Common use of Purchased Asset Information Clause in Contracts

Purchased Asset Information. Seller shall provide, or shall cause to be provided, to Buyer (A) no later than the fifteenth (15th) day of each month, any property level financial information (including, without limitation, operating and financial statements) with respect to the Purchased Assets that was received from the related Mortgagor in accordance with the related Purchased Asset Documents during the preceding calendar month and is in the possession of Seller or an Affiliate, including, without limitation, rent rolls, income statements and STR reports, in each case, if applicable; and (B) promptly upon request, such other information with respect to the Purchased Assets that may be reasonably requested by Buyer from time to time and to the extent available to Seller.

Appears in 3 contracts

Samples: Master Repurchase Agreement (Cim Real Estate Finance Trust, Inc.), Master Repurchase Agreement (Cim Real Estate Finance Trust, Inc.), Master Repurchase Agreement (Cim Real Estate Finance Trust, Inc.)

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Purchased Asset Information. Seller shall provide, or shall cause to be provided, to Buyer (A) no later than the fifteenth fifteen (15th) day of each month, any and all property level financial information (including, without limitation, operating and financial statements) with respect to the Purchased Assets that was received from the related Mortgagor in accordance with the related Purchased Asset Documents during the preceding calendar month and is in the possession of Seller or an Affiliate, including, without limitation, rent rolls, income statements and STR reports, in each case, if applicable; and (B) promptly upon request, such other information with respect to the Purchased Assets that may be reasonably requested by Buyer from time to time and to the extent available to Seller.

Appears in 2 contracts

Samples: Master Repurchase Agreement (Seven Hills Realty Trust), Master Repurchase Agreement (Tremont Mortgage Trust)

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Purchased Asset Information. Each Seller shall provide, or shall cause to be provided, to Buyer Purchaser (A) no later than the fifteenth (15th) day of each month, (1) any property level financial information (including, without limitation, operating and financial statements) made available to such Seller during the preceding month with respect to the Purchased Assets that was received from the related Mortgagor in accordance with the related any Purchased Asset Documents during the preceding calendar month and is in the possession of Seller or an Affiliate, including, without limitation(2) all other required reports, rent rolls, income statements financial statements, certificates and STR reports, in each case, if applicablenotices it received during the preceding month pursuant to the Purchased Asset Documents; and (B) promptly upon request, such any other information within such Seller’s or a Servicer’s possession with respect to the Purchased Assets that may be reasonably requested by Buyer Purchaser from time to time and to the extent available to Sellertime.

Appears in 1 contract

Samples: Master Repurchase Agreement (Starwood Credit Real Estate Income Trust)

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