{"component": "clause", "props": {"groups": [{"snippet_links": [{"key": "trustee-shall", "type": "definition", "offset": [41, 54]}, {"key": "except-as-otherwise-provided", "type": "clause", "offset": [56, 84]}, {"key": "the-trust-agreement", "type": "clause", "offset": [88, 107]}, {"key": "deliver-to", "type": "definition", "offset": [109, 119]}, {"key": "by-the-servicer", "type": "clause", "offset": [279, 294]}, {"key": "rating-agencies", "type": "definition", "offset": [302, 317]}, {"key": "prepared-by", "type": "definition", "offset": [319, 330]}, {"key": "based-on", "type": "definition", "offset": [344, 352]}, {"key": "pursuant-to-section", "type": "definition", "offset": [404, 423]}, {"key": "comply-with", "type": "clause", "offset": [525, 536]}, {"key": "regulation-ab", "type": "definition", "offset": [537, 550]}, {"key": "the-certificates", "type": "definition", "offset": [602, 618]}, {"key": "with-respect-to", "type": "clause", "offset": [649, 664]}, {"key": "principal-of", "type": "definition", "offset": [770, 782]}, {"key": "interest-on", "type": "definition", "offset": [866, 877]}, {"key": "class-of-notes", "type": "definition", "offset": [902, 916]}, {"key": "principal-balance-as-of-the", "type": "clause", "offset": [967, 994]}, {"key": "close-of-business", "type": "clause", "offset": [995, 1012]}, {"key": "day-of", "type": "clause", "offset": [1025, 1031]}, {"key": "first-distribution-date", "type": "definition", "offset": [1216, 1239]}, {"key": "initial-aggregate-receivables-principal-balance", "type": "definition", "offset": [1245, 1292]}, {"key": "principal-distributable-amount", "type": "definition", "offset": [1302, 1332]}, {"key": "aggregate-note-principal-balance", "type": "clause", "offset": [1424, 1456]}, {"key": "note-pool-factor", "type": "definition", "offset": [1466, 1482]}, {"key": "after-giving", "type": "clause", "offset": [1542, 1554]}, {"key": "all-payments", "type": "definition", "offset": [1565, 1577]}, {"key": "under-clause", "type": "clause", "offset": [1588, 1600]}, {"key": "class-a-interest-carryover-shortfall", "type": "definition", "offset": [1635, 1671]}, {"key": "class-b-interest-carryover-shortfall", "type": "definition", "offset": [1677, 1713]}, {"key": "class-c-interest-carryover-shortfall", "type": "definition", "offset": [1719, 1755]}, {"key": "class-d-interest-carryover-shortfall", "type": "definition", "offset": [1764, 1800]}, {"key": "change-in", "type": "definition", "offset": [1818, 1827]}, {"key": "asset-representations-reviewer", "type": "definition", "offset": [2035, 2065]}, {"key": "the-administrator", "type": "clause", "offset": [2069, 2086]}, {"key": "pursuant-to-the-indenture", "type": "clause", "offset": [2096, 2121]}, {"key": "servicing-agreement", "type": "definition", "offset": [2149, 2168]}, {"key": "agreement-or", "type": "definition", "offset": [2203, 2215]}, {"key": "administration-agreement", "type": "clause", "offset": [2220, 2244]}, {"key": "fee-paid", "type": 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"type": "clause", "offset": [3173, 3194]}, {"key": "at-the-beginning", "type": "clause", "offset": [3195, 3211]}, {"key": "applicable-monthly-period", "type": "definition", "offset": [3227, 3252]}, {"key": "pool-composition", "type": "clause", "offset": [3266, 3282]}, {"key": "weighted-average-coupon", "type": "definition", "offset": [3340, 3363]}, {"key": "weighted-average-life", "type": "definition", "offset": [3365, 3386]}, {"key": "weighted-average-remaining-term", "type": "definition", "offset": [3388, 3419]}, {"key": "loss-information", "type": "clause", "offset": [3461, 3477]}, {"key": "the-period", "type": "clause", "offset": [3482, 3492]}, {"key": "changes-in", "type": "clause", "offset": [3510, 3520]}, {"key": "uncollectible-accounts", "type": "clause", "offset": [3576, 3598]}, {"key": "material-breaches", "type": "clause", "offset": [3656, 3673]}, {"key": "representations-or-warranties", "type": "clause", "offset": [3688, 3717]}, {"key": "transaction-covenants", "type": 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"other-noteholders", "type": "definition", "offset": [4353, 4370]}, {"key": "exercise-of-rights", "type": "definition", "offset": [4385, 4403]}, {"key": "basic-documents", "type": "definition", "offset": [4420, 4435]}, {"key": "summary-of-the", "type": "clause", "offset": [4447, 4461]}, {"key": "findings-and-conclusions", "type": "definition", "offset": [4462, 4486]}, {"key": "commencement-of", "type": "clause", "offset": [4583, 4598]}, {"key": "participate-in", "type": "definition", "offset": [4656, 4670]}, {"key": "trust-sale-agreement", "type": "definition", "offset": [4727, 4747]}, {"key": "voting-instructions", "type": "clause", "offset": [4759, 4778]}, {"key": "and-procedures", "type": "clause", "offset": [4779, 4793]}, {"key": "any-change", "type": "definition", "offset": [4875, 4885]}, {"key": "as-required-by", "type": "clause", "offset": [4924, 4938]}, {"key": "asset-level", "type": "definition", "offset": [4985, 4996]}, {"key": "the-nature", "type": "clause", "offset": [5082, 5092]}, {"key": "the-seller", "type": "clause", "offset": [5130, 5140]}, {"key": "an-affiliate", "type": "clause", "offset": [5146, 5158]}, {"key": "the-purchase", "type": "clause", "offset": [5204, 5216]}, {"key": "disposition-of", "type": "clause", "offset": [5232, 5246]}, {"key": "pursuant-to-clauses", "type": "clause", "offset": [5297, 5316]}, {"key": "principal-amount-of-the-notes", "type": "clause", "offset": [5424, 5453]}, {"key": "period-of-time", "type": "clause", "offset": [5481, 5495]}, {"key": "reporting-purposes", "type": "clause", "offset": [5504, 5522]}, {"key": "each-calendar-year", "type": "definition", "offset": [5540, 5558]}, {"key": "during-the-term-of-this-agreement", "type": "clause", "offset": [5559, 5592]}, {"key": "the-indenture-trustee-and-the-owner-trustee", "type": "clause", "offset": [5594, 5637]}, {"key": "each-person", "type": "clause", "offset": [5653, 5664]}, {"key": "at-any-time", "type": "clause", "offset": [5669, 5680]}, {"key": "holder-of-notes", "type": "clause", "offset": [5725, 5740]}, {"key": "such-information", "type": "definition", "offset": [5830, 5846]}, {"key": "the-code", "type": "clause", "offset": [5869, 5877]}, {"key": "applicable-treasury-regulations", "type": "definition", "offset": [5882, 5913]}, {"key": "federal-income-tax-returns", "type": "definition", "offset": [5959, 5985]}], "samples": [{"hash": "lQL5iydKg73", "uri": "/contracts/lQL5iydKg73#statements-to-securityholders", "label": "Servicing Agreement", "score": 31.3408622742, "published": true}, {"hash": "aRLsfKwYyKB", "uri": "/contracts/aRLsfKwYyKB#statements-to-securityholders", "label": "Servicing Agreement (Ally Auto Receivables Trust 2019-4)", "score": 30.9411354065, "published": true}, {"hash": "2O9vclZkwBz", "uri": "/contracts/2O9vclZkwBz#statements-to-securityholders", "label": "Servicing Agreement (Ally Auto Receivables Trust 2019-4)", "score": 30.9274463654, "published": true}], "size": 434, "snippet": "(a) On each Distribution Date, the Owner Trustee shall (except as otherwise provided in the Trust Agreement) deliver to each Certificateholder, and the Indenture Trustee shall include with each distribution to each Noteholder, a statement (which statement shall also be provided by the Servicer to the Rating Agencies) prepared by the Servicer based on information in the Servicer\u2019s Accounting furnished pursuant to Section 2.09. Each such statement to be delivered to Certificateholders and Noteholders, respectively, shall comply with Regulation AB and set forth the following information concerning the Certificates or the Notes, as appropriate, with respect to such Distribution Date or the preceding Monthly Period:\n(i) the amount of such distribution allocable to principal of each class of the Notes;\n(ii) the amount of the distribution, if any, allocable to interest on or with respect to each class of Notes;\n(iii) [Reserved];\n(iv) the Aggregate Receivables Principal Balance as of the close of business on the last day of such Monthly Period, the Aggregate Receivables Principal Balance as of the close of business on the last day of the second Monthly Period preceding such Distribution Date (or, for the first Distribution Date, the Initial Aggregate Receivables Principal Balance) and the Principal Distributable Amount for such Distribution Date;\n(v) the Note Principal Balance for each class of Notes and the Aggregate Note Principal Balance, and the Note Pool Factor for each class of Notes, each as of such Distribution Date after giving effect to all payments described under clause (i) above;\n(vi) the amount of the Class A Interest Carryover Shortfall, the Class B Interest Carryover Shortfall, the Class C Interest Carryover Shortfall and the Class D Interest Carryover Shortfall, if any, and the change