Common use of U Interest Clause in Contracts

U Interest. The Certificates and the Uncerxxxicated Lower-Tier Interests will represent the entire beneficial ownership interest in the Trust. The "latest possible maturity date" for federal income tax purposes of all interests created hereby will be the REMIC Certificate Maturity Date. The following table sets forth characteristics of the Certificates, together with the minimum denominations and integral multiples in excess thereof in which the Classes of Certificates shall be issuable: Integral Initial Class Pass- Multiples in Certificate Balance Through Minimum Excess of Classes or Notional Amount Rate Denomination Minimum -------------- ------------------- ------- ------------ ------------ Class 1-A-1 $26,152,000.00 5.500% $1,000 $1 Class 1-A-2 $2,258,000.00 5.500% $1,000 $1 Class 1-A-3 $2,060,000.00 5.500% $1,000 $1 Class 1-A-4 $1,154,000.00 5.500% $1,000 $1 Class 1-A-5 $3,376,000.00 5.500% $1,000 $1 Class 1-A-6 $25,000,000.00 5.250% $1,000 $1 Class 1-A-7 $24,783,000.00 5.500% $1,000 $1 Class 1-A-8 $60,000,000.00 5.500% $1,000 $1 Class 1-A-9 $50,000,000.00 5.250% $1,000 $1 Class 1-A-10 $16,649,000.00 5.250% $1,000 $1,000 Class 1-A-11 $14,361,000.00 5.500% $1,000 $1 Class 1-A-12 $598,000.00 5.500% $1,000 $1 Class 1-A-13 $21,626,000.00 5.500% $1,000 $1 Class 1-A-14 $25,735,000.00 5.500% $1,000 $1 Class 1-A-15 $1,937,000.00 5.500% $1,000 $1 Class 1-A-16 $10,424,000.00 5.250% $1,000 $1 Class 1-A-17 $10,678,000.00 (1) $1,000 $1 Class 1-A-18 $10,678,000.00 (2) $1,000,000 $1 Class 1-A-19 $28,507,000.00 5.500% $1,000 $1 Class 1-A-20 $514,605.00 5.500% $514,605 $1 Class 1-A-21 $10,013,000.00 5.000% $1,000 $1 Class 1-A-22 $22,009,000.00 5.000% $1,000 $1 Class 1-A-23 $21,039,000.00 5.500% $1,000 $1 Class 1-A-24 $639,000.00 5.500% $1,000 $1 Class 1-A-25 $6,514,000.00 5.500% $1,000 $1 Class 1-A-26 $2,911,090.00 5.500% $1,000,000 $1 Class 1-A-R $100.00 5.500% $100 N/A Class 30-IO $4,324,061.00 5.500% $1,000,000 $1 Class 30-PO $4,461,017.00 (3) $25,000 $1 Class 2-A-1 $168,697,000.00 5.000% $1,000 $1 Class 15-IO $3,037,033.00 5.000% $1,000,000 $1 Class 15-PO $1,214,451.00 (3) $25,000 $1 Class 30-B-1 $6,835,000.00 5.500% $25,000 $1 Class 30-B-2 $2,010,000.00 5.500% $25,000 $1 Class 30-B-3 $1,206,000.00 5.500% $25,000 $1 Class 30-B-4 $804,000.00 5.500% $25,000 $1 Class 30-B-5 $603,000.00 5.500% $25,000 $1 Class 30-B-6 $603,648.00 5.500% $25,000 $1 Class 15-B-1 $1,554,000.00 5.000% $25,000 $1 Class 15-B-2 $432,000.00 5.000% $25,000 $1 Class 15-B-3 $345,000.00 5.000% $25,000 $1 Class 15-B-4 $173,000.00 5.000% $25,000 $1 Class 15-B-5 $173,000.00 5.000% $25,000 $1 Class 15-B-6 $86,539.00 5.000% $25,000 $1

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Banc of America Mortgage Securities Mortgage Pass-Through Certificates Series 2005-5 Trust)

