Classes of Trust Fund Certificates. The Trust Fund Certificates authorized by this Trust Agreement shall be divided into the Classes listed on the cover of the Prospectus Supplement (other than the Class 46-RL Certificate), which Classes shall have the Class designations, original Class Balances, Interest Rates and Final Distribution Dates specified in the Prospectus Supplement.
Classes of Trust Fund Certificates. The Trust Fund Certificates authorized by this Trust Agreement shall be divided into twenty-six Classes of Trust Fund Certificates having the terms and provisions hereinafter set forth. The Class designations, original Class Certificate Principal Balances, Certificate Interest Rates and Final Distribution Dates shall be as follows: Original Class Certificate Certificate Final Class Principal Balance Interest Rate Distribution Date Class 28-PA $ 5,180,000 5.000% January 2011 Class 28-PB 42,562,000 7.250% March 2018 Class 28-PC 41,341,000 7.375% March 2022 Class 28-PD 18,150,000 7.500% July 2023 Class 28-PE 46,371,000 7.500% May 2026 Class 28-PG 20,815,000 7.500% May 2027 Class 28-PH (1) 7.500% March 2022 Class 28-F 77,048,000 (2) May 2027 Class 28-S 9,631,000 (2) May 2027 Class 28-SA (1) (2) May 2027 Class 28-FB 22,752,000 (2) May 2027 Class 28-SB 2,844,000 (2) May 2027 Class 28-Z 7,075,000 8.000% May 2027 Class 28-E 6,231,000 (3) May 2027 Class 28-G 7,921,000 7.500% August 2002 Class 28-H 112,188,000 7.500% October 2022 Class 28-J 26,000,000 7.500% September 2024 Class 28-LL 32,000,000 7.500% February 2026 Class 28-K 16,732,000 7.500% August 2016 Class 28-ZA 5,159,000 7.500% April 2027 Class 28-A 117,622,000 7.000% August 2026 Class 28-B 9,878,000 7.000% May 2027 Class 28-C 22,500,000 7.000% May 2027 Class 28-D (1) 1.450% May 2027 Class 28-FA 72,227,460 (4) May 2027 Class 28-R (5) (5) May 2027
Classes of Trust Fund Certificates. The Trust Fund Certificates authorized by this Trust Agreement shall be divided into six Classes of Certificates having the terms and provisions hereinafter set forth. The Class designations, original Class Certificate Principal Balances, Certificate Interest Rates and Final Distribution Dates shall be as follows: Original Class Certificate Final Distribution Principal Balance Certificate Interest Rate Date Class 2-A ............................. $35,607,446 (1) September 2003 Class 2-B ............................. 36,967,000 (1) February 2008 Class 2-C ............................. 118,564,000 (1) October 2016 Class 2-D ............................. 109,240,105 (1) August 2021 Class 2-Z ............................. 32,216,839 (1) January 2037
Classes of Trust Fund Certificates. The Trust Fund Certificates authorized by this Trust Agreement shall be divided into ten Classes of Trust Fund Certificates having the terms and provisions hereinafter set forth. The Class designations, original Class Certificate Principal Balances, Certificate Interest Rates and Final Distribution Dates shall be as follows: Original Class Certificate Certificate Final Principal Interest Distribution Class Balance Rate Date Class 2-F $257,500,000 (2) January 2021 Class 2-S (1) (2) January 2021 Class 2-Z 21,492,000 8.500000% April 2021 Class 2-FA 51,216,000 (2) March 2012 Class 2-ZA 19,792,000 8.50000% February 2027 Class 2-PA 7,753,754 (3) April 2022 Class 2-SA (1) (2) April 2022 Class 2-SB (1) (2) March 2024 Class 2-SC (1) (2) March 2024 Class 2-R (4) (4) February 2027
Classes of Trust Fund Certificates. The Trust Fund Certificates authorized by this Trust Agreement shall be divided into the Classes listed on the cover of the Prospectus Supplement (other than the Class 12-RL Certificate), which Classes shall have the Class designations, original Class Balances, Interest Rates and Final Distribution Dates specified in the Prospectus Supplement; provided, however, that the initial Interest Rates for the Classes specified below shall be as follows: Class Initial Interest Rate SC 2.3125 FD 5.6875 SD 10.02083 SA 7.500 SB 7.21875 XX 0.0000 XX 0.0000 XX 10.000 FJ 5.5375 SJ 3.1425 FK 5.2875 SK 10.44062
Classes of Trust Fund Certificates. The Trust Fund Certificates authorized by this Trust Agreement shall be divided into the Classes listed on the cover of the Prospectus Supplement (other than the Class 97-RL Certificate), which Classes shall have the Class designations, original Class Balances, Interest Rates and Final Distribution Dates specified in the Prospectus Supplement; provided, however, that the initial Interest Rates for the XJ, XW, TW and SW Classes (as specified in the Prospectus Supplement) shall be 11.16000%, 3.91786%, 6.50000% and 15.07786%, respectively.