in each of such amounts from the preceding Distribution Date;\n(vii) the amount of such distribution allocable to the Certificateholders;\n(viii) any amounts paid to the Indenture Trustee, the Owner Trustee, the Asset Representations Reviewer or the Administrator incurred pursuant to the Indenture, the Trust Agreement, this Servicing Agreement, the Asset Representations Review Agreement or the Administration Agreement, respectively, paid pursuant to Section 4.06(c);\n(ix) the amount of the Basic Servicing Fee paid to the Servicer with respect to the related Monthly Period;\n(x) the amount, if any, and purpose of any other fees or expenses accrued or paid;\n(xi) the amount, if any, distributed to Noteholders from amounts on deposit in the Reserve Account;\n(xii) the amount, if any, of excess cash distributed from the Reserve Account to the Certificateholders (or if the Certificate Distribution Account has been established pursuant to Section 5.1 of the Trust Agreement, then to such Certificate Distribution Account for distribution to the Certificateholders on a pro rata basis);\n(xiii) the balance of the Reserve Account on such Distribution Date (after giving effect to changes therein on such Distribution Date);\n(xiv) [Reserved];\n(xv) cash flows received during the related Monthly Period and their sources;\n(xvi) the number and dollar amount of Receivables at the beginning and end of the applicable Monthly Period, and updated pool composition information as of the end of the Monthly Period, such as weighted average coupon, weighted average life, weighted average remaining term, and prepayments;\n(xvii) delinquency and loss information for the period and any material changes in determining or defining delinquencies, charge-offs and uncollectible accounts;\n(xviii) the amount of receivables with respect to which material breaches of pool asset representations or warranties or transaction covenants have occurred;\n(xix) any material modifications, extensions or waivers relating to the terms of or fees, penalties or payments on, pool assets during the distribution period or that, cumulatively, have become material over time;\n(xx) the outstanding notional amount of the Certificates to the extent the Certificates are held by Persons other than Ally Bank or its Affiliates;\n(xxi) whether a Delinquency Trigger has been met or exceeded;\n(xxii) the name and contact information of a Verified Note Owner or a Noteholder that has informed the Indenture Trustee or the Servicer of its desire to communicate with other Noteholders regarding the exercise of rights pursuant to the Basic Documents;\n(xxiii) a summary of the findings and conclusions of any Asset Representations Review conducted by the Asset Representations Reviewer;\n(xxiv) the commencement of an Arbitration and instructions for other Noteholders to participate in such Arbitration pursuant to Section 2.04(c)(iv) of the Trust Sale Agreement;\n(xxv) any voting instructions and procedures pursuant to Section 5.17(b) of the Indenture;\n(xxvi) information with respect to any change in the Asset Representations Reviewer as required by Item 1121(d)(2) of Regulation AB;\n(xxvii) any asset level information as required by Item 1111(h) and Item 1125 of Regulation AB; and\n(xxviii) the nature and amount of any material change in the Seller\u2019s or an Affiliate\u2019s interest in the Notes or Certificates from the purchase, sale or other disposition of such Notes or Certificates. Each amount set forth pursuant to clauses (i), (ii), (vi), (xi), (xii), and (xiii) above shall be expressed as a dollar amount per $1,000 of initial principal amount of the Notes.\n(b) Within the prescribed period of time for tax reporting purposes after the end of each calendar year during the term of this Agreement, the Indenture Trustee and the Owner Trustee shall mail, to each Person who at any time during such calendar year shall have been a holder of Notes or Certificates, respectively, and received any payments thereon, a statement containing such information as may be required by the Code and applicable Treasury Regulations to enable such securityholder to prepare its federal income tax returns.", "hash": "1db995415fd6c6a9a01b5e3a0aa8bbfd", "id": 1}, {"snippet_links": [{"key": "to-the-trustee", "type": "clause", "offset": [65, 79]}, {"key": "the-owner-trustee", "type": "definition", "offset": [84, 101]}, {"key": "with-a-copy-to", "type": "clause", "offset": [103, 117]}, {"key": "rating-agencies", "type": "definition", "offset": [122, 137]}, {"key": "of-record", "type": "definition", "offset": [211, 220]}, {"key": "in-the-case", "type": "clause", "offset": [222, 233]}, {"key": "pursuant-to-section", "type": "definition", "offset": [250, 269]}, {"key": "the-statement", "type": "clause", "offset": [278, 291]}, {"key": "by-the-servicer", "type": "clause", "offset": [315, 330]}, {"key": "exhibit-e", "type": "definition", "offset": [376, 385]}, {"key": "principal-of", "type": "definition", "offset": [485, 497]}, {"key": "class-of-notes", "type": "definition", "offset": [503, 517]}, {"key": "interest-on", "type": "definition", "offset": [569, 580]}, {"key": "with-respect-to", "type": "clause", "offset": [584, 599]}, {"key": "the-pool-balance", "type": "clause", "offset": [627, 643]}, {"key": "close-of-business", "type": "clause", "offset": [654, 671]}, {"key": "day-of", "type": "clause", "offset": [684, 690]}, {"key": "collection-period", "type": "clause", "offset": [703, 720]}, {"key": "note-balance", "type": "clause", "offset": [731, 743]}, {"key": "after-giving", "type": "clause", "offset": [768, 780]}, {"key": "allocated-to", "type": "definition", "offset": [800, 812]}, {"key": "under-clause", "type": "clause", "offset": [832, 844]}, {"key": "fee-paid", "type": "definition", "offset": [888, 896]}, {"key": "change-in", "type": "definition", "offset": [1012, 1021]}, {"key": "prior-payment", "type": "clause", "offset": [1043, 1056]}, {"key": "fees-paid", "type": "clause", "offset": [1123, 1132]}, {"key": "the-backup-servicer", "type": "clause", "offset": [1136, 1155]}, {"key": "backup-servicing-fees", "type": "definition", "offset": [1283, 1304]}, {"key": "the-noteholders", "type": "clause", "offset": [1392, 1407]}, {"key": "interest-carryover-shortfall", "type": "definition", "offset": [1409, 1437]}, {"key": "the-series", "type": "clause", "offset": [1541, 1551]}, {"key": "aggregate-amount", "type": "clause", "offset": [1606, 1622]}, {"key": "specified-spread-account-requisite-amount", "type": "definition", "offset": [1728, 1769]}, {"key": "number-of-receivables", "type": "clause", "offset": [1801, 1822]}, {"key": "net-balance", "type": "definition", "offset": [1841, 1852]}, {"key": "related-obligors", "type": "definition", "offset": [1875, 1891]}, {"key": "payments-for", "type": "clause", "offset": [1938, 1950]}, {"key": "days-or-more", "type": "clause", "offset": [2000, 2012]}, {"key": "purchase-amounts", "type": "clause", "offset": [2048, 2064]}, {"key": "summary-information", "type": "clause", "offset": [2168, 2187]}, {"key": "as-to-losses", "type": "clause", "offset": [2188, 2200]}, {"key": "principal-balance", "type": "definition", "offset": [2263, 2280]}, {"key": "liquidated-receivables", "type": "definition", "offset": [2317, 2339]}, {"key": "the-cumulative", "type": "clause", "offset": [2405, 2419]}, {"key": "period-from", "type": "definition", "offset": [2528, 2539]}, {"key": "cutoff-date", "type": "definition", "offset": [2544, 2555]}, {"key": "due-and-owing", "type": "definition", "offset": [2650, 2663]}, {"key": "agreement-to", "type": "definition", "offset": [2702, 2714]}, {"key": "the-state-of-texas", "type": "clause", "offset": [2739, 2757]}, {"key": "prior-to-the", "type": "clause", "offset": [2764, 2776]}, {"key": "related-payment-date", "type": "definition", "offset": [2777, 2797]}, {"key": "extension-ratio", "type": "definition", "offset": [2880, 2895]}, {"key": "cumulative-net-loss-rate", "type": "definition", "offset": [2901, 2925]}, {"key": "rolling-average-delinquency-ratio", "type": "definition", "offset": [2969, 3002]}, {"key": "sale-amount", "type": "definition", "offset": [3024, 3035]}, {"key": "sold-receivables", "type": "definition", "offset": [3052, 3068]}, {"key": "during-the-funding-period", "type": "clause", "offset": [3144, 3169]}, {"key": "the-pre", "type": "clause", "offset": [3171, 3178]}, {"key": "funded-amount", "type": "definition", "offset": [3179, 3192]}, {"key": "mandatory-redemption-date", "type": "definition", "offset": [3275, 3300]}, {"key": "to-fund", "type": "definition", "offset": [3366, 3373]}, {"key": "purchase-of", "type": "clause", "offset": [3378, 3389]}, {"key": "subsequent-receivables", "type": "definition", "offset": [3390, 3412]}, {"key": "days-after", "type": "definition", "offset": [3428, 3438]}, {"key": "each-calendar-year", "type": "definition", "offset": [3450, 