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U Interest. The Certificates and the Uncerxxxicated Uncertificated Lower-Tier Interests will represent the entire beneficial ownership interest in the Trust. The "latest possible maturity date" for federal income tax purposes of all interests created hereby will be the REMIC Certificate Maturity Date. The following table sets forth characteristics of the CertificatesCertificates and the Components, together with the minimum denominations and integral multiples in excess thereof in which the Classes of Certificates shall be issuable: Integral Initial Class Pass- Integral Certificate Multiples in Certificate Balance or Pass-Through Minimum in Excess of Classes or Notional Amount Rate Denomination of Minimum -------------- ------------------- ------- --------------- ------------- ------------ ------------ ---------- Class 1-A-1 $26,152,000.00 23,342,000.00 5.500% $1,000 $1 Class 1-A-2 $2,258,000.00 5.50020,000,000.00 5.250% $1,000 $1 Class 1-A-3 $2,060,000.00 21,000,000.00 5.500% $1,000 $1 Class 1-A-4 $1,154,000.00 5.5002,500,000.00 7.500% $1,000 $1 Class 1-A-5 $3,376,000.00 154,015,000.00 5.500% $1,000 $1 Class 1-A-6 $25,000,000.00 5.25014,487,000.00 5.500% $1,000 $1 Class 1-A-7 $24,783,000.00 1,000,000.00 5.500% $1,000 $1 Class 1-A-8 $60,000,000.00 5.500% $1,000 $1 Class 1-A-9 $50,000,000.00 5.250% $1,000 $1 Class 1-A-10 $16,649,000.00 5.250% $1,000 $1,000 Class 1-A-11 $14,361,000.00 5.500% $1,000 $1 Class 1-A-12 $598,000.00 5.500% $1,000 $1 Class 1-A-13 $21,626,000.00 5.500% $1,000 $1 Class 1-A-14 $25,735,000.00 5.500% $1,000 $1 Class 1-A-15 $1,937,000.00 5.500% $1,000 $1 Class 1-A-16 $10,424,000.00 5.250% $1,000 $1 Class 1-A-17 $10,678,000.00 (1) $1,000 $1 Class 1-A-18 $10,678,000.00 (2) $1,000,000 $1 Class 1-A-19 $28,507,000.00 5.500% $1,000 $1 Class 1-A-20 $514,605.00 5.500% $514,605 $1 Class 1-A-21 $10,013,000.00 5.000% $1,000 $1 Class 1-A-22 $22,009,000.00 5.000% $1,000 $1 Class 1-A-23 $21,039,000.00 5.500% $1,000 $1 Class 1-A-24 $639,000.00 5.500% $1,000 $1 Class 1-A-25 $6,514,000.00 5.500% $1,000 $1 Class 1-A-26 $2,911,090.00 5.500% $1,000,000 $1 Class 1-A-R $100.00 5.500% $100 N/A Class 30-IO $4,324,061.00 7,561,423.00 5.500% $1,000,000 $1 Class 302-PO A-1 $4,461,017.00 (3) 20,000,000.00 5.000% $25,000 1,000 $1 Class 2-A-1 A-2 $168,697,000.00 1,052,000.00 5.000% $1,000 $1 Class 2-A-3 $38,916,000.00 5.000% $1,000 $1 Class 15-IO $3,037,033.00 2,625,753.00 5.000% $1,000,000 $1 Class 15A-PO $1,214,451.00 (31) (1) $25,000 $1 Class 30-B-1 $6,835,000.00 5.500% 3,816,000.00 (2) $25,000 $1 Class 30-B-2 $2,010,000.00 5.500% 1,373,000.00 (2) $25,000 $1 Class 30-B-3 $1,206,000.00 5.500% 916,000.00 (2) $25,000 $1 Class 30-B-4 $804,000.00 5.500% 610,000.00 (2) $25,000 $1 Class 30-B-5 $603,000.00 5.500% 306,000.00 (2) $25,000 $1 Class 30-B-6 $603,648.00 5.500% 457,858.00 (2) $25,000 $1 Integral Multiples Initial Component Pass-Through Minimum In Excess Components Balance Rate Denomination Of Minimum ---------- ----------------- ------------ ------------ ---------- Class 30-PO $1,108,105.00 (3) N/A N/A Class 15-B-1 PO $1,554,000.00 5.000% $25,000 $1 Class 15-B-2 $432,000.00 5.000% $25,000 $1 Class 15-B-3 $345,000.00 5.000% $25,000 $1 Class 15-B-4 $173,000.00 5.000% $25,000 $1 Class 15-B-5 $173,000.00 5.000% $25,000 $1 Class 15-B-6 $86,539.00 5.000% $25,000 $1325,924.00 (3) N/A N/A ------------

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Banc of America Mortgage Securities Mortgage Pass-Through Certificates Series 2005-7 Trust)

