Noteholders are advised (and have been advised pursuant to any related offering document) to review any distribution statement, financial information and disbursements provided to them, and to bring any errors or omissions to the Indenture Trustee’s attention within ninety (90) days of receipt of such distribution statement, financial information or disbursement. If any errors or omissions are brought to the Indenture Trustee’s attention subsequent to such time period, the Indenture Trustee shall use good faith efforts to make the correction as requested; provided, however, such corrections shall be made in accordance with the Depository’s policies and procedures then in effect.

Appears in 4 contracts

Samples: Indenture (Nationstar Mortgage Holdings Inc.), Indenture (New Residential Investment Corp.), Indenture (New Residential Investment Corp.)

AutoNDA by SimpleDocs

Monthly Reports on Indenture Trustee’s Website. The Indenture Trustee will make each Calculation Agent Report, Data Aggregation Report, Determination Date Administrator Report, Payment Date Report and Interim Payment Date Report (and, at its option, any additional files containing the same information in an alternative format) available each month to any interested parties (including, but not limited to the Verification Agent) via the Indenture Trustee’s internet website and such other information as the Indenture Trustee may have in its possession, but only with the use of a password provided by the Indenture Trustee. In connection with providing access to the Indenture Trustee’s internet website, the Indenture Trustee may require registration and the acceptance of a disclaimer. The Indenture Trustee’s internet website shall initially be located at xxx.xxxxxxx.xxx. Assistance in using the Indenture Trustee’s website can be obtained by calling the Indenture Trustee’s investor relations desk at 0-0 (000-) 000-0000. Parties that are unable to use the above distribution option are entitled to have a paper copy mailed to them via first class mail or by overnight courier by calling the investor relations desk and requesting a copy. The Indenture Trustee shall have the right to change the way the Calculation Agent Reports, Data Aggregation Report, Determination Date Administrator Reports, Payment Date Reports and Interim Payment Date Reports are distributed in order to make such distribution more convenient and/or more accessible to the above parties and the Indenture Trustee shall provide timely and adequate notification to all above parties regarding any such changes. All Noteholders are advised (and have been advised pursuant to any related offering document) to review any distribution statement, financial information and disbursements provided to them, and to bring any errors or omissions to the Indenture Trustee’s attention within ninety (90) days of receipt of such distribution statement, financial information or disbursement. If any errors or omissions are brought to the Indenture Trustee’s attention subsequent to such time period, the Indenture Trustee shall use good faith efforts to make the correction as requested; provided, however, such corrections shall be made in accordance with the Depository’s policies and procedures then in effect.

Appears in 2 contracts

Samples: Indenture (DITECH HOLDING Corp), Indenture (DITECH HOLDING Corp)

Monthly Reports on Indenture Trustee’s Website. The Indenture Trustee will make each Determination Date Report, Payment Date Report and Interim Payment Date Report (and, at its option, any additional files containing the same information in an alternative format) available each month to any interested parties (including without limitation to the Verification Agent) via the Indenture Trustee’s internet website and such other information as the Indenture Trustee may have in its possession, but only with the use of a password provided by the Indenture Trustee. All such information provided to the Indenture Trustee or the Calculation Agent for posting to the Indenture Trustee’s website should be sent to Xxxxxxx.xxxxxxx@xxxx.xxx with subject reference “loanDepot Agency Advance Receivables Trust -For Posting” and be in a form or format that will allow such information to be posted to the Indenture Trustee’s website. In connection with providing access to the Indenture Trustee’s internet website, the Indenture Trustee may require registration and the acceptance of a disclaimer. The Indenture Trustee’s internet website shall initially be located at xxx.xxxxxxx.xxxxxx.xx.xxxxxxxxxx.xxx. Assistance in using the Indenture Trustee’s website can be obtained by calling the Indenture Trustee’s investor relations desk at 0-000-000-0000. Parties that are unable to use the above distribution option are entitled to have a paper copy mailed to them via first class mail or by overnight courier by calling the investor relations desk and requesting a copy. The Indenture Trustee shall have the right to change the way the Determination Date ReportsCalculation Agent Verification Certifications, Payment Date Reports and Interim Payment Date Reports are distributed in order to make such distribution more convenient and/or more accessible to the above parties and the Indenture Trustee shall provide timely and adequate notification to all above parties regarding any such changes. All Noteholders are advised The Indenture Trustee shall not be required to make available via its website (and have been advised pursuant to or otherwise) any related offering document) to review information that in its reasonable judgment is confidential, includes any distribution statementNonpublic Personal Information or could otherwise violate Applicable Law, financial information and disbursements provided to them, and to bring any errors or omissions could result in personal liability to the Indenture Trustee’s attention within ninety (90) days of receipt of such distribution statement, financial information or disbursement. If any errors or omissions are brought to the Indenture Trustee’s attention subsequent to such time periodIn addition, the Indenture Trustee shall use good faith efforts have no liability for the failure to make the correction as requested; provided, however, such corrections shall be made in accordance with the Depository’s policies and procedures then in effectinclude or post any information that it has not actually received.