3468]}, {"key": "deliver-to", "type": "definition", "offset": [3489, 3499]}, {"key": "in-respect-of", "type": "clause", "offset": [3591, 3604]}, {"key": "trustee-shall", "type": "definition", "offset": [3651, 3664]}, {"key": "a-copy-of", "type": "clause", "offset": [3670, 3679]}, {"key": "each-person", "type": "clause", "offset": [3698, 3709]}, {"key": "at-any-time", "type": "clause", "offset": [3714, 3725]}, {"key": "the-securities", "type": "clause", "offset": [3844, 3858]}, {"key": "available-to", "type": "definition", "offset": [3885, 3897]}, {"key": "internet-website", "type": "clause", "offset": [3937, 3953]}, {"key": "of-the-seller", "type": "clause", "offset": [4029, 4042]}, {"key": "other-information-regarding-the-notes", "type": "clause", "offset": [4049, 4086]}, {"key": "by-the-trustee", "type": "clause", "offset": [4198, 4212]}, {"key": "no-representation-or-warranties", "type": "clause", "offset": [4236, 4267]}, {"key": "accuracy-or-completeness", "type": "clause", "offset": [4278, 4302]}, {"key": "no-responsibility", "type": "clause", "offset": [4337, 4354]}, {"key": "from-time-to-time", "type": "clause", "offset": [4506, 4523]}, {"key": "in-writing", "type": "clause", "offset": [4524, 4534]}, {"key": "in-connection-with", "type": "clause", "offset": [4559, 4577]}, {"key": "access-to-the", "type": "clause", "offset": [4588, 4601]}, {"key": "acceptance-of-a", "type": "clause", "offset": [4675, 4690]}, {"key": "dissemination-of-information", "type": "clause", "offset": [4743, 4771]}, {"key": "in-accordance-with", "type": "definition", "offset": [4772, 4790]}, {"key": "this-agreement", "type": "clause", "offset": [4791, 4805]}, {"key": "at-the-time", "type": "definition", "offset": [4852, 4863]}, {"key": "required-by", "type": "definition", "offset": [4882, 4893]}, {"key": "applicable-treasury-regulations", "type": "definition", "offset": [4894, 4925]}, {"key": "further-distribution", "type": "clause", "offset": [4931, 4951]}, {"key": "to-the-extent", "type": "clause", "offset": [4973, 4986]}, {"key": "original-issue-discount", "type": "definition", "offset": [5065, 5088]}, {"key": "class-c-notes", "type": "definition", "offset": [5106, 5119]}, {"key": "class-d-notes", "type": "definition", "offset": [5128, 5141]}], "samples": [{"hash": "3wNR7PlePOa", "uri": "/contracts/3wNR7PlePOa#statements-to-securityholders", "label": "Sale and Servicing Agreement (Consumer Portfolio Services Inc)", "score": 23.4832305908, "published": true}], "size": 86, "snippet": "(a) On or prior to each Payment Date, the Servicer shall provide to the Trustee and the Owner Trustee (with a copy to the Rating Agencies) for the Trustee and the Owner Trustee to forward to each Securityholder of record (in the case of the Trustee, pursuant to Section 5.8(b)) the statement or statements provided by the Servicer in substantially the form attached hereto as Exhibit E setting forth at least the following information:\n(i) the amount of any distributions allocable to principal of each Class of Notes;\n(ii) the amount of such distribution allocable to interest on or with respect to each Class of Notes;\n(iii) the Pool Balance as of the close of business on the last day of the related Collection Period;\n(iv) the Note Balance for each Class of Notes after giving effect to payments allocated to principal reported under clause (i) above;\n(v) the amount of the Servicing Fee paid to the Servicer with respect to the related Collection Period, and the amount of any unpaid Servicing Fees and the change in such amount from the prior Payment Date;\n(vi) the amount of the Backup Servicing Fee and the Trustee Fees paid to the Backup Servicer, the Trustee and the Owner Trustee, as applicable, with respect to the related Collection Period, and the amount of any unpaid Backup Servicing Fees and Trustee Fees and the change in all such amounts from the prior Payment Date;\n(vii) the Noteholders\u2019 Interest Carryover Shortfall for each Class of Notes for such Payment Date;\n(viii) the amount, if any, paid to the Noteholders from the Series 2012-B Spread Account for such Payment Date;\n(ix) the aggregate amount in the Series 2012-B Spread Account and the change in such amount from the previous Payment Date and the Specified Spread Account Requisite Amount for such Payment Date;\n(x) the number of Receivables and the aggregate net balance thereon for which the related Obligors are delinquent in making Scheduled Receivable Payments for (a) 31 to 60 days, (b) 61 to 90 days, and (c) 91 days or more;\n(xi) the number and the aggregate Purchase Amounts for Receivables purchased by CPS or purchased by the Servicer during the related Collection Period and summary information as to losses and delinquencies with respect to such Receivables;\n(xii) the Principal Balance of all Receivables that have become Liquidated Receivables, net of Recoveries, during the related Collection Period;\n(xiii) the cumulative Principal Balance of all Receivables that have become Liquidated Receivables, net of Recoveries, during the period from the Cutoff Date to the last day of the related Collection Period;\n(xiv) the amount of any Texas Franchise Tax due and owing by CPS under the Receivables Purchase Agreement to the taxing authority of the State of Texas on or prior to the related Payment Date or paid by CPS since the prior Payment Date;\n(xv) the Three-Month Rolling Average Extension Ratio, the Cumulative Net Loss Rate, the Delinquency Ratio and the Three-Month Rolling Average Delinquency Ratio;\n(xvi) the aggregate Sale Amount with respect to Sold Receivables, if any, during the related Collection Period;\n(xvii) for any Payment Date during the Funding Period, the Pre-Funded Amount and the change in such amount from the previous Payment Date; and\n(xviii) for the Mandatory Redemption Date, the amount of any remaining Pre-Funded Amount that was not used to fund the purchase of Subsequent Receivables.\n(b) Within 60 days after the end of each calendar year, the Servicer shall deliver to the Trustee a statement setting forth the amounts paid during such preceding calendar year in respect of paragraphs (i), (ii), (v) and (vi) above. The Trustee shall mail a copy of such statement to each person who at any time during such preceding calendar year shall have been a Securityholder of record and received any payment in respect of the Securities.\n(c) The Trustee may make available to the Securityholders, via the Trustee\u2019s Internet Website, all statements described herein and, with the consent or at the direction of the Seller, such other information regarding the Notes and/or the Receivables as the Trustee may have in its possession, but only with the use of a password provided by the Trustee. The Trustee will make no representation or warranties as to the accuracy or completeness of such documents and will assume no responsibility therefor. The Trustee\u2019s Internet Website shall be initially located at \u201cw\u2587\u2587.\u2587\u2587\u2587\u2587\u2587\u2587\u2587.\u2587\u2587\u2587\u201d or at such other address as shall be specified by the Trustee from time to time in writing to the Securityholders. In connection with providing access to the Trustee\u2019s Internet Website, the Trustee may require registration and the acceptance of a disclaimer. The Trustee shall not be liable for the dissemination of information in accordance with this Agreement.\n(d) The Servicer will supply to the Trustee, at the time and in the manner required by applicable Treasury Regulations, for further distribution to such Persons, and to the extent, required by applicable Treasury Regulations information with respect to any \u201coriginal issue discount\u201d accruing on the Class C Notes and the Class D Notes.", "hash": "1dcde4ebbcccecfe2a7e4642b356b30e", "id": 2}, {"snippet_links": [{"key": "business-day", "type": "definition", "offset": [24, 36]}, {"key": "prior-to", "type": "definition", "offset": [37, 45]}, {"key": "payment-date", "type": "clause", "offset": [51, 63]}, {"key": "provide-to", "type": "clause", "offset": [84, 94]}, {"key": "the-indenture-trustee", "type": "clause", "offset": [95, 116]}, {"key": "with-a-copy-to", "type": "clause", "offset": [118, 132]}, {"key": "rating-agency", "type": "definition", "offset": [138, 151]}, {"key": "available-to", "type": "definition", "offset": [187, 199]}, {"key": "of-record", "type": "definition", "offset": [216, 225]}, {"key": "most-recent", "type": "definition", "offset": [236, 247]}, {"key": "record-date", "type": "clause", "offset": [248, 259]}, {"key": "the-owner-trustee", "type": "definition", "offset": [267, 284]}, {"key": "form-of", "type": "definition", "offset": [421, 428]}, {"key": "by-the-servicer", "type": "clause", "offset": [480, 495]}, {"key": "a-noteholder", "type": "definition", "offset": [499, 