U Interest. The Certificates and the Uncerxxxicated Uncxxxificated Lower-Tier Interests will represent the entire beneficial ownership interest in the Trust. The "latest possible maturity date" for federal income tax purposes of all interests created hereby will be the REMIC Certificate Maturity Date. The following table sets forth characteristics of the Certificates, together with the minimum denominations and integral multiples in excess thereof in which the Classes of Certificates shall be issuable: Integral Initial Class Pass- Multiples in Certificate Balance Pass-Through Minimum Excess of Classes or Notional Amount Rate Denomination Minimum -------------- -------------------------- ------------------------- ------------------- ------- ------------ ------------ ------------------- ----------------- Class 1-A-1 $26,152,000.00 5.50070,000,000.00 5.600% $1,000 $1 Class 1-A-2 $2,258,000.00 5.5003,024,000.00 6.000% $1,000 $1 Class 1-A-3 $2,060,000.00 5.5008,918,000.00 6.000% $1,000 $1 Class 1-A-4 $1,154,000.00 5.500347,000.00 6.000% $1,000 $1 Class 1-A-5 $3,376,000.00 5.50090,886,000.00 6.000% $1,000 $1 Class 1-A-6 $25,000,000.00 5.25027,221,000.00 6.000% $1,000 $1 Class 1-A-7 $24,783,000.00 5.5004,666,666.00 6.000% $1,000,000 $1 Class A-8 $28,575,000.00 6.000% $1,000 $1 Class 1-A-8 A-9 $60,000,000.00 5.50045,000,000.00 6.000% $1,000 $1 Class 1-A-9 A-10 $50,000,000.00 5.25012,477,000.00 6.000% $1,000 $1 Class 1-A-10 $16,649,000.00 5.250% $1,000 $1,000 Class 1-A-11 $14,361,000.00 5.500% $1,000 $1 Class 1-A-12 $598,000.00 5.500% $1,000 $1 Class 1-A-13 $21,626,000.00 5.500% $1,000 $1 Class 1-A-14 $25,735,000.00 5.500% $1,000 $1 Class 1-A-15 $1,937,000.00 5.500% $1,000 $1 Class 1-A-16 $10,424,000.00 5.250% $1,000 $1 Class 1-A-17 $10,678,000.00 (1) $1,000 $1 Class 1-A-18 $10,678,000.00 (2) $1,000,000 $1 Class 1-A-19 $28,507,000.00 5.500% $1,000 $1 Class 1-A-20 $514,605.00 5.500% $514,605 $1 Class 1-A-21 $10,013,000.00 5.000% $1,000 $1 Class 1-A-22 $22,009,000.00 5.000% $1,000 $1 Class 1-A-23 $21,039,000.00 5.500% $1,000 $1 Class 1-A-24 $639,000.00 5.500% $1,000 $1 Class 1-A-25 $6,514,000.00 5.500% $1,000 $1 Class 1-A-26 $2,911,090.00 5.500% $1,000,000 $1 Class 1-A-R $100.00 5.5006.000% $100 N/A Class 30-IO $4,324,061.00 5.5007,836,116.00 6.000% $1,000,000 $1 Class 30-PO $4,461,017.00 4,659,151.00 (31) $25,000 $1 Class 2-A-1 M $168,697,000.00 5.000% $1,000 $1 Class 15-IO $3,037,033.00 5.000% $1,000,000 $1 Class 15-PO $1,214,451.00 (3) $25,000 $1 Class 30-B-1 $6,835,000.00 5.5004,991,000.00 6.000% $25,000 $1 Class 30-B-2 B-1 $2,010,000.00 5.5002,268,000.00 6.000% $25,000 $1 Class 30-B-3 B-2 $1,206,000.00 5.5001,664,000.00 6.000% $25,000 $1 Class 30-B-4 B-3 $804,000.00 5.500907,000.00 6.000% $25,000 $1 Class 30-B-5 B-4 $603,000.00 5.500605,000.00 6.000% $25,000 $1 Class 30-B-6 B-5 $603,648.00 5.500454,000.00 6.000% $25,000 $1 Class 15-B-1 B-6 $1,554,000.00 5.000453,831.00 6.000% $25,000 $1 Class 15-B-2 $432,000.00 5.000% $25,000 $1 Class 15-B-3 $345,000.00 5.000% $25,000 $1 Class 15-B-4 $173,000.00 5.000% $25,000 $1 Class 15-B-5 $173,000.00 5.000% $25,000 $1 Class 15-B-6 $86,539.00 5.000% $25,000 $1------------

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Banc of America Mortgage 2006-1 Trust)

