ContractNew York • May 5th, 2020
Jurisdiction FiledMay 5th, 2020<DOCUMENT> <TYPE>EX-99.4 <SEQUENCE>5 <FILENAME>efc6-1328_5864094ex994.txt <TEXT> EXHIBIT 99.4 ------------ The Schedule to the ISDA Master Agreement <PAGE> Schedule to the Master Agreement dated as of March 30, 2006 between Credit Suisse International, and The Bank of New York as Corridor an unlimited company incorporated Contract Administrator under the under the laws of England and Wales Corridor Contract Administration ("Party A") Agreement among Credit Suisse Securities LLC, The Bank of New York as trustee for Alternative Loan Trust 2006-7CB and The Bank of New York as Corridor Contract Administrator, dated March 30, 2006 ("Party B") Part 1 Termination Provisions In this Agreement:- (a) Specified Entity. "Specified Entity" shall have no meaning in relation to Party A or Party B. (b) Specified Transaction. Specified Transaction will have the meaning specified in Section 14. (c) Certain Events of Default. The following Events of Default will apply to the parties as specified below, a