Common use of Reports to Certificateholders Clause in Contracts

Reports to Certificateholders. (a) On each Distribution Date, the Trustee shall have prepared (based solely on information provided by the Master Servicer or the Swap Counterparty) and shall make available to the Swap Counterparty, the Credit Risk Manager and each Certificateholder a report setting forth the following information (on the basis of Mortgage Loan level information obtained from the Master Servicer and from the Swap Counterparty with respect to payments made under the Swap Agreement):

Appears in 3 contracts

Samples: Trust Agreement (SASCO Mortgage Loan Trust Series 2005-Gel3), Trust Agreement (Structured Asset Securities Corporation, 2005-Gel4), Trust Agreement (SASCO Mortgage Loan Trust Series 2005-Gel2)

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Reports to Certificateholders. (a) On each Distribution Date, the Trustee shall have prepared prepare (based solely on information provided by the Master Servicer Servicer, the Cap Counterparty or the Swap Counterparty) and shall make available to the Certificateholders and the Swap CounterpartyCounterparty a written report, which may be in electronic form (the Credit Risk Manager and each Certificateholder a report “Distribution Date Statement”) setting forth the following information (on the basis of Mortgage Loan level information obtained from the Master Servicer and from the Swap Counterparty with respect to payments made under the Swap Agreement):Servicers).

Appears in 3 contracts

Samples: Trust Agreement (Lehman XS Trust 2006-19), Trust Agreement (Lehman XS Trust 2006-11), Trust Agreement (Lehman XS Trust, Series 2006-8)

Reports to Certificateholders. (a) On each Distribution Date, the Trustee shall have prepared prepare (based solely on information provided by the Master Servicer Servicer, the Cap Counterparty or the Swap Counterparty) and shall make available to the Swap CounterpartyCertificateholders, the Credit Risk Manager Swap Counterparty and each Certificateholder the Certificate Insurer a written report setting forth the following information (on the basis of Mortgage Loan level information obtained from the Master Servicer and from the Swap Counterparty with respect to payments made under the Swap Agreement):Servicers).

Appears in 2 contracts

Samples: Trust Agreement (Structured Asset Securities Corp), Trust Agreement (Lehman XS Trust, Series 2005-8)

Reports to Certificateholders. (a) On each Distribution Date, the Trustee shall have prepared prepare (based solely on information provided by the Master Servicer or the Swap Counterparty) and shall make available to the Certificateholders and the Swap Counterparty, Counterparty a written report (the Credit Risk Manager and each Certificateholder a report “Distribution Date Statement”) setting forth the following information (on the basis of Mortgage Loan level information obtained from the Master Servicer and from the Swap Counterparty with respect to payments made under the Swap Agreement):Servicers).

Appears in 2 contracts

Samples: Trust Agreement (Lehman XS Trust 2006-9), Trust Agreement (LXS 2006-7)

Reports to Certificateholders. (a) On each Distribution Date, the Trustee shall have prepared prepare (based solely on information provided by the Master Servicer Servicer, the Cap Counterparty or the Swap Counterparty) and shall make available to the Swap CounterpartyCertificateholders, any NIMS Insurer, the Credit Risk Manager Cap Counterparty and each Certificateholder the Swap Counterparty a report written report, which may be in electronic form (the “Distribution Date Statement”) setting forth the following information (on the basis of Mortgage Loan level information obtained from the Master Servicer and from the Swap Counterparty with respect to payments made under the Swap Agreement):Servicers).

Appears in 2 contracts

Samples: Trust Agreement (Lehman XS Trust 2007-11), Trust Agreement (LXS 2007-8h)

Reports to Certificateholders. (a) On each Distribution Date, the Trustee shall have prepared prepare (based solely on information provided by the Master Servicer Servicer, the Cap Counterparty or the Swap Counterparty) and shall make available to the Certificateholders and the Swap Counterparty, Counterparty a written report (the Credit Risk Manager and each Certificateholder a report “Distribution Date Statement”) setting forth the following information (on the basis of Mortgage Loan level information obtained from the Master Servicer and from the Swap Counterparty with respect to payments made under the Swap Agreement):Servicers).

Appears in 2 contracts

Samples: Trust Agreement (Lehman XS Trust 2006-1), Trust Agreement (Lehman XS Trust 2006-5)

Reports to Certificateholders. (a) On each Distribution Date, the Trustee shall have prepared prepare (based solely on information provided by the Master Servicer or the Swap Counterparty) and shall make available to the Certificateholders and the Swap Counterparty, Counterparty a written report (the Credit Risk Manager and each Certificateholder a report “Distribution Date Statement”) setting forth the following information (on the basis of Mortgage Loan level information obtained from the Master Servicer and from the Swap Counterparty with respect to payments made under the Swap Agreement):Servicers).

Appears in 1 contract

Samples: Trust Agreement (Lehman XS Trust 2006-3)

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Reports to Certificateholders. (a) On each Distribution Date, the Trustee shall have prepared (based solely on information provided by the Master Servicer or the Swap Counterparty) and shall make available to the Swap Counterparty, the Credit Risk Manager Manager, the Seller and each Certificateholder a report (the "Distribution Date Statement") setting forth the following information (on the basis of Mortgage Loan level information obtained from the Master Servicer and from the Swap Counterparty with respect to payments made under the Swap AgreementServicer):

Appears in 1 contract

Samples: Trust Agreement (Sasco 2006-S3)

Reports to Certificateholders. (a) On each Distribution Date, the Trustee shall have prepared prepare (based solely on information provided by the Master Servicer or Servicer, the Swap CounterpartyCounterparty or any Cap Provider) and shall make available to the Swap Counterparty, the Credit Risk Manager Certificateholders and each Certificateholder any NIMS Insurer a written report setting forth the following information by Mortgage Pool (on the basis of Mortgage Loan level information obtained from the Master Servicer and from the Swap Counterparty with respect to payments made under the Swap Agreement):applicable Servicer).

Appears in 1 contract

Samples: Trust Agreement (Lehman XS Trust Series 2006-12n)

Reports to Certificateholders. (a) On each Distribution Date, the Trustee shall have prepared prepare (based solely on information provided by the Master Servicer or the Swap Counterparty) and shall make available to the Swap Counterparty, the Credit Risk Manager Certificateholders and each Certificateholder any NIMS Insurer a written report setting forth the following information (on the basis of Mortgage Loan level information obtained from the Master Servicer and from the Swap Counterparty with respect to payments made under the Swap Agreement):applicable Servicer).

Appears in 1 contract

Samples: Trust Agreement (Lehman XS Trust Series 2006-4n)

Reports to Certificateholders. (a) On each Distribution Date, the Trustee shall have prepared (based solely on information provided by the Master Servicer or the Swap Counterparty) and shall make available to the Swap Counterparty, the Credit Risk Manager Manager, the Seller and each Certificateholder a report (the “Distribution Date Statement”) setting forth the following information (on the basis of Mortgage Loan level information obtained from the Master Servicer and from the Swap Counterparty with respect to payments made under the Swap AgreementServicer):

Appears in 1 contract

Samples: Securitization Servicing Agreement (Sasco 2006-S2)

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