Appears in 1 contract

Samples: Indenture (loanDepot, Inc.)

Monthly Reports on Indenture Trustee’s Website. The Indenture Trustee will make each Determination Date Administrator Report, Payment Date Report and Interim Payment Date Report (and, at its option, any additional files containing the same information in an alternative format) available each month to any interested parties via the Indenture Trustee’s internet website and such other information as the Indenture Trustee may have in its possession, but only with the use of a password provided by the Indenture Trustee. In connection with providing access to the Indenture Trustee’s internet website, the Indenture Trustee may require registration and the acceptance of a disclaimer. The Indenture Trustee’s internet website shall initially be located at xxx.xxxxxxx.xxxxxxxx://xxxxxxxxxxxxxxxxxxxx.xxxxxxxxx.xxx. Assistance in using the Indenture Trustee’s website can be obtained by calling the Indenture Trustee’s investor relations desk at 0-(000-) 000-0000. Parties that are unable to use the above distribution option are entitled to have a paper copy mailed to them via first class mail by calling the investor relations desk and requesting a copy. The Indenture Trustee shall have the right to change the way the Determination Date Administrator Reports, Payment Date Reports and Interim Payment Date Reports are distributed in order to make such distribution more convenient and/or more accessible to the above parties and the Indenture Trustee shall provide timely and adequate notification to all above parties regarding any such changes. All Noteholders are advised (and have been advised pursuant to any related offering document) to review any distribution statement, financial information and disbursements provided to them, and to bring any errors or omissions to the Indenture Trustee’s attention within ninety (90) 90 days of receipt of such distribution statement, financial information or disbursement. If any errors or omissions are brought to the Indenture Trustee’s attention subsequent to such time period, the Indenture Trustee shall use good faith efforts to make the correction as requested; provided, however, such corrections shall be made in accordance with the Depository’s policies and procedures then in effect.

Appears in 1 contract

Samples: Indenture (Nationstar Mortgage Holdings Inc.)

Monthly Reports on Indenture Trustee’s Website. The Indenture Trustee will make each Determination Date Administrator Report, Payment Date Report and Interim Payment Date Report (and, at its option, any additional files containing the same information in an alternative format) available each month to any interested parties via the Indenture Trustee’s 's internet website and such other information as the Indenture Trustee may have in its possession, but only with the use of a password provided by the Indenture Trustee. In connection with providing access to the Indenture Trustee’s 's internet website, the Indenture Trustee may require registration and the acceptance of a disclaimer. The Indenture Trustee’s 's internet website shall initially be located at xxx.xxxxxxx.xxx. Assistance in using the Indenture Trustee’s 's website can be obtained by calling the Indenture Trustee’s 's investor relations desk at 0-000-000-0000. Parties that are unable to use the above distribution option are entitled to have a paper copy mailed to them via first class mail by calling the investor relations desk and requesting a copy. The Indenture Trustee shall have the right to change the way the Determination Date Administrator Reports, Payment Date Reports and Interim Payment Date Reports are distributed in order to make such distribution more convenient and/or more accessible to the above parties and the Indenture Trustee shall provide timely and adequate notification to all above parties regarding any such changes. All Noteholders are advised (and have been advised pursuant to any related offering document) to review any distribution statement, financial information and disbursements provided to them, and to bring any errors or omissions to the Indenture Trustee’s 's attention within ninety (90) days of receipt of such distribution statement, financial information or disbursement. If any errors or omissions are brought to the Indenture Trustee’s 's attention subsequent to such time period, the Indenture Trustee shall use good faith efforts to make the correction as requested; provided, however, such corrections shall be made in accordance with the Depository’s 's policies and procedures then in effect.