511]}, {"key": "to-maintain", "type": "clause", "offset": [552, 563]}, {"key": "relating-to", "type": "definition", "offset": [584, 595]}, {"key": "to-provide", "type": "definition", "offset": [710, 720]}, {"key": "without-limitation", "type": "clause", "offset": [752, 770]}, {"key": "all-information", "type": "clause", "offset": [772, 787]}, {"key": "state-income-tax-returns", "type": "clause", "offset": [871, 895]}, {"key": "alternative-format", "type": "definition", "offset": [976, 994]}, {"key": "internet-web-site", "type": "definition", "offset": [1005, 1022]}, {"key": "in-connection-with", "type": "clause", "offset": [1069, 1087]}, {"key": "access-to-the", "type": "clause", "offset": [1098, 1111]}, {"key": "acceptance-of", "type": "definition", "offset": [1196, 1209]}, {"key": "certain-terms-and-conditions", "type": "clause", "offset": [1210, 1238]}, {"key": "trustee-shall", "type": "definition", "offset": [1254, 1267]}, {"key": "right-to-change", "type": "clause", "offset": [1277, 1292]}, {"key": "in-order-to", "type": "clause", "offset": [1333, 1344]}, {"key": "notification-to-the-noteholders", "type": "clause", "offset": [1489, 1520]}, {"key": "copies-of", "type": "definition", "offset": [1610, 1619]}, {"key": "written-request", "type": "clause", "offset": [1684, 1699]}], "samples": [{"hash": "cm7cWhXHMm5", "uri": "/contracts/cm7cWhXHMm5#statements-to-securityholders", "label": "Sale and Servicing Agreement (Hyundai Auto Receivables Trust 2026-A)", "score": 37.1314163208, "published": true}, {"hash": "4XPjEmrsM2U", "uri": "/contracts/4XPjEmrsM2U#statements-to-securityholders", "label": "Sale and Servicing Agreement (Hyundai Auto Receivables Trust 2026-A)", "score": 37.1149902344, "published": true}, {"hash": "cwido0lxrIT", "uri": "/contracts/cwido0lxrIT#statements-to-securityholders", "label": "Sale and Servicing Agreement (Hyundai Auto Receivables Trust 2025-D)", "score": 36.8631057739, "published": true}], "size": 81, "snippet": "On or before the second Business Day prior to each Payment Date, the Servicer shall provide to the Indenture Trustee (with a copy to each Rating Agency) for the Indenture Trustee to make available to each Noteholder of record as of the most recent Record Date and to the Owner Trustee for the Owner Trustee to forward to each Certificateholder of record as of the most recent Record Date a statement substantially in the form of Exhibit A. No disbursements shall be made directly by the Servicer to a Noteholder, and the Servicer shall not be required to maintain any investor record relating to the posting of disbursements or otherwise. The Indenture Trustee may make any such statement which it is required to provide to the Noteholders, including, without limitation, all information as may be required to enable each Noteholder to prepare its respective federal and state income tax returns (and, at its option, any additional files containing the same information in an alternative format), via its internet web site (initially located at w\u2587\u2587.\u2587\u2587.\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587.\u2587\u2587\u2587). In connection with providing access to the Indenture Trustee\u2019s website, the Indenture Trustee may require registration and the acceptance of certain terms and conditions. The Indenture Trustee shall have the right to change the way such statements are distributed in order to make such distributions more convenient and/or more accessible to the above parties and the Indenture Trustee shall provide timely and adequate notification to the Noteholders regarding any such changes; provided, however, that the Indenture Trustee will also mail copies of any such statements to any requesting Noteholder who provides a written request.", "hash": "e0cd7e1ce55a444c8c1f422bc67680f2", "id": 3}, {"snippet_links": [{"key": "period-of-time", "type": "clause", "offset": [22, 36]}, {"key": "reporting-purposes", "type": "clause", "offset": [45, 63]}, {"key": "each-calendar-year", "type": "definition", "offset": [81, 99]}, {"key": "the-issuer", "type": "definition", "offset": [119, 129]}, {"key": "latest-date", "type": "definition", "offset": [154, 165]}, {"key": "permitted-by-law", "type": "clause", "offset": [166, 182]}, {"key": "mail-to", "type": "definition", "offset": [225, 232]}, {"key": "each-person", "type": "clause", "offset": [233, 244]}, {"key": "at-any-time", "type": "clause", "offset": [249, 260]}, {"key": "by-the-servicer", "type": "clause", "offset": [343, 358]}, {"key": "certain-information", "type": "clause", "offset": [371, 390]}, {"key": "in-the-event", "type": "clause", "offset": [418, 430]}, {"key": "a-portion", "type": "definition", "offset": [483, 492]}, {"key": "applicable-portion", "type": "definition", "offset": [524, 542]}, {"key": "for-the-purposes-of", "type": "clause", "offset": [557, 576]}, {"key": "preparation-of", "type": "clause", "offset": [599, 613]}, {"key": "federal-income-tax-returns", "type": "definition", "offset": [614, 640]}, {"key": "in-addition", "type": "clause", "offset": [642, 653]}, {"key": "furnish-to", "type": "clause", "offset": [674, 684]}, {"key": "the-trustees", "type": "clause", "offset": [685, 697]}, {"key": "for-distribution", "type": "clause", "offset": [698, 714]}, {"key": "other-information", "type": "clause", "offset": [748, 765]}, {"key": "applicable-law", "type": "definition", "offset": [782, 796]}], "samples": [{"hash": "hx9DojeoKxa", "uri": "/contracts/hx9DojeoKxa#statements-to-securityholders", "label": "Servicing Supplement (Mercedes-Benz Auto Lease Trust 2025-B)", "score": 36.8056144714, "published": true}, {"hash": "129QSJXoAiS", "uri": "/contracts/129QSJXoAiS#statements-to-securityholders", "label": "Servicing Supplement (Mercedes-Benz Auto Lease Trust 2025-B)", "score": 36.8001365662, "published": true}, {"hash": "kbkXloYKR2Q", "uri": "/contracts/kbkXloYKR2Q#statements-to-securityholders", "label": "Servicing Supplement (Mercedes-Benz Vehicle Trust)", "score": 36.5318260193, "published": true}], "size": 62, "snippet": "Within the prescribed period of time for tax reporting purposes after the end of each calendar year during the term of the Issuer, but not later than the latest date permitted by law, the Servicer shall cause each Trustee to mail to each Person who at any time during such calendar year shall have been a Securityholder, a statement, prepared by the Servicer, containing certain information for such calendar year or, in the event such Person shall have been a Securityholder during a portion of such calendar year, for the applicable portion of such year, for the purposes of such Securityholder\u2019s preparation of federal income tax returns. In addition, the Servicer shall furnish to the Trustees for distribution to such Person at such time such other information necessary under Applicable Law for the preparation of such income tax returns.", "hash": "387f13b271f06d0789f4f592ddea8a5c", "id": 4}, {"snippet_links": [{"key": "payment-date", "type": "clause", "offset": [12, 24]}, {"key": "provide-to", "type": "clause", "offset": [45, 55]}, {"key": "the-owner-trustee", "type": "definition", "offset": [56, 73]}, {"key": "furnish-to", "type": "clause", "offset": [77, 87]}, {"key": "of-record", "type": "definition", "offset": [111, 120]}, {"key": "the-indenture-trustee", "type": "clause", "offset": [128, 149]}, {"key": "available-to", "type": "definition", "offset": [158, 170]}, {"key": "pursuant-to-section", "type": "definition", "offset": [294, 313]}, {"key": "period-of-time", "type": "clause", "offset": [353, 367]}, {"key": "reporting-purposes", "type": "clause", "offset": [376, 394]}, {"key": "each-calendar-year", "type": "definition", "offset": [412, 430]}, {"key": "the-issuer", "type": "definition", "offset": [450, 460]}, {"key": "latest-date", "type": "definition", "offset": [485, 496]}, {"key": "permitted-by-law", "type": "clause", "offset": [497, 513]}, {"key": "trustee-shall", "type": "definition", "offset": [527, 540]}, {"key": "written-request", "type": "clause", "offset": [547, 562]}, {"key": "mail-to", "type": "definition", "offset": [564, 571]}, {"key": "each-person", "type": "clause", "offset": [572, 583]}, {"key": "at-any-time", "type": "clause", "offset": [588, 599]}, {"key": "by-the-servicer", "type": "clause", "offset": [682, 697]}, {"key": "certain-information", "type": "clause", "offset": [710, 729]}, {"key": "in-the-event", "type": "clause", "offset": [757, 769]}, {"key": "a-portion", "type": "definition", "offset": [822, 831]}, {"key": "applicable-portion", "type": "definition", "offset": [863, 881]}, {"key": "for-the-purposes-of", "type": "clause", "offset": [896, 915]}, {"key": "preparation-of", "type": "clause", "offset": [938, 952]}, {"key": "federal-income-tax-returns", "type": "definition", "offset": [958, 984]}, {"key": "in-addition", "type": "clause", "offset": [986, 997]}, {"key": "the-trustees", "type": "clause", "offset": [1029, 1041]}, {"key": "for-distribution", "type": "clause", "offset": [1042, 1058]}, {"key": "other-information", "type": "clause", "offset": [1091, 1108]}, {"key": "applicable-law", "type": "definition", "offset": [1125, 1139]}], "samples": [{"hash": "iUujA1CvPVd", "uri": "/contracts/iUujA1CvPVd#statements-to-securityholders", "label": "Sale and Servicing Agreement (Honda Auto Receivables 2024-2 Owner Trust)", "score": 35.3846664429, "published": true}, {"hash": "lXux7tlmwMx", "uri": "/contracts/lXux7tlmwMx#statements-to-securityholders", "label": "Sale and Servicing Agreement (Honda Auto Receivables 2024-2 Owner Trust)", "score": 35.3709793091, "published": true}, {"hash": "79hZTqJHMnq", "uri": "/contracts/79hZTqJHMnq#statements-to-securityholders", "label": "Sale and Servicing Agreement (Honda Auto Receivables 2023-4 Owner Trust)", "score": 34.8507881165, "published": true}], "size": 56, "snippet": "(a) On each Payment Date, the Servicer shall provide to the Owner Trustee to furnish to each Certificateholder of record and to the Indenture Trustee to make available to each Noteholder of record (by posting on its website at h\u2587\u2587\u2587\u2587://\u2587\u2587\u2587.