Our Reference No definition

Our Reference No. External ID: 53136024 / Risk ID: 447500083 & 447500088 Credit Suisse International has entered into a transaction with you as attached. Please find attached a letter agreement (the "Confirmation") which confirms the terms and conditions of the above transaction. If you agree with the terms specified therein, PLEASE ARRANGE FOR THE CONFIRMATION TO BE SIGNED BY YOUR AUTHORISED SIGNATORIES and return a signed copy to this office to the facsimile listed below.
Our Reference No. External ID: 9196195N / Risk ID: 47085078 Credit Suisse First Boston International has entered into a transaction with you as attached. Please find attached a letter agreement (the "Confirmation") which confirms the terms and conditions of the above transaction. If you agree with the terms specified therein, please arrange for the Confirmation to be signed by your authorised signatories and return a signed copy to this office to the facsimile listed below.
Our Reference No. External ID: 9269493 / Risk ID: 553570042 Credit Suisse First Boston International has entered into a transaction with you as attached. Please find attached a letter agreement (the "Confirmation") which confirms the terms and conditions of the above transaction. If you agree with the terms specified therein, please arrange for the Confirmation to be signed by your authorised signatories and return a signed copy to this office to the facsimile listed below. For Interest Rate Products: Telephone Numbers: (000) 000-0000 Facsimile number: (000) 000-0000 Email: xxxx.xxx-xxx-xxxxxx-xx@xxxx.xxx For Equity Derivatives: Telephone numbers: (000) 000-0000 / (000) 000-0000 / (000) 000-0000 Facsimile number: (000) 000-0000 For Credit Derivatives: Telephone Numbers: (000) 000-0000 Facsimile number: (000) 000-0000 Email: xxxx.xxx-xxx-xxxxxx-xx@xxxx.xxx We are delighted to have entered into this transaction with you. CONFIDENTIALITY NOTICE: This facsimile is intended only for the use of the individual or entity to which it is addressed and may contain information which is privileged and confidential. If the reader of this message is not the intended recipient or an employee or agent responsible for delivering the message to the intended recipient, you are hereby notified that any dissemination, distribution or copying of this communication is strictly prohibited. If you have received this communication in error, please notify us immediately by telephone and return the original message to us by mail. Thank you. U.S. Bank National Association, not individually, but solely as trustee on behalf of The Supplemental Interest Trust created under the Pooling and Servicing Agreement for Home Equity Mortgage Trust Series 2005-5 00 Xxxxxxxxxx Xxxxxx EP-MN-WS3D St. Xxxx, MN 55107-2292 External ID: 9269493 ______________________________________________________________________________ Dear Sir/Madam The purpose of this letter agreement (this "Confirmation") is to confirm the terms and conditions of the Transaction entered into between us on the Trade Date specified below (the "Transaction"). This Confirmation constitutes a "Confirmation" as referred to in the Agreement specified below. In this Confirmation "CSFBi" means Credit Suisse First Boston International and "Counterparty" means U.S. Bank National Association, not individually, but solely as trustee on behalf of The Supplemental Interest Trust created under the Pooling and Servicing Agreement for Home Equity Mortgage Trust Series...

Examples of Our Reference No in a sentence

  • Invitation for Bid No.: Our Reference: No..............................

  • RFQ No.: IN-APGWWAD-250470-GO-RFQ Our Reference: No..............................

  • Description of the Works*: “Improvement of subsided portion of Madaria Right Bank Road near Puras, Udaynarayanpur Block in the district of Howrah under WBMIFMP” RFQ No.: WBMIFMP/APD-IV/DPMU-II/NCB-01/23-24/PURAS_FM_XXXVIII Our Reference: No..............................

  • The italicized text is for Bidder’s guidance in preparing these forms and shall be deleted from the final products.RFQ No.: 04/TNIAMP/AGRI/ERD/PHASE I&II/GOODS/20-21 Our Reference: No..............................

  • Therefore the data will have the typical standardised formats used for storing floating point data and pictures and potentially movies (.CSV, .TXT, .PDF, .RAW, .JPEG, .CIF, .TIFF, .GPL, .AVI etc.).Actual formats and qualities will be determined during the final specification and installation of the respective experiments.In particular optical data acquisition and management is demanding regarding formats and storage size.


