Retransfer Notice Date definition

Retransfer Notice Date. As defined in Section 2.06. ---------------------- SAIF: The Savings Association Insurance Fund, as from time to time ---- constituted, created under the Financial Institutions Reform, Recovery and Enhancement Act of 1989, or if at any time after the execution of this instrument the Savings Association Insurance Fund is not existing and performing duties now assigned to it, the body performing such duties on such date.
Retransfer Notice Date. As defined in Section 2.07 of the Sale and Servicing Agreement.
Retransfer Notice Date. As defined in Section 2.06.

Examples of Retransfer Notice Date in a sentence

  • On the 27th day of such Collection Period or if that day is not a Business Day the next preceding Business Day (the "Retransfer Notice Date"), the Transferor shall give the Trustee and the Custodial Agent a notice of the proposed retransfer that contains a list of the Mortgage Loans and the related property to be retransferred.

  • On the fifth Business Day (the "Retransfer Notice Date") prior to the Retransfer Date designated in such notice, the Transferor shall give the Trustee and the Servicer a notice of the proposed retransfer that contains a list of the Mortgage Loans to be retransferred.

  • On the fifth Business Day (the "Retransfer Notice Date") prior to the Retransfer Date designated in such notice, the Sponsor shall give the Indenture Trustee, the Insurer and the Servicer a notice of the proposed retransfer that contains a list of the Mortgage Loans to be retransferred.

  • In the meantime, it is found that firms’ R&D intensity is negatively linked with firm liability, efficiency and the existence of intangible assets.

  • The provider agency must report in writing to the AMHD Business Compliance Officer, instances in which suspected fraud has occurred within thirty (30) days of discovery.

  • The objective of the RFP is to appoint any qualified firm to undertakes activities of uploading of.

  • Improvement In-lieu Credit may be granted in situations where improvements are being provided as part of a public benefit incentive program if the provided improvements are listed as TIA Fee Improvements.


More Definitions of Retransfer Notice Date

Retransfer Notice Date. As defined in Section 2.07.

Related to Retransfer Notice Date

  • Transfer Notice means the notice of a proposed transfer of Shares described in Section 8.

  • Advance Notice Date means each date the Company delivers to the Investor an Advance Notice requiring the Investor to advance funds to the Company, subject to the terms of this Agreement. No Advance Notice Date shall be less than seven (7) Trading Days after the prior Advance Notice Date.

  • Notice Date has the meaning specified in Section 2.10.

  • Proposed Transfer Notice means written notice from a Key Holder setting forth the terms and conditions of a Proposed Key Holder Transfer.

  • Put Notice Date means the Trading Day, as set forth below, immediately following the day on which the Investor receives a Put Notice, however a Put Notice shall be deemed delivered on (a) the Trading Day it is received by facsimile or otherwise by the Investor if such notice is received prior to 9:00 am Eastern Time, or (b) the immediately succeeding Trading Day if it is received by facsimile or otherwise after 9:00 am Eastern Time on a Trading Day. No Put Notice may be deemed delivered on a day that is not a Trading Day.

  • Issuance Notice Date means any Trading Day during the Agency Period that an Issuance Notice is delivered pursuant to Section 3(b)(i).

  • First Offer Notice shall have the meaning set forth in Section 14.4(a).

  • Restriction Notice has the meaning set forth in Section 8.04(f) hereof.

  • Redemption Notice Date means, with respect to a Redemption, the date on which the Company sends the Redemption Notice for such Redemption pursuant to Section 4.03(F).

  • Offer Notice shall have the meaning set forth in Section 4.1.

  • Removal Notice Date means, with respect to the Removed Accounts designated hereby, , (which shall be a date on or prior to the fifth Business Day prior to the Removal Date).

  • Exercise Notice Deadline In respect of any exercise of Options hereunder on any Conversion Date, the “Scheduled Trading Day” prior to the scheduled first “VWAP Trading Day” of the “Observation Period” (each as defined in the Indenture, but, in the case of any such Observation Period, as modified by the provision set forth opposite the caption “Convertible Security Settlement Method”) relating to the Convertible Securities converted on the Conversion Date occurring on the relevant Exercise Date; provided that in the case of any exercise of Options hereunder in connection with the conversion of any Relevant Convertible Securities on any Conversion Date occurring during the period starting on and including June 4, 2020 and ending on and including the second “Scheduled Trading Day” immediately preceding the “Maturity Date” (each as defined in the Indenture) (the “Final Conversion Period”), the Exercise Notice Deadline shall be noon, New York City time, on the “Scheduled Trading Day” (as defined in the Indenture) immediately preceding the “Maturity Date” (as defined in the Indenture).

  • Initial Optional Purchase Date The first Distribution Date following the date on which the Aggregate Stated Principal Balance is less than 10.00% of the Cut-off Date Balance.

  • Option Notice has the meaning set forth in Section 5.2(a).

  • Auction Notice has the meaning assigned to such term in the definition of “Dutch Auction”.

  • Forced Conversion Notice Date shall have the meaning set forth in Section 6(d).

  • ROFR Notice has the meaning set forth in Section 3.02(d).

  • Notice Deadline means 2.30 p.m. (Dublin time), provided that the Notice Deadline in respect of any Series of ETP Securities may be adjusted by agreement between the Issuer and the Margin Loan Provider with effect from the fifth calendar day following the date on which notice of such adjustment is given to the holders in accordance with Condition 17.

  • Offered Shares has the meaning set forth in Section 3.02(a).

  • Optional Redemption Notice Date shall have the meaning set forth in Section 6(a).

  • Sale Notice has the meaning set forth in Section 9.18(b).

  • Offering Notice has the meaning set forth in Section 3.1(a).

  • Put Option Notice means a notice which must be delivered to a Paying Agent by any Noteholder wanting to exercise a right to redeem a Note at the option of the Noteholder;

  • ROFR means a right of first refusal to purchase or a right of first offer to purchase one or more of the Mortgaged Properties pursuant to a recorded instrument (or a memorandum thereof) encumbering the applicable Mortgaged Property.

  • Closing Notice Has the meaning specified in the NPA. Company: Has the meaning specified in the first paragraph of this Trust Supplement.