Purchase Amounts. 28 SECTION 9.04.
Purchase Amounts. Not later than the Determination Date, the Servicer or UAC shall remit to the Certificate Account the aggregate Purchase Amount for such Collection Period pursuant to Sections 7.02 and 8.07.
Purchase Amounts. 35 Section 5.05. Reserved................................................................................35 Section 5.06. Distributions...........................................................................36 Section 5.07. Reserve Account.........................................................................38 Section 5.08. Statements to Securityholders...........................................................38 Section 5.09. Advances by the Servicer................................................................40
Purchase Amounts. Pursuant to the Trust Agreement, the Servicer and the Seller have agreed to remit to the Collection Account not later than the Determination Date, the aggregate Purchase Amount for such Collection Period pursuant to Sections 7.02 and 8.07 of the Trust Agreement. Not later than 11:00 a.m. (New York City time) on the related Payment Date the Servicer shall remit to the Collection Account the aggregate Optional Disposition Price for Receivables on such Payment Date pursuant to Section 16.02 of the Trust Agreement.
Purchase Amounts. Pursuant to the Trust Agreement, the Servicer and the Transferor have agreed to remit to the Collection Account not later than the Determination Date, the aggregate Purchase Amount for such Collection Period pursuant to Sections 7.02 and 8.10 of the Trust Agreement.
Purchase Amounts. The Servicer or the Seller shall deposit or cause to be deposited in the Collection Account, on or prior to each Determination Date, the aggregate Purchase Amount with respect to Purchased Receivables and the Servicer shall deposit therein all amounts to be paid under Section 4.07. Notice of this amount shall be provided in writing by the applicable party to the Indenture Trustee.
Purchase Amounts. (a) Not later than the Determination Date, the Servicer, UAC or the Owner Trustee shall remit to the Collection Account the aggregate Purchase Amount for such Collection Period pursuant to Sections 7.02 and 8.07 and (b) not later than 11:00 a.m. (New York City time) on the related Payment Date, the Servicer shall remit to the Collection Account the aggregate Optional Disposition Price for Receivables on such Payment Date pursuant to Section 16.02.
Purchase Amounts. If BMW Capital has the Minimum Required Rating, the Servicer and the Seller shall deposit or cause to be deposited in the Collection Account the Purchase Amount as described in the first sentence of Section 5.02. So long as BMW Capital has the Minimum Required Rating, the Servicer will deposit the Purchase Amount into an account established and maintained by BMW Capital, such deposit being made within two Business Days of the event giving rise to such Purchase Amounts. If BMW Capital no longer has the Minimum Required Rating, the Servicer or the Seller shall deposit or cause to be deposited in the Collection Account, on or prior to each Determination Date, the aggregate Purchase Amount with respect to Purchased Receivables and the Servicer shall deposit therein all amounts to be paid under Sections 4.07 and 9.01.
Purchase Amounts. 31 SECTION 9.04. Distributions to Parties.....................................31 SECTION 9.05. Advances.....................................................33 SECTION 9.06. Net Deposits.................................................33 SECTION 9.07. Statements to Certificateholders.............................33 SECTION 9.08. Intentionally Blank..........................................34 SECTION 9.09. Payahead Account. ..........................................35 SECTION 9.10. Calculation of Notional Principal Amount.....................35 ARTICLE X Credit Enhancement...........................................35 SECTION 10.01. Subordination................................................35 SECTION 10.02. Spread Account...............................................35 SECTION 10.03. Policy.......................................................37 ARTICLE XI The Certificates.......................................38 SECTION 11.01. The Certificates.............................................38 SECTION 11.02. Authentication of Certificates...............................38 SECTION 11.03. Registration of Transfer and Exchange of Certificates........38 SECTION 11.04. Mutilated, Destroyed, Lost, or Stolen Certificates...........39 SECTION 11.05. Persons Deemed Owners........................................39 SECTION 11.06. Access to Agreement and List of Certificateholders' Names and Addresses......................................39 SECTION 11.07. Maintenance of Office or Agency..............................40 SECTION 11.08. Book-Entry Certificates......................................40 SECTION 11.09. Notices to Clearing Agency...................................40 SECTION 11.10. Definitive Certificates......................................41 SECTION 11.11. The Tax Partnership Agreement................................41 ARTICLE XII The Depositor..........................................41
Purchase Amounts. On the Determination Date following each Collection Period, the Servicer or the Seller, as the case may be, shall remit to the Certificate Account the aggregate Purchase Amount for such Collection Period pursuant to Sections 3.2, 4.2 and 4.7.