U Interest. The Certificates and the Uncerxxxicated Lower-Tier Interests will represent the entire beneficial ownership interest in the Trust. The "latest possible maturity date" for federal income tax purposes of all interests created hereby will be the REMIC Certificate Maturity Date. The following table sets forth characteristics of the Certificates, together with the minimum denominations and integral multiples in excess thereof in which the Classes of Certificates shall be issuable: issuable (except that one Certificate of each Class of Certificates may be issued in any amount in excess of the minimum denomination, but less than the integral multiple in excess of the minimum): Integral Initial Class Pass- Multiples in Certificate Balance Pass-Through Minimum in Excess of Classes or Notional Amount Balance Rate Denomination of Minimum -------------- ------------------- ------- ------------ ------------ -------------------------------------------------------------------------------- Class 1-A-1 $26,152,000.00 5.500% $1,000 $1 Class 1-A-2 $2,258,000.00 5.500% $1,000 $1 Class 1-A-3 $2,060,000.00 5.500% $1,000 $1 Class 1-A-4 $1,154,000.00 5.500% $1,000 $1 Class 1-A-5 $3,376,000.00 5.500% $1,000 $1 Class 1-A-6 $25,000,000.00 5.250% $1,000 $1 Class 1-A-7 $24,783,000.00 5.500% $1,000 $1 Class 1-A-8 $60,000,000.00 5.500% $1,000 $1 Class 1-A-9 $50,000,000.00 5.250% $1,000 $1 Class 1-A-10 $16,649,000.00 5.250% $1,000 $1,000 Class 1-A-11 $14,361,000.00 5.500% $1,000 $1 Class 1-A-12 $598,000.00 5.500% $1,000 $1 Class 1-A-13 $21,626,000.00 5.500% $1,000 $1 Class 1-A-14 $25,735,000.00 5.500% $1,000 $1 Class 1-A-15 $1,937,000.00 5.500% $1,000 $1 Class 1-A-16 $10,424,000.00 5.250% $1,000 $1 Class 1-A-17 $10,678,000.00 61,273,000.00 (1) $1,000 $1 Class 1-A-18 A-2 $10,678,000.00 3,526,000.00 (21) $1,000,000 $1 Class 1-A-19 $28,507,000.00 5.500% $1,000 $1 Class 1-A-20 $514,605.00 5.500% $514,605 $1 Class 1-A-21 $10,013,000.00 5.000% $1,000 $1 Class 1-A-22 $22,009,000.00 5.000% $1,000 $1 Class 1-A-23 $21,039,000.00 5.500% $1,000 $1 Class 1-A-24 $639,000.00 5.500% $1,000 $1 Class 1-A-25 $6,514,000.00 5.500% $1,000 $1 Class 1-A-26 $2,911,090.00 5.500% $1,000,000 $1 Class 1-A-R $100.00 5.500% (1) $100 N/A Class 302-IO A-1 $4,324,061.00 5.500% 195,000,000.00 (2) $1,000,000 1,000 $1 Class 302-PO A-2 $4,461,017.00 22,829,000.00 (2) $1,000 $1 Class 2-A-3 $128,038,000.00 (2) $1,000 $1 Class 2-A-4 $31,193,000.00 (2) $1,000 $1 Class 2-A-5 $42,554,000.00 (2) $1,000 $1 Class 3-A-1 $112,843,000.00 (3) $1,000 $1 Class 3-A-2 $6,493,000.00 (3) $1,000 $1 Class 4-A-1 $25,000,000.00 (4) $1,000 $1 Class 4-A-2 $50,404,000.00 (4) $1,000 $1 Class 4-A-3 $2,901,000.00 (4) $1,000 $1 Class B-1 $13,782,000.00 (5) $25,000 $1 Class 2-A-1 B-2 $168,697,000.00 5.000% $1,000 $1 Class 15-IO $3,037,033.00 5.000% $1,000,000 $1 Class 15-PO $1,214,451.00 4,594,000.00 (35) $25,000 $1 Class 30-B-1 B-3 $6,835,000.00 5.500% 2,474,000.00 (5) $25,000 $1 Class 30-B-2 B-4 $2,010,000.00 5.500% 1,413,000.00 (5) $25,000 $1 Class 30-B-3 B-5 $1,206,000.00 5.500% 1,061,000.00 (5) $25,000 $1 Class 30-B-4 $804,000.00 5.500% $25,000 $1 Class 30-B-5 $603,000.00 5.500% $25,000 $1 Class 30-B-6 $603,648.00 5.500% $25,000 $1 Class 15-B-1 $1,554,000.00 5.000% $25,000 $1 Class 15-B-2 $432,000.00 5.000% $25,000 $1 Class 15-B-3 $345,000.00 5.000% $25,000 $1 Class 15-B-4 $173,000.00 5.000% $25,000 $1 Class 15-B-5 $173,000.00 5.000% $25,000 $1 Class 15-B-6 $86,539.00 5.000% 1,413,737.00 (5) $25,000 $1

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Banc of America Mortgage Securities Mortgage Pass-Through Certificates Series 2005-H)

