{"component": "definition", "props": {"groups": [{"snippet": "means (a) prior to the delivery of a Guarantor Default Notice, the date falling on the 18th day of each month or, if such day is not a Business Day, the immediately following Business Day; and (b) following the delivery of a Guarantor Default Notice, any day on which any payment is required to be made by the Representative of the Covered Bondholders in accordance with the Post-Enforcement Priority of Payments, the relevant Final Terms and the Intercreditor Agreement;", "samples": [{"hash": "gHUgd2Yzza2", "uri": "https://archivio.ubibanca.it/bin/ncms0/ubibanca-documents/file.RigAlle____UBI%20CB1%20Base%20Prospectus%20Approved.pdf", "label": "archivio.ubibanca.it", "score": 14.704914093, "published": false}, {"hash": "dclY44frg3T", "uri": "https://archivio.ubibanca.it/bin/ncms0/ubibanca-documents/file.RigAlle____UBI%20CB1_2017_Prospectus_FINAL.pdf", "label": "archivio.ubibanca.it", "score": 14.6769962311, "published": false}, 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accordance with the terms of the Interest Rate Swap Agreement, the Receipt Ratio and the Average Loan Balance in respect of the relevant Calculation Period and shall notify the Guarantor and the Bond Trustee of such amounts and balances on the Toronto Business Day that is at least two days prior to the first <strong>Guarantor Payment Date</strong> following the relevant Calculation Period.", "The Cover Pool Monitor Fee will be payable on a <strong>Guarantor Payment Date</strong> in accordance with Section 6.2 (Cover Pool Monitor Payment Date) below.", "In the event that the Guarantor, the Cash Manager or the Issuer fails to receive a duly completed invoice at least 35 days prior to the relevant Cover Pool Monitor Payment Date, the Cover Pool Monitor Fee will become due and payable on the next <strong>Guarantor Payment Date</strong> falling not less than 35 days after receipt by the Guarantor, the Cash Manager and the Issuer of a duly completed invoice.", "On each <strong>Guarantor Payment Date</strong>, the Guarantor or the Cash Manager on its behalf will transfer funds from the GDA Account (or, as applicable, the Standby GDA Account) to the Transaction Account (or, as applicable, the Standby Transaction Account) in accordance with Article 6 (Priorities of Payments) of the Guarantor Agreement.", "The cash management fee referred to in Article 10 (Remuneration) hereof, plus GST due thereon, will be paid to the Substitute Cash Manager, where applicable, in arrears on each <strong>Guarantor Payment Date</strong> in the manner contemplated by and in accordance with the provisions of the applicable Priorities of Payments.", "On each <strong>Guarantor Payment Date</strong>, the Guarantor or the Cash Manager on its behalf will make payments directly from the GIC Account (or, as applicable, the Standby GIC Account), or transfer funds from the GIC Account (or, as applicable, the Standby GIC Account) to the Transaction Account (or, as applicable, the Standby Transaction 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