Goldman Conduit Sale Agreements definition

Goldman Conduit Sale Agreements. The Master Loan Purchase Agreements, between various mortgage loan sellers and GSMC, dated as of their respective dates, as modified by the related Assignment Agreements.
Goldman Conduit Sale Agreements. The Master Loan Purchase Agreements, between various mortgage loan sellers and Gxxxxxx Sxxxx Mortgage Company, dated as of their respective dates.
Goldman Conduit Sale Agreements. The Master Loan Purchase Agreements, between various mortgage loan sellers and GSMC, dated as of their respective dates, as modified by the related Assignment Agreements. GreenPoint: GreenPoint Mortgage Funding, Inc., a New York corporation, and its successors in interest.

More Definitions of Goldman Conduit Sale Agreements

Goldman Conduit Sale Agreements. The Master Loan Purchase Agreements, between various mortgage loan sellers and GSMC, dated as of their respective dates, together with the Trade Confirmation dated February 2, 2007, between GSMC and Just Mortgage, Inc. (“Just Mortgage”), the Trade Confirmation dated May 29, 2007, between GSMC and SCME Mortgage Bankers, Inc. (“SCME”), the Trade Confirmation dated July 5, 2007, between GSMC and SCME, the Trade Confirmation dated January 25, 2007, between GSMC and Loan Link Financial Services (“Loan Link”), the Trade Confirmation dated January 9, 2007, between GSMC and Residential Mortgage Capital (“RMC”), the Trade Confirmation dated April 25, 2007, between GSMC and RMC, the Trade Confirmation dated May 2, 2007, between GSMC and RMC, the Purchase Price and Terms Agreement dated December 4, 2006, between GSMC and Xxxx Financial, LLC (“Xxxx Financial”), the Purchase Price and Terms Agreement dated April 23, 2007, between GSMC and Xxxx Financial, the Purchase Confirmation dated January 23, 2007, between GSMC and Quicken Loans, Inc. (“Quicken”), the Purchase Confirmation dated February 13, 2007, between GSMC and Quicken, the Purchase Confirmation dated February 26, 2007, between GSMC and Quicken and the Purchase Confirmation dated June 18, 2007, between GSMC and Quicken (collectively, the “PPTL Agreements”), the Master Mortgage Loan Purchase Agreement dated as of April 5, 2006, between GSMC and Just Mortgage, the Master Mortgage Loan Purchase Agreement dated as of September 23, 2004, between GSMC and SCME, the Master Mortgage Loan Purchase Agreement dated as of January 25, 2007, between GSMC and Loan Link, the Master Mortgage Loan Purchase Agreement dated as of November 26, 2004, between GSMC and RMC, the Flow Mortgage Loan Purchase and Warranties Agreement dated as of May 1, 2006, as amended by Amendment No. 1 dated as of December 1, 2007, between GSMC and Xxxx Financial and the Amended and Restated Seller’s Purchase, Warranties and Interim Servicing Agreement dated as of June 1, 2006, between GSMC and Quicken, as amended by Amendment No. 1 dated as of October 30, 2006.
Goldman Conduit Sale Agreements. The Master Loan Purchase Agreements, between various mortgage loan sellers and GSMC, dated as of their respective dates, together with the Trade Confirmation dated June 7, 2006, between GSMC and New Century Mortgage Corporation, the Master Loan Purchase Agreement dated as of October 28, 2004, between GSMC and Alliance Bancorp and the Master Loan Purchase Agreement dated as of June 15, 2005, between GSMC and DHI Mortgage Company, Ltd., in each case as each may be modified by the related Assignment Agreements.

Related to Goldman Conduit Sale Agreements

  • Loan Sale Agreement means the Commercial Loan Sale Agreement, dated as of the date hereof, between the Originator and the Trust Depositor, as such agreement may be amended, modified, waived, supplemented or restated from time to time.

  • Investment Management Agreement means the Investment Management Agreement, dated as of the date hereof, by and between the Investment Manager and the Borrower.

  • Asset Sale Agreement means that certain Asset Sale Agreement between Buyer and Seller, dated as of the date hereof.

  • Non-Lead Securitization Servicing Agreement shall have the meaning assigned to such term in Section 2(b).

  • Lead Securitization Servicing Agreement means (i) the pooling and servicing agreement or other comparable agreement related to the Lead Securitization, and (ii) on and after the date on which the Mortgage Loan is no longer subject to the provisions of the Lead Securitization Servicing Agreement, the “Lead Securitization Servicing Agreement” shall be determined in accordance with the second paragraph of Section 2(a).

  • Mortgage Loan Sale Agreement The mortgage loan sale and assignment agreement dated as of November 1, 2003, for the sale of the Mortgage Loans by the Seller to the Depositor.

  • Original Financing Agreement means the development credit agreement for a Social Investment Program Project between the Recipient and the Association, dated April 7, 2003, as amended to the date of this Agreement (Credit No. 3740-BD).

  • Collateral Management Agreement The agreement dated as of the Closing Date, between the Issuer and the Collateral Manager relating to the management of the Collateral Obligations and the other Assets by the Collateral Manager on behalf of the Issuer, as amended from time to time in accordance with the terms thereof.