\u2587\u2587\u2587\u2587\u2587.\u2587\u2587\u2587\u2587\u2587\u2587.\u2587\u2587\u2587) the Servicer\u2019s Certificate furnished pursuant to Section 3.10 hereof.\n(b) Within the prescribed period of time for tax reporting purposes after the end of each calendar year during the term of the Issuer, but not later than the latest date permitted by law, the related Trustee shall, upon written request, mail to each Person who at any time during such calendar year shall have been a Securityholder, a statement, prepared by the Servicer, containing certain information for such calendar year or, in the event such Person shall have been a Securityholder during a portion of such calendar year, for the applicable portion of such year, for the purposes of such Securityholder\u2019s preparation of U.S. federal income tax returns. In addition, the Servicer shall furnish to the Trustees for distribution to such Person at such time any other information necessary under applicable law for the preparation of such income tax returns.", "hash": "1a2f992ad37e198b0da1b4316e5e0232", "id": 5}, {"snippet_links": [{"key": "with-respect-to", "type": "clause", "offset": [4, 19]}, {"key": "business-day", "type": "definition", "offset": [46, 58]}, {"key": "following-the", "type": "definition", "offset": [59, 72]}, {"key": "determination-date", "type": "clause", "offset": [81, 99]}, {"key": "the-master-servicer", "type": "definition", "offset": [101, 120]}, {"key": "the-indenture-trustee", "type": "clause", "offset": [138, 159]}, {"key": "pursuant-to-section", "type": "definition", "offset": [186, 205]}, {"key": "by-mail", "type": "definition", "offset": [267, 274]}, {"key": "made-available", "type": "clause", "offset": [278, 292]}, {"key": "the-credit-enhancer", "type": "clause", "offset": [392, 411]}, {"key": "the-depositor", "type": "definition", "offset": [413, 426]}, {"key": "the-owner-trustee", "type": "definition", "offset": [428, 445]}, {"key": "certificate-paying-agent", "type": "definition", "offset": [451, 475]}, {"key": "servicing-certificate", "type": "clause", "offset": [558, 579]}, {"key": "notes-and-certificates", "type": "clause", "offset": [592, 614]}, {"key": "to-the-extent", "type": "clause", "offset": [616, 629]}, {"key": "loan-group-ii", "type": "definition", "offset": [675, 688]}, {"key": "aggregate-amount", "type": "clause", "offset": [694, 710]}, {"key": "interest-collections", "type": "definition", "offset": [718, 738]}, {"key": "principal-collections", "type": "definition", "offset": [744, 765]}, {"key": "substitution-adjustment-amounts", "type": "clause", "offset": [774, 805]}, {"key": "amount-paid", "type": "definition", "offset": [843, 854]}, {"key": "as-principal", "type": "clause", "offset": [855, 867]}, {"key": "the-noteholders", "type": "clause", "offset": [871, 886]}, {"key": "class-of-notes", "type": "definition", "offset": [895, 909]}, {"key": "in-respect-of", "type": "clause", "offset": [1071, 1084]}, {"key": "prepayment-interest-shortfalls", "type": "clause", "offset": [1085, 1115]}, {"key": "relief-act-shortfalls", "type": "clause", "offset": [1117, 1138]}, {"key": "group-i-net-wac-cap-shortfalls", "type": "definition", "offset": [1140, 1170]}, {"key": "group-ii-net-wac-cap", "type": "definition", "offset": [1174, 1194]}, {"key": "interest-distribution-amount", "type": "definition", "offset": [1278, 1306]}, {"key": "class-i-notes", "type": "definition", "offset": [1351, 1364]}, {"key": "class-ii-notes", "type": "definition", "offset": [1369, 1383]}, {"key": "after-giving", "type": "clause", "offset": [1385, 1397]}, {"key": "payments-made", "type": "clause", "offset": [1412, 1425]}, {"key": "group-i-policy", "type": "definition", "offset": [1499, 1513]}, {"key": "policy-for", "type": "definition", "offset": [1530, 1540]}, {"key": "the-policies", "type": "clause", "offset": [1678, 1690]}, {"key": "principal-and-interest", "type": "clause", "offset": [1796, 1818]}, {"key": "the-certificates", "type": "definition", "offset": [1848, 1864]}, {"key": "reduction-of", "type": "clause", "offset": [1925, 1937]}, {"key": "home-equity-loans", "type": "definition", "offset": [2017, 2034]}, {"key": "each-loan", "type": "clause", "offset": [2038, 2047]}, {"key": "additional-balances", "type": "definition", "offset": [2133, 2152]}, {"key": "group-ii-loans", "type": "definition", "offset": [2160, 2174]}, {"key": "loan-balances", "type": "definition", "offset": [2318, 2331]}, {"key": "minimum-monthly-payment", "type": "clause", "offset": [2373, 2396]}, {"key": "each-case", "type": "definition", "offset": [2530, 2539]}, {"key": "such-information", "type": "definition", "offset": [2612, 2628]}, {"key": "relating-to", "type": "definition", "offset": [2668, 2679]}, {"key": "first-payment-date", "type": "definition", "offset": [2684, 2702]}, {"key": "note-rate", "type": "clause", "offset": [2713, 2722]}, {"key": "group-i-net-wac-rate", "type": "definition", "offset": [2779, 2799]}, {"key": "group-ii-net-wac-rate", "type": "definition", "offset": [2808, 2829]}, {"key": "liquidation-loss-amounts", "type": "definition", "offset": [2929, 2953]}, {"key": "distribution-amounts", "type": "definition", "offset": [3036, 3056]}, {"key": "collection-periods", "type": "clause", "offset": [3143, 3161]}, {"key": "a-percentage", "type": "definition", "offset": [3198, 3210]}, {"key": "aggregate-cut", "type": "definition", "offset": [3218, 3231]}, {"key": "aggregate-excess-loss", "type": "definition", "offset": [3286, 3307]}, {"key": "group-i-loans", "type": "definition", "offset": [3336, 3349]}, {"key": "the-excess", "type": "clause", "offset": [3440, 3450]}, {"key": "special-hazard-losses", "type": "definition", "offset": [3599, 3620]}, {"key": "fraud-losses", "type": "clause", "offset": [3622, 3634]}, {"key": "bankruptcy-losses", "type": "definition", "offset": [3636, 3653]}, {"key": "caused-by", "type": "clause", "offset": [3665, 3674]}, {"key": "extraordinary-event", "type": "clause", "offset": [3696, 3715]}, {"key": "security-balance", "type": "definition", "offset": [3893, 3909]}, {"key": "related-class", "type": "definition", "offset": [3918, 3931]}, {"key": "certificate-principal-balance", "type": "definition", "offset": [3949, 3978]}, {"key": "related-certificates", "type": "definition", "offset": [3986, 4006]}, {"key": "distribution-of-principal", "type": "clause", "offset": [4034, 4059]}, {"key": "servicing-fees", "type": "clause", "offset": [4102, 4116]}, {"key": "credit-limits", "type": "clause", "offset": [4273, 4286]}, {"key": "group-i-overcollateralization-amount", "type": "definition", "offset": [4362, 4398]}, {"key": "group-ii-overcollateralization-amount", "type": "definition", "offset": [4404, 4441]}, {"key": "undercollateralization-amount", "type": "definition", "offset": [4447, 4476]}, {"key": "special-hazard-amount", "type": "definition", "offset": [4482, 4503]}, {"key": "fraud-loss-amount", "type": "clause", "offset": [4529, 4546]}, {"key": "bankruptcy-loss-amount", "type": "definition", "offset": [4572, 4594]}, {"key": "required-overcollateralization-amount", "type": "definition", "offset": [4628, 4665]}, {"key": "release-agreements", "type": "clause", "offset": [4847, 4865]}, {"key": "entered-into", "type": "clause", "offset": [4894, 4906]}, {"key": "since-the-closing-date", "type": "clause", "offset": [4936, 4958]}, {"key": "aggregate-outstanding-principal-amount", "type": "definition", "offset": [5011, 5049]}, {"key": "the-pool-balance", "type": "clause", "offset": [5106, 5122]}, {"key": "information-provided", "type": "clause", "offset": [5146, 