Reports Filed with Securities and Exchange Commission. (a) (i) (A) Within 15 days after each Distribution Date for so long as the Issuing Entity is subject to the Exchange Act reporting requirements, the Trustee shall, in accordance with industry standards, file with the Commission via the Electronic Data Gathering and Retrieval System (“XXXXX”), a Form 10-D, signed by the Servicer, with a copy of the monthly statement to be furnished by the Trustee to the Certificateholders for such Distribution Date; provided that the Trustee shall have received no later than five (5) calendar days after the related Servicer Reporting Date, all information required to be provided to the Trustee as described below. Any disclosure in addition to the monthly statement that is required to be included on Form 10-D (“Additional Form 10-D Disclosure”) shall be approved by the Depositor. Within five (5) calendar days after the related Servicer Reporting Date, (i) the parties set forth in Exhibit M shall be required to provide, pursuant to section 3.18(a)(iv) below, to the Trustee and the Depositor, to the extent known, in XXXXX-compatible format at the following email address: xx_xxx@xxxxxxxx.xxx, or in such other form as otherwise agreed upon by the Trustee and the Depositor and such party, the form and substance of any Additional Form 10-D Disclosure, if applicable, and (ii) the Depositor will approve, as to form and substance, or disapprove, as the case may be, the inclusion of the Additional Form 10-D Disclosure on Form 10-D. The Depositor will be responsible for any reasonable fees and expenses assessed or incurred by the Trustee in connection with including any Additional Form 10-D Disclosure on Form 10-D pursuant to this Section.
Appears in 2 contracts
Samples: Pooling and Servicing Agreement (NovaStar Certificates Financing CORP), Pooling and Servicing Agreement (NovaStar Certificates Financing CORP)
Reports Filed with Securities and Exchange Commission. (a) (i) (A) Within 15 days after each Distribution Date for so long as the Issuing Entity is subject to the Exchange Act reporting requirementsDate, the Trustee shall, in accordance with industry standards, file with the Commission via the Electronic Data Gathering and Retrieval System (“XXXXX”), a Form 10-D, signed by the Servicer, with a copy of the monthly statement to be furnished by the Trustee to the Certificateholders Noteholders for such Distribution DateDate and detailing all data elements specified in Item 1121(a) of Regulation AB; provided that the Trustee shall have received no later than five (5) calendar calandar days after the related Servicer Reporting Distribution Date, all information required to be provided to the Trustee as described in clause (a)(iv) below. Any disclosure in addition to the monthly statement Monthly Statement that is required to be included on Form 10-D (“Additional Form 10-D Disclosure”) shall be approved by the Depositor. Within five (5) calendar days after the related Servicer Reporting Distribution Date, (i) the parties set forth in Exhibit M [__] shall be required to provide, pursuant to section 3.18(a)(iv) below, to the Trustee and the Depositor, to the extent known, in XXXXX-compatible format at the following email address: xx_xxx@xxxxxxxx.xxxformat, or in such other form as otherwise agreed upon by the Trustee and the Depositor and such party, the form and substance of any Additional Form 10-D Disclosure, if applicable, and (ii) the Depositor will approve, as to form and substance, or disapprove, as the case may be, the inclusion of the Additional Form 10-D Disclosure on Form 10-D. The Depositor will be responsible for any reasonable fees and expenses assessed or incurred by the Trustee in connection with including any Additional Form 10-D Disclosure on Form 10-D pursuant to this Section.
Appears in 2 contracts
Samples: Pooling and Servicing Agreement (NovaStar Certificates Financing CORP), Pooling and Servicing Agreement (NovaStar Certificates Financing LLC)
Reports Filed with Securities and Exchange Commission. (a) (i) (A) Within 15 days after each Distribution Date for so long as the Issuing Entity is subject to the Exchange Act reporting requirementsDate, the Trustee shall, in accordance with industry standards, file with the Commission via the Electronic Data Gathering and Retrieval System (“XXXXX”), a Form 10-D, signed by the Servicer, with a copy of the monthly statement to be furnished by the Trustee to the Certificateholders Noteholders for such Distribution DateDate and detailing all data elements specified in Item 1121(a) of Regulation AB; provided that the Trustee shall have received no later than five (5) calendar calandar days after the related Servicer Reporting Distribution Date, all information required to be provided to the Trustee as described in clause (a)(iv) below. Any disclosure in addition to the monthly statement Monthly Statement that is required to be included on Form 10-D (“Additional Form 10-D Disclosure”) shall be approved by the Depositor. Within five (5) calendar days after the related Servicer Reporting Distribution Date, (i) the parties set forth in Exhibit M [ ] shall be required to provide, pursuant to section 3.18(a)(iv) below, to the Trustee and the Depositor, to the extent known, in XXXXX-compatible format at the following email address: xx_xxx@xxxxxxxx.xxxformat, or in such other form as otherwise agreed upon by the Trustee and the Depositor and such party, the form and substance of any Additional Form 10-D Disclosure, if applicable, and (ii) the Depositor will approve, as to form and substance, or disapprove, as the case may be, the inclusion of the Additional Form 10-D Disclosure on Form 10-D. The Depositor will be responsible for any reasonable fees and expenses assessed or incurred by the Trustee in connection with including any Additional Form 10-D Disclosure on Form 10-D pursuant to this Section.