  • Open Market Sale Agreement is a service mark of Xxxxxxxxx LLC

  • REAL ESTATE MORTGAGE INVESTMENT CONDUIT (A "REMIC") AS THOSE TERMS ARE DEFINED, RESPECTIVELY, IN SECTIONS 860G AND 860D OF THE INTERNAL REVENUE CODE OF 1986, AS AMENDED (THE "CODE"). [FOR SUBORDINATE CERTIFICATES][THIS CERTIFICATE IS SUBORDINATE TO ONE OR MORE CLASSES OF CERTIFICATES OF THE SAME SERIES AS AND TO THE EXTENT DESCRIBED IN THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.] [FOR PRINCIPAL BALANCE CERTIFICATES][THE OUTSTANDING CERTIFICATE PRINCIPAL BALANCE HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE.] [FOR CLASS X-1 AND CLASS X-2 CERTIFICATES][THE OUTSTANDING CERTIFICATE NOTIONAL AMOUNT HEREOF AT ANY TIME MAY BE LESS THAN THE AMOUNT SHOWN ABOVE. THIS CERTIFICATE DOES NOT HAVE A CERTIFICATE PRINCIPAL BALANCE AND WILL NOT ENTITLE THE HOLDER HEREOF TO DISTRIBUTIONS OF PRINCIPAL.] [FOR REGULATION S GLOBAL CERTIFICATES][PRIOR TO THE DATE THAT IS 40 DAYS AFTER THE LATER OF (A) THE CLOSING DATE AND (B) THE COMMENCEMENT OF THE INITIAL OFFERING OF THE CERTIFICATES IN RELIANCE ON REGULATION S, THIS CERTIFICATE MAY NOT BE OFFERED, SOLD, PLEDGED OR OTHERWISE TRANSFERRED IN THE UNITED STATES OR TO A U.S. PERSON EXCEPT PURSUANT TO AN EXEMPTION FROM THE REGISTRATION REQUIREMENTS OF THE SECURITIES ACT OF 1933, AS AMENDED. NO BENEFICIAL OWNERS OF THIS CERTIFICATE SHALL BE ENTITLED TO RECEIVE PAYMENT OF PRINCIPAL OR INTEREST HEREON UNLESS THE REQUIRED CERTIFICATIONS HAVE BEEN DELIVERED PURSUANT TO THE TERMS OF THE POOLING AND SERVICING AGREEMENT REFERRED TO HEREIN.]

  • Receivables Sale Agreement means that certain Third Amended and Restated Receivables Sale Agreement, dated as of May 18, 2011, between the Originator and the Seller (as amended, restated, supplemented or otherwise modified and in effect from time to time).

  • Goldman Sachs means Goldman Sachs & Co. LLC.

  • Investment Agreements or “Flow-Through Agreements” means written agreements pursuant to which the Partnership will subscribe for Flow-Through Shares (including Flow-Through Shares issued as part of a unit) or agreements by the Partnership to otherwise invest in or purchase securities of a Resource Issuer, and in respect of Flow-Through Shares comprised of units, the Resource Issuer will covenant and agree:

  • Securitization Servicing Agreement means the Lead Securitization Servicing Agreement or any Non-Lead Securitization Servicing Agreement.

  • Swap Administration Agreement As defined in Section 4.08(b).

  • Issuer Administration Agreement means that certain issuer administration agreement, dated as of the date hereof, among the Administrator, the Issuer, the Transferor and the Indenture Trustee.

  • Sale Agreement means the Sale Agreement Master Securitization Terms Number 1000, dated as of August 15, 2013, among SLM Funding LLC, as Seller, SLM Student Loan Trust 2013-4, as Purchaser, and Deutsche Bank Trust Company Americas, as Interim Eligible Lender Trustee and as Eligible Lender Trustee.

  • Treasury Management Agreement means any agreement governing the provision of treasury or cash management services, including deposit accounts, overdraft, credit or debit card, funds transfer, automated clearinghouse, zero balance accounts, returned check concentration, controlled disbursement, lockbox, account reconciliation and reporting and trade finance services and other cash management services.

  • Securities Lending Agreement means an agreement under which a local agency agrees to transfer securities to a borrower who, in turn, agrees to provide collateral to the local agency. During the term of the agreement, both the securities and the collateral are held by a third party. At the conclusion of the agreement, the securities are transferred back to the local agency in return for the collateral.

  • Auction Agency Agreement means the agreement between the Fund and the Auction Agent which provides, among other things, that the Auction Agent will follow the Auction Procedures for purposes of determining the Applicable Rate for shares of a series of MuniPreferred so long as the Applicable Rate for shares of such series is to be based on the results of an Auction.

  • Master Funding Agreement means the Master Funding Agreement entered into by the Company and the Secretary of State on March 1st 2015.

  • Collateral Administration Agreement An agreement dated as of the Closing Date among the Issuer, the Collateral Manager and the Collateral Administrator, as amended from time to time in accordance with the terms thereof.

  • Reinvestment Agreement means a guaranteed reinvestment agreement from a bank, insurance company or other corporation or entity, in each case, at the date of such acquisition having a credit rating of at least A-1 from S&P and at least P-1 from Moody’s; provided that such agreement provides that it is terminable by the purchaser, without penalty, if the rating assigned to such agreement by either S&P or Xxxxx’x is at any time lower than such ratings.

  • Investment Agreement shall have the meaning set forth in the Recitals hereto.

  • Sale Agreements This Agreement, the Current Excess Servicing Spread Acquisition Agreement for FHLMC Mortgage Loans, the Current Excess Servicing Spread Acquisition for GNMA Mortgage Loans and the Current Excess Servicing Spread Acquisition Agreement for Non-Agency Mortgage Loans.