5166]}, {"key": "unsecured-loans", "type": "clause", "offset": [5198, 5213]}, {"key": "aggregate-outstanding-amount", "type": "definition", "offset": [5447, 5475]}, {"key": "in-the-case", "type": "clause", "offset": [5565, 5576]}, {"key": "information-furnished", "type": "clause", "offset": [5580, 5601]}, {"key": "pursuant-to-clauses", "type": "clause", "offset": [5602, 5621]}, {"key": "aggregate-dollar-amount", "type": "definition", "offset": [5681, 5704]}, {"key": "variable-funding-note", "type": "definition", "offset": [5709, 5730]}, {"key": "term-note", "type": "definition", "offset": [5732, 5741]}, {"key": "amortization-event", "type": "clause", "offset": [5807, 5825]}, {"key": "default-shall", "type": "definition", "offset": [5839, 5852]}, {"key": "statement-of", "type": "clause", "offset": [5984, 5996]}, {"key": "nature-of", "type": "clause", "offset": [6024, 6033]}, {"key": "trustee-shall", "type": "definition", "offset": [6094, 6107]}, {"key": "mail-to", "type": "definition", "offset": [6144, 6151]}, {"key": "statement-to-securityholders", "type": "clause", "offset": [6324, 6352]}, {"key": "in-addition", "type": "clause", "offset": [6354, 6365]}, {"key": "other-information", "type": "clause", "offset": [6430, 6447]}, {"key": "requested-by", "type": "definition", "offset": [6459, 6471]}, {"key": "prior-to-the", "type": "clause", "offset": [6569, 6581]}, {"key": "close-of-business", "type": "clause", "offset": [6582, 6599]}, {"key": "written-statement", "type": "clause", "offset": [6697, 6714]}, {"key": "the-custodial-account", "type": "clause", "offset": [6839, 6860]}, {"key": "the-payment-account", "type": "clause", "offset": [6880, 6899]}, {"key": "related-payment-date", "type": "definition", "offset": [6934, 6954]}, {"key": "section-303", "type": "definition", "offset": [6967, 6979]}, {"key": "the-determination", "type": "clause", "offset": [6981, 6998]}, {"key": "all-purposes", "type": "clause", "offset": [7086, 7098]}, {"key": "be-protected", "type": "clause", "offset": [7159, 7171]}, {"key": "independent-check", "type": "clause", "offset": [7209, 7226]}, {"key": "written-request", "type": "clause", "offset": [7275, 7290]}, {"key": "furnish-information", "type": "clause", "offset": [7327, 7346]}, {"key": "by-the-issuer", "type": "clause", "offset": [7368, 7381]}, {"key": "available-to", "type": "definition", "offset": [7401, 7413]}, {"key": "tax-reporting-obligations", "type": "clause", "offset": [7495, 7520]}, {"key": "on-behalf-of", "type": "definition", "offset": [7553, 7565]}, {"key": "of-the-trust", "type": "clause", "offset": [7595, 7607]}, {"key": "reports-required", "type": "clause", "offset": [7669, 7685]}, {"key": "the-exchange-act", "type": "definition", "offset": [7722, 7738]}, {"key": "rules-and-regulations", "type": "definition", "offset": [7748, 7769]}, {"key": "in-connection-with", "type": "clause", "offset": [7800, 7818]}, {"key": "preparation-and-filing", "type": "clause", "offset": [7823, 7845]}, {"key": "provide-to", "type": "clause", "offset": [7907, 7917]}, {"key": "list-of-holders", "type": "definition", "offset": [7944, 7959]}, {"key": "as-shown", "type": "definition", "offset": [7960, 7968]}, {"key": "certificate-register", "type": "clause", "offset": [7976, 7996]}, {"key": "note-register", "type": "clause", "offset": [8005, 8018]}, {"key": "each-calendar-year", "type": "definition", "offset": [8036, 8054]}, {"key": "copies-of-all", "type": "clause", "offset": [8061, 8074]}, {"key": "legal-process", "type": "clause", "offset": [8092, 8105]}, {"key": "other-documents", "type": "definition", "offset": [8114, 8129]}, {"key": "trustee-hereunder", "type": "clause", "offset": [8223, 8240]}, {"key": "received-by", "type": "definition", "offset": [8264, 8275]}, {"key": "notice-of-all", "type": "clause", "offset": [8305, 8318]}, {"key": "knowledge-of", "type": "definition", "offset": [8347, 8359]}, {"key": "responsible-officer", "type": "clause", "offset": [8362, 8381]}, {"key": "a-vote", "type": "definition", "offset": [8431, 8437]}, {"key": "the-holders", "type": "clause", "offset": [8441, 8452]}, {"key": "the-request", "type": "clause", "offset": [8532, 8543]}, {"key": "notice-of-any", "type": "clause", "offset": [8594, 8607]}, {"key": "failure-of-the", "type": "clause", "offset": [8608, 8622]}, {"key": "as-required", "type": "clause", "offset": [8681, 8692]}, {"key": "pursuant-to-this-agreement", "type": "clause", "offset": [8693, 8719]}, {"key": "failure-to-obtain", "type": "clause", "offset": [8961, 8978]}, {"key": "resulting-from-the", "type": "clause", "offset": [8999, 9017]}, {"key": "willful-misconduct", "type": "clause", "offset": [9054, 9072]}, {"key": "form-10", "type": "definition", "offset": [9078, 9085]}, {"key": "this-clause", "type": "clause", "offset": [9133, 9144]}, {"key": "officer-in-charge", "type": "clause", "offset": [9201, 9218]}, {"key": "functions-of-the", "type": "clause", "offset": [9236, 9252]}, {"key": "exhibit-e", "type": "definition", "offset": [9294, 9303]}, {"key": "by-the-commission", "type": "clause", "offset": [9362, 9379]}, {"key": "k-certification", "type": "definition", "offset": [9394, 9409]}, {"key": "compliance-with-rules", "type": "clause", "offset": [9416, 9437]}, {"key": "provide-the", "type": "clause", "offset": [9604, 9615]}, {"key": "attached-hereto-as-exhibit", "type": "definition", "offset": [9687, 9713]}, {"key": "in-accordance-with", "type": "definition", "offset": [9753, 9771]}, {"key": "rating-agency-confirmations", "type": "clause", "offset": [9804, 9831]}, {"key": "required-by", "type": "definition", "offset": [9842, 9853]}, {"key": "consent-of-the", "type": "clause", "offset": [9884, 9898]}], "samples": [{"hash": "7ZLQRog6rP6", "uri": "/contracts/7ZLQRog6rP6#statements-to-securityholders", "label": "Servicing Agreement (Residential Funding Mortgage Sec Ii Inc Hm Eq Ln Tr 2004-Hs1)", "score": 18.0, "published": true}, {"hash": "7QFNR0UMbFe", "uri": "/contracts/7QFNR0UMbFe#statements-to-securityholders", "label": "Servicing Agreement (Home Equity Loan Trust 2004-Hs2)", "score": 18.0, "published": true}], "size": 34, "snippet": "(a) With respect to each Payment Date, on the Business Day following the related Determination Date, the Master Servicer shall forward to the Indenture Trustee and the Indenture Trustee pursuant to Section 3.26 of the Indenture shall forward or cause to be forwarded by mail or made available on its website initially located at \"www.jpmorgam.com/sfr,\" to each \u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587, Noteholder, the Credit Enhancer, the Depositor, the Owner Trustee, the Certificate Paying Agent and each Rating Agency, a statement setting forth the following information (the \"Servicing Certificate\") as to the Notes and Certificates, to the extent applicable:\n(i) for each of Loan Group I and Loan Group II, the aggregate amount of (a) Interest Collections, (b) Principal Collections and (c) Substitution Adjustment Amounts for such Collection Period;\n(ii) the amount paid as principal to the Noteholders of each Class of Notes;\n(iii) for each of Loan Group I and Loan Group II, the amount paid as interest to the Noteholders of each Class of Notes, separately stating the portion thereof in respect of Prepayment Interest Shortfalls, Relief Act Shortfalls, Group I Net WAC Cap Shortfalls or Group II Net WAC Cap Shortfalls, if any;\n(iv) for each of Loan Group I and Loan Group II, the aggregate Interest Distribution Amount remaining unpaid, if any, for each Class of Class I Notes and Class II Notes, after giving effect to the payments made on such Payment Date;\n(v) [Reserved];\n(vi) the amount of any draw on the Group I Policy or the Group II Policy for such Payment Date, the amount paid to the Credit Enhancer in reimbursement for prior draws and the aggregate amount of prior draws under the Policies not yet reimbursed;\n(vii) for each of Loan Group I and Loan Group II, the amount of such distribution as principal and interest to the Certificateholders of the Certificates, separately stating the portion thereof which resulted in a reduction of the Certificate Loan Balance thereof;\n(viii) the aggregate Loan Balance of the Home Equity Loans in each Loan Group as of the end of the preceding Collection Period;\n(ix) the aggregate amount of Additional Balances on the Group II Loans created during the previous Collection Period conveyed to the Issuer;\n(x) for each of Loan Group I and Loan Group II, the number and aggregate Loan Balances of Home Equity Loans (a) as to which the Minimum Monthly Payment is Delinquent for 30-59 days, 60-89 days and 90 or more days, respectively, (b) that are foreclosed and (c) that have become REO, in each case as of the end of the related Collection Period; provided, however, that such information will not be provided on the statements relating to the first Payment Date;\n(xi) the