Appears in 1 contract

Samples: Indenture (Nationstar Mortgage Holdings Inc.)

Monthly Reports on Indenture Trustee’s Website. The Indenture Trustee will make each Determination Date Administrator Report, Payment Date Report and Interim Payment Date Report (and, at its option, any additional files containing the same information in an alternative format) available each month to any interested parties via the Indenture Trustee’s internet website and such other information as the Indenture Trustee may have in its possession, but only with the use of a password provided by the Indenture Trustee. In connection with providing access to the Indenture Trustee’s internet website, the Indenture Trustee may require registration and the acceptance of a disclaimer. The Indenture Trustee’s internet website shall initially be located at xxx.xxxxxxx.xxx. Assistance in using the Indenture Trustee’s website can be obtained by calling the Indenture Trustee’s investor relations desk at 0-000-000-0000. Parties that are unable to use the above distribution option are entitled to have a paper copy mailed to them via first class mail by calling the investor relations desk and requesting a copy. The Indenture Trustee shall have the right to change the way the Determination Date Administrator Reports, Payment Date Reports and Interim Payment Date Reports are distributed in order to make such distribution more convenient and/or more accessible to the above parties and the Indenture Trustee shall provide timely and adequate notification to all above parties regarding any such changes. All Noteholders are advised (and have been advised pursuant to any related offering document) to review any distribution statement, financial information and disbursements provided to them, and to bring any errors or omissions to the Indenture Trustee’s attention within ninety (90) days of receipt of such distribution statement, financial information or disbursement. If any errors or omissions are brought to the Indenture Trustee’s attention subsequent to such time period, the Indenture Trustee shall use good faith efforts to make the correction as requested; provided, however, such corrections shall be made in accordance with the Depository’s policies and procedures then in effect.

Appears in 1 contract

Samples: Indenture (Nationstar Mortgage Holdings Inc.)

Monthly Reports on Indenture Trustee’s Website. The Notwithstanding any other provision of this Base Indenture Trustee will make each Determination Date Reportthat requires Citibank, Payment Date Report and Interim in any capacity, to deliver or provide to any Person the Payment Date Report (and, at its option, any additional files containing the same information in an alternative format) ), Citibank, in any capacity, shall be entitled, in lieu of such delivery, to make such report available each month to any interested parties parties, including Xxxxxx Xxx, via the Indenture Trustee’s internet website and such other information as the Indenture Trustee may have in its possession, but only with the use of a password provided by the Indenture Trustee. In connection with providing access to the Indenture Trustee’s internet website, the Indenture Trustee may require registration and the acceptance of a disclaimer. The Indenture Trustee’s internet website shall initially be located at xxx.xxxxxxx.xxxxxx.xx.xxxxxxxxxx.xxx. Assistance in using the Indenture Trustee’s website can be obtained by calling the Indenture Trustee’s investor relations desk at 0-000-000-0000. Parties that are unable to use the above distribution option are entitled to have a paper copy mailed to them via first class mail or by overnight courier by calling the investor relations desk and requesting a copy. The Indenture Trustee shall have the right to change the way the Determination Date Reports, Payment Date Reports and Interim Payment Date Reports are distributed in order to make such distribution more convenient and/or more accessible to the above parties and the Indenture Trustee shall provide timely and adequate notification to all above parties regarding any such changes. All Noteholders are advised (and have been advised pursuant The Indenture Trustee shall not be required to make available via its website any related offering document) to review information that in its judgment is confidential, may include any distribution statementNonpublic Personal Information or could otherwise violate applicable law, financial information and disbursements provided to them, and to bring any errors or omissions could result in personal liability to the Indenture Trustee’s attention within ninety (90) days of receipt of such distribution statement, financial information or disbursement. If any errors or omissions are brought to the Indenture Trustee’s attention subsequent to such time periodIn addition, the Indenture Trustee shall use good faith efforts have no liability for the failure to make the correction as requested; provided, however, include or post any information that it has not actually received or is not in a form or format that will allow it to post any such corrections shall be made in accordance with the Depository’s policies and procedures then in effectinformation on its website.

Appears in 1 contract

Samples: Base Indenture (loanDepot, Inc.)

