ContractAssignment of Receivables • May 11th, 2009 • Chase Issuance Trust • Asset-backed securities • Delaware
Contract Type FiledMay 11th, 2009 Company Industry JurisdictionASSIGNMENT NO. 28 OF RECEIVABLES IN ADDITIONAL ACCOUNTS, dated as of May 8, 2009, by and between CHASE BANK USA, NATIONAL ASSOCIATION, a national banking association (the “Bank”), as Transferor (in such capacity, the “Transferor”), and the CHASE ISSUANCE TRUST (the “Trust”), pursuant to the Agreement referred to below, and acknowledged by the Bank in its capacity as servicer under the Agreement referred to below (in such capacity, the “Servicer”).
ContractAssignment of Receivables • May 11th, 2009 • Chase Issuance Trust • Asset-backed securities • Delaware
Contract Type FiledMay 11th, 2009 Company Industry JurisdictionASSIGNMENT NO. 28 OF RECEIVABLES IN ADDITIONAL ACCOUNTS INCLUDED IN ASSET POOL ONE (this “Assignment”), dated as of May 8, 2009, by and between CHASE ISSUANCE TRUST (the “Trust”) and WELLS FARGO BANK, NATIONAL ASSOCIATION (“Wells Fargo”) as collateral agent (in such capacity, the “Collateral Agent”), pursuant to the Asset Pool One Supplement referred to below, and acknowledged by Chase Bank USA, National Association, in its capacity as servicer under the Third Amended and Restated Transfer and Servicing Agreement, dated as of December 19, 2007 (the “Transfer and Servicing Agreement”), among Chase Bank USA, National Association, as transferor, administrator and servicer, the Trust and Wells Fargo, as indenture trustee (in such capacity, the “Indenture Trustee”) and Collateral Agent (in such capacity, the “Collateral Agent”).