Note Rate for each Class of Class I Notes and Class II Notes, the Group I Net WAC Rate and the Group II Net WAC Rate for the related Collection Period;\n(xii) for each of Loan Group I and Loan Group II, the aggregate Liquidation Loss Amounts with respect to the related Collection Period, the amount of any Liquidation Loss Distribution Amounts with respect to the Notes, and the aggregate of the Liquidation Loss Amounts from all Collection Periods to date expressed as dollars and as a percentage of the aggregate Cut-off Date Loan Balance for such Loan Group;\n(xiii) the aggregate Excess Loss Amounts with respect to the Group I Loans and the Group II Loans with respect to the related Collection Period and the aggregate of the Excess Loss Amounts with respect to the Group I Loans and the Group II Loans from all Collection Periods to date;\n(xiv) for each Loan Group, the aggregate Special Hazard Losses, Fraud Losses, Bankruptcy Losses and losses caused by or resulting from an Extraordinary Event with respect to the related Collection Period and the aggregate of each of such losses from all Collection Periods to date;\n(xv) for each of Loan Group I and Loan Group II, the Security Balance of each related Class of Notes and the Certificate Principal Balance of the related Certificates after giving effect to the distribution of principal on such Payment Date;\n(xvi) the aggregate Servicing Fees for the related Collection Period and the aggregate amount of Draws for the related Collection Period;\n(xvii) the number and amount of any increases in the Credit Limits of the Home Equity Loans during the related Collection Period;\n(xviii) the Group I Overcollateralization Amount, the Group II Overcollateralization Amount, the Undercollateralization Amount, the Special Hazard Amount for each Loan Group, the Fraud Loss Amount for each Loan Group, the Bankruptcy Loss Amount for each Loan Group, the Group I Required Overcollateralization Amount immediately following such Payment Date and the Group II Required Overcollateralization Amount immediately following such Payment Date; and\n(xix) the number and principal amount of release agreements pursuant to Section 3.05(c) entered into during the calendar year and since the Closing Date, stated separately, for the Group II Loans and, the aggregate outstanding principal amount of such release agreements expressed as a percentage of the Pool Balance for Loan Group II with information provided separately with respect to all Unsecured Loans and (2) the number and principal amount of Capitalization Workouts pursuant to Section 3.02(a)(v) entered into during the calendar year and since the Closing Date, stated separately for each of Loan Group I and Loan Group II and the aggregate outstanding amount of the Capitalization Workouts expressed as a percentage of the respective Pool Balance. In the case of information furnished pursuant to clauses (ii) and (iii) above, the amounts shall be expressed as an aggregate dollar amount per Variable Funding Note, Term Note or Certificate, as applicable, with a $1,000 denomination. If an Amortization Event or Servicing Default shall occur, on the Business Day following the related Determination Date, the Master Servicer shall forward to the Indenture Trustee, a statement of such effect, including the nature of such Amortization Event or Servicing Default. The Indenture Trustee shall deliver or cause to be delivered by mail to the Credit Enhancer notice of such Amortization Event or Servicing Default, including, the nature thereof. Such statement may be included in, or separate from, the regular statement to Securityholders. In addition, the Master Servicer shall forward to the Indenture Trustee any other information reasonably requested by the Indenture Trustee necessary to make distributions pursuant to Section 3.05 of the Indenture. Prior to the close of business on the Business Day next succeeding each Determination Date, the Master Servicer shall furnish a written statement to the Certificate Paying Agent and the Indenture Trustee setting forth the aggregate amounts required to be withdrawn from the Custodial Account and deposited into the Payment Account on the Business Day preceding the related Payment Date pursuant to Section 3.03. The determination by the Master Servicer of such amounts shall be presumptively deemed to be correct for all purposes hereunder and the Owner Trustee and Indenture Trustee shall be protected in relying upon the same without any independent check or verification. In addition, upon the Issuer's written request, the Master Servicer shall promptly furnish information reasonably requested by the Issuer that is reasonably available to the Master Servicer to enable the Issuer to perform its federal and state income tax reporting obligations.\n(b) The Master Servicer shall, on behalf of the Depositor and in respect of the Trust, sign and cause to be filed with the Commission any periodic reports required to be filed under the provisions of the Exchange Act, and the rules and regulations of the Commission thereunder. In connection with the preparation and filing of such periodic reports, the Indenture Trustee shall timely provide to the Master Servicer (I) a list of Holders as shown on the Certificate Register and the Note Register as of the end of each calendar year, (II) copies of all pleadings, other legal process and any other documents relating to any claims, charges and complaints involving the Indenture Trustee, as indenture trustee hereunder, or the Trust that are received by the Indenture Trustee, (III) notice of all matters that, to the actual knowledge of a Responsible Officer of the Indenture Trustee, have been submitted to a vote of the Holders, other than those matters that have been submitted to a vote of the Holders at the request of the Depositor or the Master Servicer, and (IV) notice of any failure of the Indenture Trustee to make any distribution to the Holders as required pursuant to this Agreement. Neither the Master Servicer nor the Indenture Trustee shall have any liability with respect to the Master Servicer's failure to properly prepare or file such periodic reports resulting from or relating to the Master Servicer's inability or failure to obtain any information not resulting from the Master Servicer's own negligence or willful misconduct. Any Form 10-K filed with the Commission in connection with this clause (b) shall include a certification, signed by the senior officer in charge of the servicing functions of the Master Servicer, in the form attached as Exhibit E hereto or such other form as may be required or permitted by the Commission (the \"Form 10-K Certification\"), in compliance with Rules 13a-14 and 15d-14 under the Exchange Act and any additional directives of the Commission. In connection with the Form 10-K Certification, the Indenture Trustee shall provide the Master Servicer with a back-up certification substantially in the form attached hereto as Exhibit F. This Section 4.01(b) may be amended in accordance with this Agreement, but without the Rating Agency confirmations otherwise required by Section 8.01, and without the consent of the Holders.", "hash": "d1044c3648f84da6da44a2d2de1f5ec5", "id": 6}, {"snippet_links": [{"key": "period-of-time", "type": "clause", "offset": [22, 36]}, {"key": "reporting-purposes", "type": "clause", "offset": [45, 63]}, {"key": "each-calendar-year", "type": "definition", "offset": [81, 99]}, {"key": "the-issuer", "type": "definition", "offset": [119, 129]}, {"key": "latest-date", "type": "definition", "offset": [154, 165]}, {"key": "applicable-law", "type": "definition", "offset": [179, 193]}, {"key": "available-to", "type": "definition", "offset": [241, 253]}, {"key": "each-person", "type": "clause", "offset": [254, 265]}, {"key": "at-any-time", "type": "clause", "offset": [270, 281]}, {"key": "by-the-servicer", "type": "clause", "offset": [364, 379]}, {"key": "certain-information", "type": "clause", "offset": [392, 411]}, {"key": "in-the-event", "type": "clause", "offset": [439, 451]}, {"key": "a-portion", "type": "definition", "offset": [504, 513]}, {"key": "applicable-portion", "type": "definition", "offset": [545, 563]}, {"key": "for-the-purposes-of", "type": "clause", "offset": [578, 597]}, {"key": "preparation-of", "type": "clause", "offset": [620, 634]}, {"key": "united-states-federal-income-tax-returns", "type": "clause", "offset": [635, 675]}, {"key": "in-addition", "type": "clause", "offset": [677, 688]}, {"key": "furnish-to", "type": "clause", "offset": [709, 719]}, {"key": "the-trustees", "type": "clause", "offset": [720, 732]}, {"key": "for-distribution", "type": "clause", "offset": [733, 749]}, {"key": "other-information", "type": "clause", "offset": [782, 799]}], "samples": [{"hash": "cOmbjo5mxI2", "uri": "/contracts/cOmbjo5mxI2#statements-to-securityholders", "label": "Sale