U Interest. The Certificates and the Uncerxxxicated Lower-Tier Interests will represent the entire beneficial ownership interest in the Trust. The "latest possible maturity date" for federal income tax purposes of all interests created hereby will be the REMIC Certificate Maturity Date. The following table sets forth characteristics of the Certificates, together with the minimum denominations and integral multiples in excess thereof in which the Classes of Certificates shall be issuable: issuable (except that one Certificate of each Class of Certificates may be issued in any amount in excess of the minimum denomination, but less than the integral multiple in excess of the minimum): ================= ========================= ================ ====================== ================== Integral Initial Class Pass- Multiples in Classes Certificate Balance Through Rate Minimum Denomination Excess of Classes or Notional Amount Rate Denomination Minimum -------------- ------------------- ------- ------------ ------------ ----------------- ------------------------- ---------------- ---------------------- ------------------ Class 1-A-1 $26,152,000.00 5.500% $1,000 $1 Class 1-A-2 $2,258,000.00 5.500% $1,000 $1 Class 1-A-3 $2,060,000.00 5.500% $1,000 $1 Class 1-A-4 $1,154,000.00 5.500% $1,000 $1 Class 1-A-5 $3,376,000.00 5.500% $1,000 $1 Class 1-A-6 $25,000,000.00 5.250% $1,000 $1 Class 1-A-7 $24,783,000.00 5.500% $1,000 $1 Class 1-A-8 $60,000,000.00 5.500% $1,000 $1 Class 1-A-9 $50,000,000.00 5.250% $1,000 $1 Class 1-A-10 $16,649,000.00 5.250% $1,000 $1,000 Class 1-A-11 $14,361,000.00 5.500% $1,000 $1 Class 1-A-12 $598,000.00 5.500% $1,000 $1 Class 1-A-13 $21,626,000.00 5.500% $1,000 $1 Class 1-A-14 $25,735,000.00 5.500% $1,000 $1 Class 1-A-15 $1,937,000.00 5.500% $1,000 $1 Class 1-A-16 $10,424,000.00 5.250% $1,000 $1 Class 1-A-17 $10,678,000.00 51,799,000.00 (1) $1,000 $1 Class 1-A-18 A-2 $10,678,000.00 2,253,000.00 (21) $1,000,000 $1 Class 1-A-19 $28,507,000.00 5.500% $1,000 $1 Class 1-A-20 $514,605.00 5.500% $514,605 $1 Class 1-A-21 $10,013,000.00 5.000% $1,000 $1 Class 1-A-22 $22,009,000.00 5.000% $1,000 $1 Class 1-A-23 $21,039,000.00 5.500% $1,000 $1 Class 1-A-24 $639,000.00 5.500% $1,000 $1 Class 1-A-25 $6,514,000.00 5.500% $1,000 $1 Class 1-A-26 $2,911,090.00 5.500% $1,000,000 $1 Class 1-A-R $100.00 5.500% (1) $100 N/A Class 302-IO A-1 $4,324,061.00 5.500% 209,045,000.00 (2) $1,000,000 1,000 $1 Class 302-PO A-2 $4,461,017.00 9,089,000.00 (2) $1,000 $1 Class 3-A-1 $50,204,000.00 (3) $1,000 $1 Class 4-A-1 $134,031,000.00 (4) $1,000 $1 Class 4-A-2 $5,829,000.00 (4) $1,000 $1 Class B-1 $11,556,000.00 (5) $25,000 $1 Class 2-A-1 B-2 $168,697,000.00 5.000% $1,000 $1 Class 15-IO $3,037,033.00 5.000% $1,000,000 $1 Class 15-PO $1,214,451.00 2,889,000.00 (35) $25,000 $1 Class 30-B-1 B-3 $6,835,000.00 5.500% 1,926,000.00 (5) $25,000 $1 Class 30-B-2 B-4 $2,010,000.00 5.500% 1,204,000.00 (5) $25,000 $1 Class 30-B-3 B-5 $1,206,000.00 5.500% 722,000.00 (5) $25,000 $1 Class 30-B-4 B-6 $804,000.00 5.500% 963,647.00 (5) $25,000 $1 Class 30-B-5 $603,000.00 5.500% $25,000 $1 Class 30-B-6 $603,648.00 5.500% $25,000 $1 Class 15-B-1 $1,554,000.00 5.000% $25,000 $1 Class 15-B-2 $432,000.00 5.000% $25,000 $1 Class 15-B-3 $345,000.00 5.000% $25,000 $1 Class 15-B-4 $173,000.00 5.000% $25,000 $1 Class 15-B-5 $173,000.00 5.000% $25,000 $1 Class 15-B-6 $86,539.00 5.000% $25,000 $1----------------- ------------------------- ---------------- ---------------------- ------------------

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Banc of America Mortgage Securities Mortgage Pass-Through Certificates Series 2005-K)

