Statements to Certificateholders; Certain Reports by the Master Servicer and the Special Servicer. (a) Based on loan-level information received from the Master Servicer and any other applicable Persons, on each Distribution Date, the Certificate Administrator shall provide or make available a report, including reports in substantially the form attached hereto as Exhibit D (the “Distribution Date Statement”), setting forth, among other things, the following information:
Statements to Certificateholders; Certain Reports by the Master Servicer and the Special Servicer. (a) On each Distribution Date, the Trustee shall provide or make available, either in electronic format or by first-class mail to each Holder (and, if it shall have certified to the Trustee as to its Ownership Interest in a Class of Book-Entry Certificates, each Certificate Owner) of the Regular Certificates and to the Rating Agencies a statement (a "Distribution Date Statement"), substantially in the form contemplated on pages C-1 through C-17 of the Prospectus Supplement, as to the distributions made on such Distribution Date setting forth:
Statements to Certificateholders; Certain Reports by the Master Servicer and the Special Servicer. (a) Subject to Section 8.02(v), based on information received from the Master Servicer, on each Distribution Date, the Trustee shall provide or make available as provided herein to all of the Holders of each Class of Certificates (and, in the case of a Class of Book-Entry Certificates, to each Person that provides the Trustee with an Investor Certification), to the parties hereto and to the Rating Agencies written reports, including reports in substantially the form attached hereto as Exhibit G (the "Distribution Date Statement"), setting forth, among other things, the following information:
Statements to Certificateholders; Certain Reports by the Master Servicer and the Special Servicer. (a) On each Distribution Date, the Certificate Administrator shall provide or make available, either in electronic format or by first class mail to each Holder (and, if it shall have certified to the Certificate Administrator as to its Ownership Interest in a Class of Book-Entry Certificates, each Certificate Owner) of the Certificates, to the Rating Agencies a statement substantially in the form set forth as Exhibit G hereto (a "Distribution Date Statement") and based upon the information provided by the Master Servicer in accordance with Commercial Mortgage Securities Association guidelines, as to the distributions made on such Distribution Date setting forth:
Statements to Certificateholders; Certain Reports by the Master Servicer and the Special Servicer. (a) Based on information received from the Master Servicer, on each Distribution Date, the Trustee shall provide or make available on a public basis a report, including reports in substantially the form attached hereto as Exhibit G (the "Distribution Date Statement"), setting forth, among other things, the following information:
Statements to Certificateholders; Certain Reports by the Master Servicer and the Special Servicer. (a) On each Distribution Date, based upon (where applicable) the information set forth in the report relating to such Distribution Date prepared by the Master Servicer and delivered to the Trustee pursuant to Section 4.02(b) hereof, and only to the extent (where applicable) such information is provided to the Trustee by the Master Servicer, the Trustee shall forward to each Holder (and, if it shall have certified to the Trustee as to its Ownership Interest in a Class of Book-Entry Certificates, each Certificate Owner) of the REMIC III Regular Certificates and to the Rating Agencies a statement (a "Distribution Date Statement"), substantially in the form attached hereto as Exhibit F, and setting forth:
Statements to Certificateholders; Certain Reports by the Master Servicer and the Special Servicer. (a) On each Distribution Date, the Trustee shall provide or make available, either in electronic format or by first class mail to each Holder (and, if it shall have certified to the Trustee as to its Ownership Interest in a Class of Book-Entry Certificates, each Certificate Owner) of the Certificates, the Class A-FL Swap Counterparty and to the 17g-5 Information Provider (and, subject to Section 3.15, the Rating Agencies) a statement substantially in the form set forth as Exhibit G hereto (a “Distribution Date Statement”), as to the distributions made on such Distribution Date setting forth:
Statements to Certificateholders; Certain Reports by the Master Servicer and the Special Servicer. (a) Subject to Section 8.02(v), based on information received from the Master Servicer with respect to the Mortgage Loans and from FHLMC with respect to the Mortgage Certificate, on each Distribution Date, the Trustee shall provide or make available as provided herein to all of the Holders of each Class of Certificates (and, in the case of a Class of Book-Entry Certificates, to each Person that provides the Trustee with an Investor Certification), to the parties hereto and to the Rating Agencies written reports, including reports in substantially the form attached hereto as Exhibit G (the "Distribution Date Statement"), setting forth, among other things, the following information:
Statements to Certificateholders; Certain Reports by the Master Servicer and the Special Servicer. (a) On each Distribution Date, the Trustee shall provide or make available, either in electronic format or by first class mail to each Holder (and, if it shall have certified to the Trustee as to its Ownership Interest in a Class of Book-Entry Certificates, each Certificate Owner) of the Certificates, the Class A-2FL Swap Counterparty, the Class A-JFL Swap Counterparty, to the Rating Agencies a statement substantially in the form set forth as Exhibit G hereto (a "Distribution Date Statement") and based upon the information provided by the Master Servicer in accordance with Commercial Mortgage Securities Association guidelines, as to the distributions made on such Distribution Date setting forth:
Statements to Certificateholders; Certain Reports by the Master Servicer and the Special Servicer. (a) On each Distribution Date, the Trustee shall forward by mail to each Holder (and, if it shall have certified to the Trustee as to its Ownership Interest in a Class of Book-Entry Certificates, each Certificate Owner) of the REMIC II Regular Certificates and to the Rating Agencies (provided, however, the Trustee need not forward to Xxxxx'x and DCR the following statement if made available via the Trustee's Website as described herein) a statement (a "Distribution Date Statement"), substantially in the form contemplated on pages C-1 through C-17 of the Prospectus Supplement, as to the distributions made on such Distribution Date setting forth: