Pool Information Clause Samples
The "Pool Information" clause defines the requirements for disclosing and maintaining details about a specific pool of assets, participants, or resources relevant to the agreement. Typically, this clause outlines what information must be provided, such as the composition, status, or performance of the pool, and may specify the frequency and format of updates. By establishing clear expectations for information sharing, the clause ensures transparency and enables all parties to monitor the pool's status, thereby reducing misunderstandings and supporting informed decision-making.
Pool Information. Weighted Average APR Weighted Average Remaining Term Number of Receivables Outstanding Pool Balance Adjusted Pool Balance (Pool Balance - YSOC Amount) Pool Factor
Pool Information. Such information shall be provided concurrently with the monthly reports otherwise required to be delivered by the Servicer under this Agreement commencing with the first such report due in connection with the applicable Securitization Transaction.
Pool Information. The Original Pool Balance, the Pool Balance, the weighted average coupon, the weighted average maturity (in months) and the remaining number of Receivables for both the first and the last day of the preceding Collection Period, after giving effect to payments allocated to principal reported in (b)(ii) above.
Pool Information. As of the Cut-Off Date, the information set forth on Schedule C hereto is true and correct.
Pool Information. Information relating to the trust assets furnished by the Company to any Underwriter upon which the mathematical calculations reflected in the Computational Materials of such Underwriter are based.
