Statements to Holders Sample Clauses

Statements to Holders. On each Distribution Date, Servicer shall provide to Trustee (with a copy to each Rating Agency) written instructions for Trustee to forward to each Holder of record a statement setting forth at least the following information as to the Certificates to the extent applicable:
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Statements to Holders. (a) On the second Business Day before each Payment Date, the Issuers shall cause the Administrative Agent to deliver to the Pass Through Trustee, the Trustees, the Cash Manager, the Directors and the Policy Provider, and the Trustee shall (or shall instruct any Paying Agent to) promptly thereafter distribute or make available to each Holder of record with respect to such Payment Date, the Policy Provider, the Initial Credit Facility Provider and each Rating Agency, a report, substantially in the form attached as Exhibit E hereto prepared by the Administrative Agent and setting forth the information described therein after giving effect to such payment (each, a "Monthly Report") in respect of the Calculation Date immediately preceding such Payment Date and the month then ended. Each Monthly Report provided to the Pass Through Trustee, the Trustees, Directors, the Policy Provider, the Initial Credit Facility Provider and each Rating Agency for each May, August and November shall be accompanied by (i) a statement setting forth an analysis of the Collections Account activity for the preceding quarter ended on the Calculation Date occurring in the immediately preceding March, June and September, respectively, (ii) a discussion and analysis of such activity and of any significant developments affecting the ACS Group in such quarter and (iii) an updated description of the ACS Group Aircraft in the ACS Group Portfolio and the related Lessees as of the end of such quarter (each, a "Quarterly Report"). Each Monthly Report provided to the Pass Through Trustee, the Trustees, Directors, the Policy Provider, the Initial Credit Facility Provider and each Rating Agency for each April shall be accompanied by (x) a statement setting forth an analysis of the Collections Account activity for the year ended on the Calculation Date occurring in the immediately preceding January, (y) a discussion and analysis of such activity and of any significant developments affecting the ACS Group in such year and (z) updated information with respect to the ACS Group Aircraft in the ACS Group Portfolio as of the end of such year (each, an "Annual Report"). Each Quarterly Report and Annual Report, as the case may be, shall contain a listing of the ACS Group Aircraft that are not subject to any ACS Group Lease. The Trustees shall deliver a copy of, or make available via a website, each Quarterly Report and Annual Report to any Holder or other Secured Party who requests a copy thereof.
Statements to Holders. (a) On the second Business Day before each Payment Date, the Borrowers shall distribute or make available to the Facility Agent, the Directors, the Liquidity Facility Provider and each Holder of record with respect to such Payment Date which may be delivered by posting such report on an agreed website, a report substantially in the form attached as Exhibit E hereto prepared by the Administrative Agent and setting forth the information described therein after giving effect to such payment (each, a “Monthly Report”) in respect of the Calculation Date immediately preceding such Payment Date and the month then ended.
Statements to Holders. (a) The Issuer shall cause the Administrative Agent to deliver to the Trustee, the Cash Manager and the Directors, and the Trustee shall (or shall instruct any Paying Agent to) distribute or make available to each Holder (including any beneficial holders with respect to the owners of Book-Entry Interests by delivery to the Securities Depository), the Policy Provider, the Initial Primary Liquidity Facility Provider and each Rating Agency (any such distribution, a “Trustee Report Distribution”), on the second Business Day before each Payment Date and on any other date for distribution of any payments with respect to each subclass of Notes then outstanding, a monthly report, substantially in the form attached as Exhibit E hereto prepared by the Administrative Agent and setting forth the information described therein after giving effect to such payment (each, a “Monthly Report”). The annual Appraisals delivered to the Trustee pursuant to Section 5.03(c) will be reflected in the first Monthly Report following such delivery. By the 15th day of March, June, September and December, the Administrative Agent shall distribute to the Trustee, who shall on the next Payment Date make a Trustee Report Distribution of, a report including (i) a statement setting forth an analysis of the Collections Account activity for the preceding fiscal quarter ended January 31, April 30, July 31 and October 31, respectively, (ii) a discussion and analysis of such activity and of any significant developments affecting the Issuer Group in such quarter and (iii) an updated description of the Current Aircraft (and any Additional Aircraft) then in the Portfolio and the related Lessees (each, a “Quarterly Report”). On or prior to April 30 of each year, commencing in 2008, the Administrative Agent shall distribute to the Trustee, who shall on the next Payment Date make a Trustee Report Distribution of, a report including (x) a statement setting forth an analysis of the Collections Account activity for the preceding fiscal year ended October 31, (y) a discussion and analysis of such activity and of any significant developments affecting the Issuer Group in such year and (z) updated information with respect to the Current Aircraft (and any Additional Aircraft) then in the Portfolio (each, an “Annual Report”). Each Annual Report shall include audited consolidated financial statements of the Issuer Group. Each Quarterly Report and Annual Report shall also contain a quarterly or annual, as the cas...
Statements to Holders. ... 34 Section 4.1 Establishment of Accounts............................. 34 Section 4.2 Collections........................................... 35 Section 4.3 [RESERVED]............................................ 37 TABLE OF CONTENTS (CONTINUED)
Statements to Holders. 16 ARTICLE V
Statements to Holders. (a) With respect to each Payment Date, the Master Servicer shall forward to the Indenture Trustee and the Indenture Trustee shall forward by mail to each Certificateholder, Noteholder, [holder of the Residual Ownership Interest, the Credit Enhancer], the Depositor, the Owner Trustee, the Certificate Paying Agent and each Rating Agency, a statement setting forth the following information as to [the Variable Funding Notes, Term] Notes, [the Residual Ownership Interest] and Certificates, to the extent applicable:
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Statements to Holders. (a) On or prior to each Distribution Date, the Trust Collateral Agent shall provide each Holder of record (with a copy to the Insurer and the Rating Agencies) a copy of the Servicer’s Certificate which shall contain the following information as to the Notes to the extent applicable:
Statements to Holders. (a) On each Scheduled Distribution Date, the Trustee shall mail to the Trustor, the Servicer and each Holder a statement setting forth the following information:
Statements to Holders. (a) Unless otherwise directed by the Holders of the Exchangeable Beneficial Certificates, on each Distribution Date,
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