Appears in 2 contracts
Samples: Pooling and Servicing Agreement (NovaStar Certificates Financing LLC), Pooling and Servicing Agreement (NovaStar Certificates Financing CORP)
Reports Filed with Securities and Exchange Commission. (a) (i) (A) Within 15 days after each Distribution Date for so long as the Issuing Entity is subject to the Exchange Act reporting requirementsDate, the Indenture Trustee shall, in accordance with industry standards, file with the Commission via the Electronic Data Gathering and Retrieval System (“XXXXX”), a Form 10-D, signed by the Servicer, with a copy of the monthly statement to be furnished by the Indenture Trustee to the Certificateholders Noteholders for such Distribution DateDate and detailing all data elements specified in Item 1121(a) of Regulation AB; provided that the Indenture Trustee shall have received no later than five (5) calendar days after the related Servicer Reporting Distribution Date, all information required to be provided to the Indenture Trustee as described in clause (a)(iv) below. Any disclosure in addition to the monthly statement Monthly Statement that is required to be included on Form 10-D (“Additional Form 10-D Disclosure”) shall be approved by the Depositor. Within five (5) calendar days after the related Servicer Reporting Distribution Date, (i) the parties set forth in Exhibit M [__] shall be required to provide, pursuant to section 3.18(a)(iv5.11(a)(iv) below, to the Indenture Trustee and the Depositor, to the extent known, in XXXXX-compatible format at the following email address: xx_xxx@xxxxxxxx.xxxformat, or in such other form as otherwise agreed upon by the Indenture Trustee and the Depositor and such party, the form and substance of any Additional Form 10-D Disclosure, if applicable, and (ii) the Depositor will approve, as to form and substance, or disapprove, as the case may be, the inclusion of the Additional Form 10-D Disclosure on Form 10-D. The Depositor will be responsible for any reasonable fees and expenses assessed or incurred by the Indenture Trustee in connection with including any Additional Form 10-D Disclosure on Form 10-D pursuant to this Section.
Appears in 2 contracts
Samples: Sale and Servicing Agreement (Accredited Mortgage Loan REIT Trust), Sale and Servicing Agreement (Accredited Mortgage Loan REIT Trust)
Reports Filed with Securities and Exchange Commission. (a) (i) (A) Within 15 days after each Distribution Payment Date for so long as the Issuing Entity is subject to the Exchange Act reporting requirements, the Indenture Trustee shall, in accordance with industry standards, file with the Commission via the Electronic Data Gathering and Retrieval System (“XXXXX”), a Form 10-D, signed by the Servicer, with a copy of the monthly statement to be furnished by the Indenture Trustee to the Certificateholders Noteholders for such Distribution Payment Date; provided that the Indenture Trustee shall have received no later than five (5) calendar days after the related Servicer Reporting Date, all information required to be provided to the Indenture Trustee as described below. Any disclosure in addition to the monthly statement Monthly Statement that is required to be included on Form 10-D (“Additional Form 10-D Disclosure”) shall be approved by the Depositor. Within five (5) calendar days after the related Servicer Reporting Date, (i) the parties set forth in Exhibit M I shall be required to provide, pursuant to section 3.18(a)(iv5.18(a)(iv) below, to the Indenture Trustee and the Depositor, to the extent knownknown (by a Responsible Officer in the case of the Owner Trustee), in XXXXX-compatible format at the following email address: xx_xxx@xxxxxxxx.xxx, or in such other form as otherwise agreed upon by the Indenture Trustee and the Depositor and such party, the form and substance of any Additional Form 10-D Disclosure, if applicable, and (ii) the Depositor will approve, as to form and substance, or disapprove, as the case may be, the inclusion of the Additional Form 10-D Disclosure on Form 10-D. The Depositor will be responsible for any reasonable fees and expenses assessed or incurred by the Indenture Trustee in connection with including any Additional Form 10-D Disclosure on Form 10-D pursuant to this Section.