and Servicing Agreement (Mercedes-Benz Auto Receivables Trust 2026-1)", "score": 37.3832991102, "published": true}, {"hash": "dyF19rlvAKF", "uri": "/contracts/dyF19rlvAKF#statements-to-securityholders", "label": "Sale and Servicing Agreement (Mercedes-Benz Auto Receivables Trust 2026-1)", "score": 37.3641357422, "published": true}, {"hash": "1BmpUWeDGK4", "uri": "/contracts/1BmpUWeDGK4#statements-to-securityholders", "label": "Sale and Servicing Agreement (Mercedes-Benz Auto Receivables Trust 2025-1)", "score": 36.0718688965, "published": true}], "size": 29, "snippet": "Within the prescribed period of time for tax reporting purposes after the end of each calendar year during the term of the Issuer, but not later than the latest date permitted by Applicable Law, the Servicer shall cause each Trustee to make available to each Person who at any time during such calendar year shall have been a Securityholder, a statement, prepared by the Servicer, containing certain information for such calendar year or, in the event such Person shall have been a Securityholder during a portion of such calendar year, for the applicable portion of such year, for the purposes of such Securityholder\u2019s preparation of United States federal income tax returns. In addition, the Servicer shall furnish to the Trustees for distribution to such Person at such time any other information necessary under Applicable Law for the preparation of such income tax returns.", "hash": "085ef063b529ea780c63654548d94bec", "id": 7}, {"snippet_links": [{"key": "article-v", "type": "definition", "offset": [3, 12]}, {"key": "distribution-and-payment-accounts", "type": "clause", "offset": [13, 46]}], "samples": [{"hash": "l8lH6xQzZKr", "uri": "/contracts/l8lH6xQzZKr#statements-to-securityholders", "label": "Servicing Agreement (Structured Asset Mortgage Investments Ii Inc)", "score": 18.0, "published": true}, {"hash": "jZSLVNVrH0h", "uri": "/contracts/jZSLVNVrH0h#statements-to-securityholders", "label": "Servicing Agreement (MortgageIT Securities Corp.)", "score": 18.0, "published": true}, {"hash": "jOUGFDzdofB", "uri": "/contracts/jOUGFDzdofB#statements-to-securityholders", "label": "Servicing Agreement (Salomon Brothers Mortgage Securities Vii Inc)", "score": 18.0, "published": true}], "size": 14, "snippet": "18 ARTICLE V Distribution and Payment Accounts", "hash": "d1d7801d580d48e37de901c9ac7224c8", "id": 8}, {"snippet_links": [{"key": "payment-date", "type": "clause", "offset": [12, 24]}, {"key": "provide-to", "type": "clause", "offset": [45, 55]}, {"key": "the-owner-trustee", "type": "definition", "offset": [56, 73]}, {"key": "furnish-to", "type": "clause", "offset": [77, 87]}, {"key": "of-record", "type": "definition", "offset": [111, 120]}, {"key": "the-indenture-trustee", "type": "clause", "offset": [128, 149]}, {"key": "available-to", "type": "definition", "offset": [158, 170]}, {"key": "pursuant-to-section", "type": "definition", "offset": [290, 309]}, {"key": "period-of-time", "type": "clause", "offset": [349, 363]}, {"key": "reporting-purposes", "type": "clause", "offset": [372, 390]}, {"key": "each-calendar-year", "type": "definition", "offset": [408, 426]}, {"key": "the-issuer", "type": "definition", "offset": [446, 456]}, {"key": "latest-date", "type": "definition", "offset": [481, 492]}, {"key": "permitted-by-law", "type": "clause", "offset": [493, 509]}, {"key": "trustee-shall", "type": "definition", "offset": [523, 536]}, {"key": "written-request", "type": "clause", "offset": [543, 558]}, {"key": "mail-to", "type": "definition", "offset": [560, 567]}, {"key": "each-person", "type": "clause", "offset": [568, 579]}, {"key": "at-any-time", "type": "clause", "offset": [584, 595]}, {"key": "by-the-servicer", "type": "clause", "offset": [678, 693]}, {"key": "certain-information", "type": "clause", "offset": [706, 725]}, {"key": "in-the-event", "type": "clause", "offset": [753, 765]}, {"key": "a-portion", "type": "definition", "offset": [818, 827]}, {"key": "applicable-portion", "type": "definition", "offset": [859, 877]}, {"key": "for-the-purposes-of", "type": "clause", "offset": [892, 911]}, {"key": "preparation-of", "type": "clause", "offset": [934, 948]}, {"key": "federal-income-tax-returns", "type": "definition", "offset": [949, 975]}, {"key": "in-addition", "type": "clause", "offset": [977, 988]}, {"key": "the-trustees", "type": "clause", "offset": [1020, 1032]}, {"key": "for-distribution", "type": "clause", "offset": [1033, 1049]}, {"key": "other-information", "type": "clause", "offset": [1082, 1099]}, {"key": "applicable-law", "type": "definition", "offset": [1116, 1130]}], "samples": [{"hash": "MhJ9b7EDa3", "uri": "/contracts/MhJ9b7EDa3#statements-to-securityholders", "label": "Sale and Servicing Agreement (Honda Auto Receivables 2019-1 Owner Trust)", "score": 30.1581115723, "published": true}, {"hash": "lp0CD8243uq", "uri": "/contracts/lp0CD8243uq#statements-to-securityholders", "label": "Sale and Servicing Agreement (Honda Auto Receivables 2019-1 Owner Trust)", "score": 30.1389465332, "published": true}, {"hash": "74KCZIymVb6", "uri": "/contracts/74KCZIymVb6#statements-to-securityholders", "label": "Sale and Servicing Agreement (Honda Auto Receivables 2018-3 Owner Trust)", "score": 29.6570835114, "published": true}], "size": 13, "snippet": "(a) On each Payment Date, the Servicer shall provide to the Owner Trustee to furnish to each Certificateholder of record and to the Indenture Trustee to make available to each Noteholder of record (by posting on its website at h\u2587\u2587\u2587\u2587://\u2587\u2587\u2587\u2587\u2587.\u2587\u2587\u2587\u2587\u2587\u2587.\u2587\u2587\u2587) the Servicer\u2019s Certificate furnished pursuant to Section 3.10 hereof.\n(b) Within the prescribed period of time for tax reporting purposes after the end of each calendar year during the term of the Issuer, but not later than the latest date permitted by law, the related Trustee shall, upon written request, mail to each Person who at any time during such calendar year shall have been a Securityholder, a statement, prepared by the Servicer, containing certain information for such calendar year or, in the event such Person shall have been a Securityholder during a portion of such calendar year, for the applicable portion of such year, for the purposes of such Securityholder\u2019s preparation of federal income tax returns. In addition, the Servicer shall furnish to the Trustees for distribution to such Person at such time any other information necessary under applicable law for the preparation of such income tax returns.", "hash": "ad9974103442d8293222356dae1cd1f9", "id": 9}, {"snippet_links": [], "samples": [{"hash": "gY6gCkdEj0n", "uri": "/contracts/gY6gCkdEj0n#statements-to-securityholders", "label": "Servicing Agreement (Home Loan Trust 2005-Hi2)", "score": 18.0, "published": true}, {"hash": "gDBHZTom2j1", "uri": "/contracts/gDBHZTom2j1#statements-to-securityholders", "label": "Servicing Agreement (Rfmsii 2004-Hi3)", "score": 18.0, "published": true}, {"hash": "68MWbBSpD1i", "uri": "/contracts/68MWbBSpD1i#statements-to-securityholders", "label": "Servicing Agreement (Rfmsii 2005-Hi1)", "score": 18.0, "published": true}], "size": 12, "snippet": "20 Section 4.02.", "hash": "f5622f6cf7f8865aa07b3fe5dc217cb8", "id": 10}], "next_curs": "CmYSYGoVc35sYXdpbnNpZGVyY29udHJhY3RzckILEhZDbGF1c2VTbmlwcGV0R3JvdXBfdjU2IiZzdGF0ZW1lbnRzLXRvLXNlY3VyaXR5aG9sZGVycyMwMDAwMDAwYQyiAQJlbhgAIAA=", "clause": {"parents": [["servicing-certificate", "Servicing Certificate"], ["distributions-statements-to-securityholders", "Distributions Statements to Securityholders"], ["dispute-resolution", "Dispute Resolution"], ["additional-conditions", "Additional Conditions"], ["indemnification-third-party-claims", "Indemnification; Third Party Claims"]], "title": "Statements to Securityholders", "children": [["", ""], ["amendment", "Amendment"], ["repayment-of-advances", "Repayment of Advances"], ["limitation-on-liability-of-servicer-and-others", "Limitation on Liability of Servicer and Others"], ["waiver-of-past-defaults", "Waiver of Past Defaults"]], "size": 837, "id": "statements-to-securityholders", "related": [["deliveries-to-securityholders", "Deliveries to Securityholders", "Deliveries to Securityholders"], ["notification-to-securityholders", "Notification to Securityholders", "Notification to Securityholders"], ["reports-to-securityholders-and-rating-agencies", "Reports to Securityholders and Rating Agencies", "Reports to Securityholders and Rating Agencies"], ["notices-to-securityholders-waiver", "Notices to Securityholders; Waiver", "Notices to Securityholders; Waiver"], ["reports-to-stockholders", "Reports to Stockholders", "Reports to Stockholders"]], "related_snippets": [], "updated": "2026-05-23T04:46:04+00:00"}, "json": true, "cursor": ""}}