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U Interest. The Certificates and the Uncerxxxicated Lower-Tier Interests will represent the entire beneficial ownership interest in the Trust. The "latest possible maturity date" for federal income tax purposes of all interests created hereby will be the REMIC Certificate Maturity Date. The following table sets forth characteristics of the Certificates, together with the minimum denominations and integral multiples in excess thereof in which the Classes of Certificates shall be issuable: issuable (except that one Certificate of each Class of Certificates may be issued in any amount in excess of the minimum denomination, but less than the integral multiple in excess of the minimum): Integral Initial Class Pass- Multiples in Certificate Balance Pass-Through Minimum in Excess of Classes or Notional Amount Balance Rate Denomination of Minimum -------------- ------------------- ------- ------------ ------------ -------------------------------------------------------------------------------- Class 1-A-1 $26,152,000.00 5.500% $1,000 $1 Class 1-A-2 $2,258,000.00 5.500% $1,000 $1 Class 1-A-3 $2,060,000.00 5.500% $1,000 $1 Class 1-A-4 $1,154,000.00 5.500% $1,000 $1 Class 1-A-5 $3,376,000.00 5.500% $1,000 $1 Class 1-A-6 $25,000,000.00 5.250% $1,000 $1 Class 1-A-7 $24,783,000.00 5.500% $1,000 $1 Class 1-A-8 $60,000,000.00 5.500% $1,000 $1 Class 1-A-9 $50,000,000.00 5.250% $1,000 $1 Class 1-A-10 $16,649,000.00 5.250% $1,000 $1,000 Class 1-A-11 $14,361,000.00 5.500% $1,000 $1 Class 1-A-12 $598,000.00 5.500% $1,000 $1 Class 1-A-13 $21,626,000.00 5.500% $1,000 $1 Class 1-A-14 $25,735,000.00 5.500% $1,000 $1 Class 1-A-15 $1,937,000.00 5.500% $1,000 $1 Class 1-A-16 $10,424,000.00 5.250% $1,000 $1 Class 1-A-17 $10,678,000.00 62,328,000.00 (1) $1,000 $1 Class 1-A-18 $10,678,000.00 (2) $1,000,000 $1 Class 1-A-19 $28,507,000.00 5.500% $1,000 $1 Class 1-A-20 $514,605.00 5.500% $514,605 $1 Class 1-A-21 $10,013,000.00 5.000% $1,000 $1 Class 1-A-22 $22,009,000.00 5.000% $1,000 $1 Class 1-A-23 $21,039,000.00 5.500% $1,000 $1 Class 1-A-24 $639,000.00 5.500% $1,000 $1 Class 1-A-25 $6,514,000.00 5.500% $1,000 $1 Class 1-A-26 $2,911,090.00 5.500% $1,000,000 $1 Class 1-A-R $100.00 5.500% (1) $100 N/A Class 30-IO A-2 $4,324,061.00 5.500% 95,025,000.00 (2) $1,000,000 1,000 $1 Class 30-PO A-3 $4,461,017.00 58,201,000.00 (3) $1,000 $1 Class A-4 $10,432,000.00 (4) $1,000 $1 Class B-1 $2,782,000.00 (5) $25,000 $1 Class 2-A-1 B-2 $168,697,000.00 5.000% $1,000 $1 Class 15-IO $3,037,033.00 5.000% $1,000,000 $1 Class 15-PO $1,214,451.00 1,158,000.00 (35) $25,000 $1 Class 30-B-1 B-3 $6,835,000.00 5.500% 695,000.00 (5) $25,000 $1 Class 30-B-2 B-4 $2,010,000.00 5.500% 463,000.00 (5) $25,000 $1 Class 30-B-3 B-5 $1,206,000.00 5.500% 463,000.00 (5) $25,000 $1 Class 30-B-4 B-6 $804,000.00 5.500% 234,170.00 (5) $25,000 $1 Integral Multiples Initial Component Pass-Through Minimum in Excess Components Balance Rate Denomination of Minimum -------------------------------------------------------------------------------- Class 30A-4-B-5 1 $603,000.00 5.500% 3,016,000.00 (1) N/A N/A Class A-4-2 $25,000 4,599,000.00 (2) N/A N/A Class A-4-3 $1 Class 30-B-6 $603,648.00 5.500% $25,000 $1 Class 15-B-1 $1,554,000.00 5.000% $25,000 $1 Class 15-B-2 $432,000.00 5.000% $25,000 $1 Class 15-B-3 $345,000.00 5.000% $25,000 $1 Class 15-B-4 $173,000.00 5.000% $25,000 $1 Class 15-B-5 $173,000.00 5.000% $25,000 $1 Class 15-B-6 $86,539.00 5.000% $25,000 $12,817,000.00 (3) N/A N/A

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Banc of America Funding Corp. 2005-G Trust)