AutoNDA by SimpleDocs

Monthly Reports on Indenture Trustee’s Website. The Notwithstanding any other provision of this Base Indenture Trustee will make each Determination Date Reportthat requires Citibank, Payment Date Report and Interim in any capacity, to deliver or provide to any Person the Payment Date Report (and, at its option, any additional files containing the same information in an alternative format) ), Citibank, in any capacity, shall be entitled, in lieu of such delivery, to make such reports available each month to any interested parties parties, including Xxxxxx Xxx, via the Indenture Trustee’s internet website and such other information as the Indenture Trustee may have in its possession, but only with the use of a password provided by the Indenture Trustee. In connection with providing access to the Indenture Trustee’s internet website, the Indenture Trustee may require registration and the acceptance of a disclaimer. The Indenture Trustee’s internet website shall initially be located at xxx.xxxxxxx.xxxxxx.xx.xxxxxxxxxx.xxx. Assistance in using the Indenture Trustee’s website can be obtained by calling the Indenture Trustee’s investor relations desk at 0-000-000-0000. Parties that are unable to use the above distribution option are entitled to have a paper copy mailed to them via first class mail or by overnight courier by calling the investor relations desk and requesting a copy. The Indenture Trustee shall have the right to change the way the Determination Date Reports, Payment Date Reports and Interim Payment Date Reports are distributed in order to make such distribution more convenient and/or more accessible to the above parties and the Indenture Trustee shall provide timely and adequate notification to all above parties regarding any such changes. All Noteholders are advised (and have been advised pursuant The Indenture Trustee shall not be required to make available via its website any related offering document) to review information that in its judgment is confidential, may include any distribution statementNonpublic Personal Information or could otherwise violate applicable law, financial information and disbursements provided to them, and to bring any errors or omissions could result in personal liability to the Indenture Trustee’s attention within ninety (90) days of receipt of such distribution statement, financial information or disbursement. If any errors or omissions are brought to the Indenture Trustee’s attention subsequent to such time periodIn addition, the Indenture Trustee shall use good faith efforts have no liability for the failure to include or post any information that it has not actually received or is not in a form or format that will allow it to post any such information on its website. Notwithstanding any provision herein to the contrary, including Sections 3.1, 3.2 and 3.5 hereof, the Indenture Trustee, the Administrative Agent and any other party hereto shall not deliver, or make available, the correction as requestedMarket Value Information to any Noteholder of any Series of Term Notes prior to the occurrence, or following the cure or waiver, of an Event of Default; providedand prior to the occurrence, howeveror during the continuation, such corrections of an Event of Default, any Determination Date Report, Interim Payment Date Report, Payment Date Report made available to any Noteholders of Series of Outstanding Term Notes by Citibank, in any capacity, pursuant to this Section 3.5 or otherwise hereunder shall be redacted to remove any Market Value Information prior to being made in accordance with the Depository’s policies and procedures then in effectso available.

Appears in 1 contract

Samples: Base Indenture (Mr. Cooper Group Inc.)

Monthly Reports on Indenture Trustee’s Website. The Notwithstanding any other provision of this Indenture Trustee will make that requires Citibank, in any capacity, to deliver or provide to any Person each Determination Date Report, Payment Date Report and Interim Payment Date Report (and, at its option, any additional files containing the same information in an alternative format) ), Citibank, in any capacity, shall be entitled in lieu of such delivery, make such report available each month to any interested parties parties, including, without limitation, the Verification Agent and Freddie Mac, via the Indenture Trustee’s internet website and such other information as the Indenture Trustee may have in its possession, but only with the use of a password provided by the Indenture Trustee. All such information provided to the Indenture Trustee or the Calculation Agent for posting to the Indenture Trustee’s website should be sent to Xxxxxxx.Xxxxxxx@Xxxx.xxx with subject reference “PMT ISSUER TRUST – FHLMC SAF-For Posting”, and be in a form or format that will allow such information to the posted to the Indenture Trustee’s website. In connection with providing access to the Indenture Trustee’s internet website, the Indenture Trustee may require registration and the acceptance of a disclaimer. The Indenture Trustee’s internet website shall initially be located at xxx.xxxxxxx.xxxxxx.xx.xxxxxxxxxx.xxx. Assistance in using the Indenture Trustee’s website can be obtained by calling the Indenture Trustee’s investor relations desk at 0-000-000-0000. Parties that are unable to use the above distribution option are entitled to have a paper copy mailed to them via first class mail or by overnight courier by calling the investor relations desk and requesting a copy. The Indenture Trustee shall have the right to change the way the Determination Date Reports, Payment Date Reports and Interim Payment Date Reports are distributed in order to make such distribution more convenient and/or more accessible to the above parties and the Indenture Trustee shall provide timely and adequate notification to all above parties regarding any such changes. All Noteholders are advised The Indenture Trustee shall not be required to make available via its website (and have been advised pursuant to or otherwise) any related offering document) to review information that in its judgment is confidential, may include any distribution statementNonpublic Personal Information or could otherwise violate Applicable Law, financial information and disbursements provided to them, and to bring any errors or omissions could result in personal liability to the Indenture Trustee’s attention within ninety (90) days of receipt of such distribution statement, financial information or disbursement. If any errors or omissions are brought to the Indenture Trustee’s attention subsequent to such time periodIn addition, the Indenture Trustee shall use good faith efforts have no liability for the failure to make the correction as requested; provided, however, include or post any information that it has not actually received or is not in a form or format that will allow it to post any such corrections shall be made in accordance with the Depository’s policies and procedures then in effectinformation on its website.