Classes of Trust Fund Certificates. The Trust Fund Certificates authorized by this Trust Agreement shall be divided into the Classes listed on the cover of the Prospectus Supplement (other than the Class 51-RL Certificate), which Classes shall have the Class designations, original Class Balances, Interest Rates and Final Distribution Dates specified in the Prospectus Supplement; provided, however, that the initial Interest Rates for the Classes specified below shall be as follows: Initial Class Interest Rate SG 18.2800% SH 2.37971% SY 18.2800%
Classes of Trust Fund Certificates. The Trust Fund Certificates authorized by this Trust Agreement shall be divided into the Classes of Certificates having the terms and provisions hereinafter set forth. The Class designations and original Class Balances shall be as follows: Class Original Class Balance A1 .............................. $143,750,471 A2 .............................. 92,511,561 A3 .............................. 70,635,821 A4 .............................. 140,187,400 A5 .............................. 117,024,594 PO.............................. 1,725,935 IO-1 ........................... 447,085,254(1) IO-2 ........................... 117,024,594(1) A6 .............................. 50,395,322 R ................................ 0 (1) Notional balances. These Classes are Interest Only Classes.
Classes of Trust Fund Certificates. The Trust Fund Certificates authorized by this Trust Agreement shall be divided into ninety-three Classes of Trust Fund Certificates having the terms and provisions hereinafter set forth. The Class designations, original Class Certificate Principal Balances, Certificate Interest Rates and Final Distribution Dates shall be as follows: Class Class Group Original Class Certificate Principal Balance Certificate Interest Rate Final Distribution Date FA 1 $147,692,794 (1) March 2027 SA 1 (2) (1) August 2015 SD 1 (2) (1) August 2015 PA 1 43,408,990 5.00% August 0000 XX 1 219,403,615 7.50 March 0000 X 0 18,091,577 (3) March 2027 SC 1 (2) (1) March 2027 SB 1 (2) (1) March 2027 VH 1 18,403,024 (1) March 2027 ZA 1 13,000,000 8.50 March 2027 FB 2 214,761,924 (1) March 2027 FC 2 32,500,000 (1) March 2027 FD 2 81,148,293 (1) March 0000 XX 0 104,437,745 (1) March 2027 SH 2 (2) (1) April 2015 SP 2 (2) (1) April 2015 SN 2 (2) (1) April 2015 SK 2 (2) (1) April 2015 PL 2 29,781,631 4.90 April 2015 VQ 2 (2) (1) April 2015 PC 2 78,688,876 5.00 April 2015 PD 2 634,950,255 7.50 March 2027 EB 2 51,265,112 (3) March 2027 SG 2 (2) (1) March 2027 SM 2 (2) (1) March 2027 SE 2 (2) (1) March 2027 SL 2 38,466,164 (1) March 2027 ZB 2 39,000,000 8.50 March 2027 SQ 3 35,353 (1) April 2022 VG 3 (2) (1) April 2022 SY 3 76,785 (1) April 2022 ST 3 62,386 (1) April 2022 Class Class Group Original Class Certificate Principal Balance Certificate Interest Rate Final Distribution Date SU 4 (2) (1) January 2024 SV 4 (2) (1) January 0000 XX 0 (2) (1) February 2024 SX 5 (2) (1) February 2024 PF 6 64,855,000 (1) November 2016 PS 6 (2) (1) November 2016 PG 6 141,270,000 5.00 March 2027 PI 6 (2) 8.00 October 2022 PJ 6 (2) 8.00 March 2027 EC 6 7,875,000 (3) March 2027 FE 6 38,000,000 (1) June 2025 FG 6 33,000,000 (1) June 2025 FH 6 29,111,111 () June 2025 FK 6 5,888,889 (1) June 2025 VE 6 (2) (1) June 2025 ZC 6 15,000,000 8.50% March 2027 ZD 6 5,000,000 8.50 March 2027 PH 7 56,565,220 7.50 November 2011 PK 7 61,311,951 6.50 October 2017 PM 7 52,214,049 6.50 December 2020 PN 7 52,609,610 6.75 June 2023 PR 7 67,047,585 7.00 November 2025 PT 7 45,489,512 7.50 March 2027 PV 7 (2) 7.50 December 2020 PW 7 (2) 7.50 November 2025 A 7 65,069,780 7.25 March 2027 AI 7 (2) 7.50 March 2027 ED 7 20,179,068 (3) March 2027 FL 7 83,659,566 (1) August 2025 VM 7 (2) (1) August 2025 ZE 7 19,390,244 8.50 March 2027 ZG 7 6,463,415 8.50 March 2027 B 8 4,900,000 9.50 May 2005 CF 8 59,760,000 (1) December 2025 CS 8 (2) (1) Decemb...
Classes of Trust Fund Certificates. The Trust Fund Certificates authorized by this Trust Agreement shall be divided into the Classes listed on the cover of the Prospectus Supplement (other than the Class 59-RL Certificate), which Classes shall have the Class designations, original Class Balances (and, in the case of the IP Class, original Component Balances), Interest Rates and Final Distribution Dates specified in the Prospectus Supplement; provided, however, that the initial Interest Rates for the ES, GS, SH, SX, SU, SW and CS Classes shall be as follows: Class Rate ES 0.67750% GS 0.00000% SH 0.67750% SX 4.96250% SU 0.00000% SW 7.67834% CS 2.25834%