Appears in 2 contracts
Samples: Sale and Servicing Agreement (NovaStar Certificates Financing CORP), Sale and Servicing Agreement (NovaStar Certificates Financing CORP)
Reports Filed with Securities and Exchange Commission. (a) (i) (A) Within 15 days after each Distribution Date for so long as the Issuing Entity is subject to the Exchange Act reporting requirementsDate, the Indenture Trustee shall, in accordance with industry standards, file with the Commission via the Electronic Data Gathering and Retrieval System (“XXXXX”), a Form 10-D, signed by the Servicer, with a copy of the monthly statement to be furnished by the Indenture Trustee to the Certificateholders Noteholders for such Distribution DateDate and detailing all data elements specified in Item 1121(a) of Regulation AB; provided that the Indenture Trustee shall have received no later than five (5) calendar calandar days after the related Servicer Reporting Distribution Date, all information required to be provided to the Indenture Trustee as described in clause (a)(iv) below. Any disclosure in addition to the monthly statement Monthly Statement that is required to be included on Form 10-D (“Additional Form 10-D Disclosure”) shall be approved by the Depositor. Within five (5) calendar days after the related Servicer Reporting Distribution Date, (i) the parties set forth in Exhibit M [__] shall be required to provide, pursuant to section 3.18(a)(iv5.11(a)(iv) below, to the Indenture Trustee and the Depositor, to the extent known, in XXXXX-compatible format at the following email address: xx_xxx@xxxxxxxx.xxxformat, or in such other form as otherwise agreed upon by the Indenture Trustee and the Depositor and such party, the form and substance of any Additional Form 10-D Disclosure, if applicable, and (ii) the Depositor will approve, as to form and substance, or disapprove, as the case may be, the inclusion of the Additional Form 10-D Disclosure on Form 10-D. The Depositor will be responsible for any reasonable fees and expenses assessed or incurred by the Indenture Trustee in connection with including any Additional Form 10-D Disclosure on Form 10-D pursuant to this Section.
Appears in 2 contracts
Samples: Sale and Servicing Agreement (Accredited Mortgage Loan REIT Trust), Sale and Servicing Agreement (Accredited Mortgage Loan REIT Trust)
Reports Filed with Securities and Exchange Commission. (a) (i) (A) Within 15 days after each Distribution Payment Date for so long as the Issuing Entity is subject to the Exchange Act reporting requirements, the Indenture Trustee shall, in accordance with industry standards, file with the Commission via the Electronic Data Gathering and Retrieval System (“XXXXX”), a Form 10-D, signed by the Servicer, with a copy of the monthly statement to be furnished by the Indenture Trustee to the Certificateholders Noteholders for such Distribution Payment Date; provided that the Indenture Trustee shall have received no later than five (5) calendar calandar days after the related Servicer Reporting Date, all information required to be provided to the Indenture Trustee as described below. Any disclosure in addition to the monthly statement Monthly Statement that is required to be included on Form 10-D (“Additional Form 10-D Disclosure”) shall be approved by the Depositor. Within five (5) calendar days after the related Servicer Reporting Date, (i) the parties set forth in Exhibit M I shall be required to provide, pursuant to section 3.18(a)(iv5.18(a)(iv) below, to the Indenture Trustee and the Depositor, to the extent knownknown (by a Responsible Officer in the case of the Owner Trustee), in XXXXX-compatible format at the following email address: xx_xxx@xxxxxxxx.xxx, or in such other form as otherwise agreed upon by the Indenture Trustee and the Depositor and such party, the form and substance of any Additional Form 10-D Disclosure, if applicable, and (ii) the Depositor will approve, as to form and substance, or disapprove, as the case may be, the inclusion of the Additional Form 10-D Disclosure on Form 10-D. The Depositor will be responsible for any reasonable fees and expenses assessed or incurred by the Indenture Trustee in connection with including any Additional Form 10-D Disclosure on Form 10-D pursuant to this Section.
Appears in 1 contract
Samples: Sale and Servicing Agreement (NovaStar Mortgage Funding Trust, Series 2006-1)
Reports Filed with Securities and Exchange Commission. (a) (i) (A) Within 15 days after each Distribution Date for so long as the Issuing Entity is subject to the Exchange Act reporting requirementsDate, the Trustee shall, in accordance with industry standards, file with the Commission via the Electronic Data Gathering and Retrieval System (“XXXXX”), a Form 10-D, signed by the Servicer, with a copy of the monthly statement to be furnished by the Trustee to the Certificateholders for such Distribution DateDate and detailing all data elements specified in Item 1121(a) of Regulation AB; provided that the Trustee shall have received no later than five (5) calendar days after the related Servicer Reporting Date, all information required to be provided to the Trustee as described in clause (a)(iv) below. Any disclosure in addition to the monthly statement Monthly Statement that is required to be included on Form 10-D (“Additional Form 10-D Disclosure”) shall be approved by the Depositor. Within five (5) calendar days after the related Servicer Reporting Date, (i) the parties set forth in Exhibit M N shall be required to provide, pursuant to section 3.18(a)(iv3.11(a)(iv) below, to the Trustee and the Depositor, to the extent known, in XXXXX-compatible format at the following email address: xx_xxx@xxxxxxxx.xxxaddress set forth in Section 11.05 with respect to the Trustee, or in such other form as otherwise agreed upon by the Trustee and the Depositor and such party, the form and substance of any Additional Form 10-D Disclosure, if applicable, and (ii) the Depositor will approve, as to form and substance, or disapprove, as the case may be, the inclusion of the Additional Form 10-D Disclosure on Form 10-D. The Depositor will be responsible for any reasonable fees and expenses assessed or incurred by the Trustee in connection with including any Additional Form 10-D Disclosure on Form 10-D pursuant to this Section.
Appears in 1 contract
Samples: Pooling and Servicing Agreement (Accredited Mortgage Loan REIT Trust)