U Interest. The Certificates and the Uncerxxxicated Uncxxxificated Lower-Tier Interests will represent the entire beneficial ownership interest in the Trust. The "latest possible maturity date" for federal income tax purposes of all interests created hereby will be the REMIC Certificate Maturity Date. The following table sets tables set forth characteristics of the CertificatesCertificates and the Components, together with the minimum denominations Denominations and integral multiples in excess thereof in which the Classes of Certificates shall be issuable: Integral Initial Class Pass- Integral Certificate Multiples in Certificate Balance or Pass-Through Minimum Excess of Classes or Notional Amount Rate Denomination Minimum --------------- ------------------- --------------- -------------- ------------------- ------- ------------ ------------ ------------- Class 1-A-1 CB-1 $26,152,000.00 5.500161,687,623.00 6.000% $1,000 $1 Class 1-A-2 CB-R $2,258,000.00 5.500100.00 6.250% $100 N/A Class CB-IO $16,553,726.00 6.250% $1,000,000 $1 Class 2-NC-1 $30,772,877.00 6.000% $1,000 $1 Class 1NC-A-3 IO $2,060,000.00 5.5004,429,341.00 6.250% $1,000 1,000,000 $1 Class 1-A-4 A-1 $1,154,000.00 5.500% $1,000 $1 Class 1-A-5 $3,376,000.00 5.500% $1,000 $1 Class 1-A-6 $25,000,000.00 5.250% $1,000 $1 Class 1-A-7 $24,783,000.00 5.500% $1,000 $1 Class 1-A-8 $60,000,000.00 5.500% $1,000 $1 Class 1-A-9 $50,000,000.00 5.250% $1,000 $1 Class 1-A-10 $16,649,000.00 5.250% $1,000 $1,000 Class 1-A-11 $14,361,000.00 5.500% $1,000 $1 Class 1-A-12 $598,000.00 5.500% $1,000 $1 Class 1-A-13 $21,626,000.00 5.500% $1,000 $1 Class 1-A-14 $25,735,000.00 5.500% $1,000 $1 Class 1-A-15 $1,937,000.00 5.500% $1,000 $1 Class 1-A-16 $10,424,000.00 5.250% $1,000 $1 Class 1-A-17 $10,678,000.00 33,000,000.00 (1) $1,000 $1 Class 1-A-18 A-2 $10,678,000.00 75,153,500.00 (2) $1,000 $1 Class A-3 $75,153,500.00 (3) $1,000,000 $1 Class 1-A-19 A-4 $28,507,000.00 5.500% 16,323,000.00 (4) $1,000 $1 Class 1-A-20 $514,605.00 5.500% $514,605 $1 Class 1-A-21 $10,013,000.00 5.000% $1,000 $1 Class 1-A-22 $22,009,000.00 5.000% $1,000 $1 Class 1-A-23 $21,039,000.00 5.500% $1,000 $1 Class 1-A-24 $639,000.00 5.500% $1,000 $1 Class 1-A-25 $6,514,000.00 5.500% $1,000 $1 Class 1-A-26 $2,911,090.00 5.500% $1,000,000 $1 Class 1-A-R $100.00 5.500% $100 N/A Class 30-IO $4,324,061.00 5.500% $1,000,000 $1 Class 30-PO $4,461,017.00 2,194,343.00 (35) $25,000 $1 Class 2-A-1 $168,697,000.00 5.000% $1,000 $1 Class 15-IO $3,037,033.00 5.000% $1,000,000 $1 Class 15-PO $1,214,451.00 (3) $25,000 $1 Class 30-B-1 $6,835,000.00 5.5008,580,000.00 6.250% $25,000 $1 Class 30-B-2 $2,010,000.00 5.5002,860,000.00 6.250% $25,000 $1 Class 30-B-3 $1,206,000.00 5.5002,187,000.00 6.250% $25,000 $1 Class 30-B-4 $804,000.00 5.5001,514,000.00 6.250% $25,000 $1 Class 30-B-5 $603,000.00 5.5001,178,000.00 6.250% $25,000 $1 Class 30-B-6 $603,648.00 5.5001,009,912.00 6.250% $25,000 $1 Initial Component Integral Balance or Multiples In Component Pass-Through Minimum Excess Of Components Notional Amount Rate Denomination Minimum --------------- ------------------- --------------- -------------- ------------- Class 151-B-1 A-1 $1,554,000.00 5.00027,733,877.00 6.000% N/A N/A Class 2-A-1 $25,000 5,266,123.00 6.000% N/A N/A Class 1-A-2 $1 63,140,500.00 (6) N/A N/A Class 152-B-2 A-2 $432,000.00 5.00012,013,000.00 (6) N/A N/A Class 1-A-3 $63,140,500.00 (7) N/A N/A Class 2-A-3 $12,013,000.00 (7) N/A N/A Class 1-A-4 $13,714,000.00 6.250% N/A N/A Class 2-A-4 $25,000 2,609,000.00 6.250% N/A N/A Class 1-30-PO $1 1,928,877.00 (8) N/A N/A Class 152-B-3 30-PO $345,000.00 5.000% $25,000 $1 Class 15-B-4 $173,000.00 5.000% $25,000 $1 Class 15-B-5 $173,000.00 5.000% $25,000 $1 Class 15-B-6 $86,539.00 5.000% $25,000 $1265,466.00 (8) N/A N/A -----------

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Banc of America Alternative Loan Trust 2006-9)