Appears in 1 contract

Samples: Indenture (PennyMac Mortgage Investment Trust)

Monthly Reports on Indenture Trustee’s Website. The Notwithstanding any other provision of this Base Indenture Trustee will make each Determination Date Reportthat requires Citibank, Payment Date Report and Interim in any capacity, to deliver or provide to any Person the Payment Date Report (and, at its option, any additional files containing the same information in an alternative format) ), Citibank, in any capacity, shall be entitled, in lieu of such delivery, to make such reports available each month to any interested parties parties, including Xxxxxx Mae, via the Indenture Trustee’s internet website and such other information as the Indenture Trustee may have in its possession, but only with the use of a password provided by the Indenture Trustee. In connection with providing access to the Indenture Trustee’s internet website, the Indenture Trustee may require registration and the acceptance of a disclaimer. The Indenture Trustee’s internet website shall initially be located at xxx.xxxxxxx.xxxxxx.xx.xxxxxxxxxx.xxx. Assistance in using the Indenture Trustee’s website can be obtained by calling the Indenture Trustee’s investor relations desk at 0-000-000-0000. Parties that are unable to use the above distribution option are entitled to have a paper copy mailed to them via first class mail or by overnight courier by calling the investor relations desk and requesting a copy. The Indenture Trustee shall have the right to change the way the Determination Date Reports, Payment Date Reports and Interim Payment Date Reports are distributed in order to make such distribution more convenient and/or more accessible to the above parties and the Indenture Trustee shall provide timely and adequate notification to all above parties regarding any such changes. All Noteholders are advised (and have been advised pursuant The Indenture Trustee shall not be required to make available via its website any related offering document) to review information that in its judgment is confidential, may include any distribution statementNonpublic Personal Information or could otherwise violate applicable law, financial information and disbursements provided to them, and to bring any errors or omissions could result in personal liability to the Indenture Trustee’s attention within ninety (90) days of receipt of such distribution statement, financial information or disbursement. If any errors or omissions are brought to the Indenture Trustee’s attention subsequent to such time periodIn addition, the Indenture Trustee shall use good faith efforts have no liability for the failure to include or post any information that it has not actually received or is not in a form or format that will allow it to post any such information on its website. Notwithstanding any provision herein to the contrary, including Sections 3.1, 3.2 and 3.5 hereof, the Indenture Trustee, the Administrative Agent and any other party hereto shall not deliver, or make available, the correction as requestedMarket Value Information to any Noteholder of any Series of Term Notes prior to the occurrence, or following the cure or waiver, of an Event of Default; providedand prior to the occurrence, howeveror during the continuation, such corrections of an Event of Default, any Determination Date Report, Interim Payment Date Report, Payment Date Report made available to any Noteholders of Outstanding Series of Term Notes by Citibank, in any capacity, pursuant to this Section 3.5 or otherwise hereunder shall be redacted to remove any Market Value Information prior to being made in accordance with the Depository’s policies and procedures then in effectso available.

Appears in 1 contract

Samples: Base Indenture (PennyMac Financial Services, Inc.)

Draft better contracts in just 5 minutes Get the weekly Law Insider newsletter packed with expert videos, webinars, ebooks, and more!