More Definitions of Our Reference No

Our Reference No. External ID: 53229255N3 / Risk ID: 447812594 Elections and Variables to the ISDA Credit Support Annex dated as of May 30, 2007 between XXXXX FARGO BANK, N.A., not in its individual or corporate capacity but solely CREDIT SUISSE INTERNATIONAL and as Supplemental Interest Trust Trustee on behalf of the Supplemental Interest Trust created under the Pooling and Servicing Agreement for the Adjustable Rate Mortgage Trust 2007-2 _______________________________________ _________________________________________ ("Party A") ("Party B") Paragraph 13.
Our Reference No. External ID: 53136028 / Risk ID: 447500098 Credit Suisse International has entered into a transaction with you as attached. Please find attached a letter agreement (the "Confirmation") which confirms the terms and conditions of the above transaction. If you agree with the terms specified therein, PLEASE ARRANGE FOR THE CONFIRMATION TO BE SIGNED BY YOUR AUTHORISED SIGNATORIES and return a signed copy to this office to the facsimile listed below. FOR INTEREST RATE PRODUCTS: Telephone Numbers: (212) 538-9370 Facsimile number: (917) 326-8603 Email: list.otc-inc-xxxxxx-xx@xxxdit-suisse.com FOR XXXXXX XXXXXXTIVES: Xxxxxxxxx xxxxxxx: (000) 000-0000 / (000) 538-8297 / (212) 325-5119 Facsimile number: (000) 000-0000 FOR CREDIT DERIVATXXXX: Xxxxxxxne Numbers: (212) 500-0000 Xxxxxxile number: (917) 326-8603 Email: list.otc-inx-xxxxxx-xx@xxedit-suisse.com Xx xxx xelighted xx xxxx xxxxxxx xxxx xxxx xxxxxxxxxxx xxth you.
Our Reference No. External ID: 53084952N3/Risk ID: 44733091 & 447330924 Schedule to the Master Agreement dated as of October 31, 2005 between Credit Suisse First Boston International, an unlimited company incorporated under the laws of England and Wales (“Party A”) and Xxxxx Fargo Bank, N.A., not in its individual capacity, but solely as Corridor Contract Administrator under the Corridor Contract Administration Agreement, dated as of October 31, 2005, by and among Xxxxx Fargo Bank, N.A., as Corridor Contract Administrator and Xxxxx Fargo Bank, N.A., as Securities Administrator on behalf of American Home Mortgage Assets Trust 2005-1 (“Party B”) Part 1
Our Reference No. External ID: 53315231N / Risk ID: 448096010 Dear Sir or Madam: The purpose of this letter agreement (this "Confirmation") is to confirm the terms and conditions of the transaction entered into between us on the Trade Date specified below (the "Transaction"). The definitions and provisions contained in the 2006 ISDA Definitions as published by the International Swaps and Derivatives Association, Inc. are incorporated into this Confirmation. In the event of any inconsistency between those definitions and provisions and this Confirmation, this Confirmation will govern. This Confirmation constitutes a "Confirmation" as referred to in, and supplements, forms part of and is subject to, the 1992 ISDA Master Agreement dated as of November 05, 2007, as amended and supplemented from time to time (the "Agreement") between Party A and Party B. All provisions contained in the Agreement govern this Confirmation except as expressly modified below. Party A and Party B each represents to the other that it has entered into this Swap Transaction in reliance upon such tax, accounting, regulatory, legal and financial advice as it deems necessary and not upon any view expressed by the other.
Our Reference No. External ID: 53136022 / Risk ID: 447500077 & 447500078 ACKNOWLEDGED AND AGREED Merrill Lynch Mortgage Lending Inc. By: --------------------------------- Name: ------------------------------- Title: ------------------------------ M-2-7 EXHIBIT M-3 XXXX XX XXXXXXXXXXX XXXXXXXXXXXX XXX XXXXXXXX To: The Supplemental Interest Trust created under the Pooling Servicing Agreement for Merrill Lynch Mortgage Investors Trxxx, Xxries 2006-HE4 Attention: Heakyung Chung, CSIN Marketer Fax number: To bx xxxxxxxxx xx Heakyung Chung Date: 25 July 2006 Pages (xxxxxxxxx xxver page): 7
Our Reference No. Reference Name: Xxxxxxx X. Xxxxx Internal Tracking No: Dear Sir/Madam,
Our Reference No. External ID: 53136022 / Risk ID: 447500077 & 447500078 ACKNOWLEDGED AND AGREED Xxxxxxx Xxxxx Mortgage Lending Inc. By: --------------------------------- Name: ------------------------------- Title: ------------------------------ XXXXXXX X-0 FORM OF SUBORDINATE CERTIFICATES CAP CONTRACT To: The Supplemental Interest Trust created under the Pooling Servicing Agreement for Xxxxxxx Xxxxx Mortgage Investors Trust, Series 2006-HE4 Attention: Xxxxxxxx Xxxxx, CSIN Marketer Fax number: To be delivered by Xxxxxxxx Xxxxx Date: 25 July 2006 Pages (including cover page): 7