0000923569-01-500029 Sample Contracts

SEARS CREDIT ACCOUNT MASTER TRUST II Master Trust Certificates Underwriting Agreement
Underwriting Agreement • October 9th, 2001 • Sears Credit Account Master Trust Ii • Asset-backed securities • New York

SRFG, Inc. (the "Company"), as originator of Sears Credit Account Master Trust II (the "Trust") and holder of the Seller Certificate, proposes, subject to the terms and conditions stated herein, to cause to be issued and sold from time to time certain of the Master Trust Certificates registered under the registration statement referred to in Section 2(a) (the "Securities"). The Company intends to enter into one or more Pricing Agreements (each a "Pricing Agreement") in the form attached hereto, with such additions and deletions as the parties thereto may determine, and, subject to the terms and conditions stated herein and therein, to issue and sell to the firm or firms named in Schedule 1 to the applicable Pricing Agreement (such firm or firms constituting the "Underwriters" with respect to such Pricing Agreement and the securities specified therein) the Securities specified in such Pricing Agreement (with respect to such Pricing Agreement, the "Designated Securities"). The Designated

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SEARS CREDIT ACCOUNT MASTER TRUST II MASTER TRUST CERTIFICATES, SERIES 2001-3
Pooling and Servicing Agreement • October 9th, 2001 • Sears Credit Account Master Trust Ii • Asset-backed securities • New York

This Series of Master Trust Certificates is established pursuant to Section 6.07 of that certain Pooling and Servicing Agreement dated as of July 31, 1994, as amended (the "Pooling and Servicing Agreement"), by and among SRFG, INC. (formerly Sears Receivables Financing Group, Inc.), a Delaware corporation ("SRFG") as Seller, SEARS, ROEBUCK AND CO., a New York corporation ("Sears") as Servicer, and BANK ONE, NATIONAL ASSOCIATION (formerly The First National Bank of Chicago), a national banking association, organized and existing under the laws of the United States (the "Trustee"). This SERIES TERM SHEET and the ANNEX attached hereto, by and among SRFG, Sears and the Trustee, constitute the SERIES SUPPLEMENT (the "Series Supplement") and, together with the Pooling and Servicing Agreement, establish the Series of Master Trust Certificates to be known as SEARS CREDIT ACCOUNT MASTER TRUST II, MASTER TRUST CERTIFICATES, SERIES 2001-3.

SEARS CREDIT ACCOUNT MASTER TRUST II MASTER TRUST CERTIFICATES PRICING AGREEMENT CLASS A Dated: September 25, 2001
Pricing Agreement • October 9th, 2001 • Sears Credit Account Master Trust Ii • Asset-backed securities

Aggregate Initial Principal Amount of Certificates: $700,000,000 Class A Master Trust Certificates, Series 2001-3 Class A Expected Principal Payment Date: September 2006 Distribution Date Series and Class Designation of Designated Securities: Floating Rate Class A Master Trust Certificates, Series 2001-3 (the "Class A Certificates") Certificate Rating:

SEARS CREDIT ACCOUNT MASTER TRUST II MASTER TRUST CERTIFICATES PRICING AGREEMENT CLASS B Dated: September 25, 2001
Pricing Agreement • October 9th, 2001 • Sears Credit Account Master Trust Ii • Asset-backed securities

Aggregate Initial Principal Amount of Certificates: $57,000,000 Class B Master Trust Certificates, Series 2001-3 Class B Expected Principal Payment Date: October 2006 Distribution Date Series and Class Designation of Designated Securities: Floating Rate Class B Master Trust Certificates, Series 2001-3 (the "Class B Certificates") Certificate Rating:

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