U Interest. The Certificates and the Uncerxxxicated Lower-Tier Interests will represent the entire beneficial ownership interest in the Trust. The "latest possible maturity date" for federal income tax purposes of all interests created hereby will be the REMIC Certificate Maturity Date. The following table sets forth characteristics of the Certificates, together with the minimum denominations and integral multiples in excess thereof in which the Classes of Certificates shall be issuable: issuable (except that one Certificate of each Class of Certificates may be issued in any amount in excess of the minimum denomination, but less than the integral multiple in excess of the minimum): Integral Initial Class Pass- Multiples in Certificate Balance Through Minimum in Excess of Classes or Notional Amount Balance Rate Denomination of Minimum -------------- ------------------- ------- ------------ ------------ ---------------------------------------------------------------------------- Class 1-A-1 $26,152,000.00 5.500% $1,000 $1 Class 1-A-2 $2,258,000.00 5.500% $1,000 $1 Class 1-A-3 $2,060,000.00 5.500% $1,000 $1 Class 1-A-4 $1,154,000.00 5.500% $1,000 $1 Class 1-A-5 $3,376,000.00 5.500% $1,000 $1 Class 1-A-6 $25,000,000.00 5.250% $1,000 $1 Class 1-A-7 $24,783,000.00 5.500% $1,000 $1 Class 1-A-8 $60,000,000.00 5.500% $1,000 $1 Class 1-A-9 $50,000,000.00 5.250% $1,000 $1 Class 1-A-10 $16,649,000.00 5.250% $1,000 $1,000 Class 1-A-11 $14,361,000.00 5.500% $1,000 $1 Class 1-A-12 $598,000.00 5.500% $1,000 $1 Class 1-A-13 $21,626,000.00 5.500% $1,000 $1 Class 1-A-14 $25,735,000.00 5.500% $1,000 $1 Class 1-A-15 $1,937,000.00 5.500% $1,000 $1 Class 1-A-16 $10,424,000.00 5.250% $1,000 $1 Class 1-A-17 $10,678,000.00 42,153,000.00 (1) $1,000 $1 Class 1-A-18 A-2 $10,678,000.00 1,709,000.00 (21) $1,000,000 $1 Class 1-A-19 $28,507,000.00 5.500% $1,000 $1 Class 1-A-20 $514,605.00 5.500% $514,605 $1 Class 1-A-21 $10,013,000.00 5.000% $1,000 $1 Class 1-A-22 $22,009,000.00 5.000% $1,000 $1 Class 1-A-23 $21,039,000.00 5.500% $1,000 $1 Class 1-A-24 $639,000.00 5.500% $1,000 $1 Class 1-A-25 $6,514,000.00 5.500% $1,000 $1 Class 1-A-26 $2,911,090.00 5.500% $1,000,000 $1 Class 1-A-R $100.00 5.500% (1) $100 N/A Class 302-IO A-1 $4,324,061.00 5.500% 40,000,000.00 (2) $1,000,000 1,000 $1 Class 302-PO A-2 $4,461,017.00 5,018,000.00 (2) $1,000 $1 Class 2-A-3 $53,092,000.00 (2) $1,000 $1 Class 2-A-4 $12,455,000.00 (2) $1,000 $1 Class 2-A-5 $18,245,000.00 (2) $1,000 $1 Class 3-A-1 $63,997,000.00 (3) $1,000 $1 Class 3-A-2 $5,408,000.00 (3) $1,000 $1 Class 4-A-1 $93,138,000.00 (4) $1,000 $1 Class 4-A-2 $5,781,000.00 (4) $1,000 $1 Class B-1 $7,619,000.00 (5) $25,000 $1 Class 2-A-1 B-2 $168,697,000.00 5.000% $1,000 $1 Class 15-IO $3,037,033.00 5.000% $1,000,000 $1 Class 15-PO $1,214,451.00 2,125,000.00 (35) $25,000 $1 Class 30-B-1 B-3 $6,835,000.00 5.500% 1,417,000.00 (5) $25,000 $1 Class 30-B-2 B-4 $2,010,000.00 5.500% 886,000.00 (5) $25,000 $1 Class 30-B-3 B-5 $1,206,000.00 5.500% 532,000.00 (5) $25,000 $1 Class 30-B-4 $804,000.00 5.500% $25,000 $1 Class 30-B-5 $603,000.00 5.500% $25,000 $1 Class 30-B-6 $603,648.00 5.500% $25,000 $1 Class 15-B-1 $1,554,000.00 5.000% $25,000 $1 Class 15-B-2 $432,000.00 5.000% $25,000 $1 Class 15-B-3 $345,000.00 5.000% $25,000 $1 Class 15-B-4 $173,000.00 5.000% $25,000 $1 Class 15-B-5 $173,000.00 5.000% $25,000 $1 Class 15-B-6 $86,539.00 5.000% 708,610.00 (5) $25,000 $1

Appears in 1 contract

Samples: Pooling and Servicing Agreement (Banc of America Mortgage 2005-L Trust)

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