Yield Maintenance Reserve Funds definition

Yield Maintenance Reserve Funds. The separate Eligible Accounts created and maintained by the Trustee pursuant to Section 3.06(f) in the name of the Trustee for the benefit of the Holders of (a) the Class 1-A-1A and Class 1-A-1B Certificates, (b) the Class 2-A-1A, Class 2-A-1B and Class 2-A-2A Certificates and (c) the Class 2-A-2B Certificates, as applicable, and designated "Deutsche Bank National Trust Company in trust for registered holders of IndyMac INDX Mortgage Loan Trust 2004-AR14, Mortgage Pass-Through Certificates, Series 2004-AR14, [Class 1-A-1A and Class 1-A-1B], [Class 2-A-1A, Class 2-A-1B and Class 2-A-2A] [Class 2-A-2B]." Funds in the Yield Maintenance Reserve Funds shall be held in trust for the Holders of the related Class or Classes of Certificates for the uses and purposes set forth in this Agreement. The Yield Maintenance Reserve Funds will not be an asset of any REMIC.
Yield Maintenance Reserve Funds. The separate Eligible Accounts created and maintained by the Trustee pursuant to Section 3.06(f) in the name of the Trustee for the benefit of the Holders of the Class 1-A-1, Class 2-A-1, Class 2-A-2A and Class 2-A-2B Certificates, as applicable, and designated "Deutsche Bank National Trust Company in trust for registered holders of IndyMac INDX Mortgage Loan Trust 2004-AR10, Mortgage Pass-Through Certificates, Series 2004-AR10, [Class 1-A-1], [Class 2-A-1, Class 2-A-2A and Class 2-A-2B]." Funds in the Yield Maintenance Reserve Funds shall be held in trust for the Holders of the related Class or Classes of Certificates for the uses and purposes set forth in this Agreement. The Yield Maintenance Reserve Funds will not be an asset of any REMIC.
Yield Maintenance Reserve Funds. The separate Eligible Accounts created and maintained by the Trustee pursuant to Section 3.06(f) in the name of the Trustee for the benefit of the Holders of the Class 1-A-1 and Class 2-A-1 Certificates, as applicable, and designated "Deutsche Bank National Trust Company in trust for registered holders of IndyMac INDX Mortgage Loan Trust 2004-AR1, Mortgage Pass-Through Certificates, Series 2004-AR1, Class 1-A-1, Class 2-A-1. Funds in the Yield Maintenance Reserve Funds shall be held in trust for the Holders of the related Class of Certificates for the uses and purposes set forth in this Agreement. The Yield Maintenance Reserve Funds will not be an asset of any REMIC.

Examples of Yield Maintenance Reserve Funds in a sentence

  • The Trustee shall account for the Yield Maintenance Reserve Funds as outside reserve funds within the meaning of Treasury regulation 1.860G-2(h) and not an asset of any REMIC created pursuant to this Agreement.

  • The amount of any realized losses on Permitted Investments in the Yield Maintenance Reserve Funds shall promptly be deposited by the Seller in the related Yield Maintenance Reserve Fund.

  • Funds in the Yield Maintenance Reserve Funds shall be invested in Permitted Investments, which shall mature on or before the next Distribution Date, by the Trustee at the direction of the Seller.

  • The Seller shall be the owner of the Yield Maintenance Reserve Funds for federal tax purposes.

  • The Lower Tier REMIC will hold as assets all property of the Trust Fund (exclusive of the Yield Maintenance Agreements and Yield Maintenance Reserve Funds).

  • The Trust Fund (exclusive of the Yield Maintenance Agreements and Yield Maintenance Reserve Funds) for federal income tax purposes will consist of two REMICs (the "Lower Tier REMIC" and the "Master REMIC").

  • The Trustee shall treat the Yield Maintenance Reserve Funds and Carryover Reserve Fund as outside reserve funds within the meaning of Treasury Regulation 1.860G-2(h) that is owned by the holders of the Class A-X-2 Certificates, and that is not an asset of any REMIC created hereunder.

  • Funds in the Yield Maintenance Reserve Funds shall be invested in Permitted Investments, which shall mature on or before the next Distribution Date, by the Trustee at the direction of Deutsche Bank Securities Inc.

  • The amount of any realized losses on Permitted Investments in the Yield Maintenance Reserve Funds shall promptly be deposited by Deutsche Bank Securities Inc.

  • REMIC 1 will hold as assets all property of the Trust Fund (exclusive of the Yield Maintenance Agreements and Yield Maintenance Reserve Funds).


More Definitions of Yield Maintenance Reserve Funds

Yield Maintenance Reserve Funds. The Class A-1 Yield Maintenance Reserve Fund and the Class A-2 Yield Maintenance Reserve Fund.
Yield Maintenance Reserve Funds means the three separate trust ------------------------------- accounts created and maintained pursuant to Section 8.09 in the name of the Trust in an Eligible Institution.
Yield Maintenance Reserve Funds. The BSFP Class A-1/Class A-12 Yield Maintenance Reserve Fund, Bank of America Class A-1/Class A-12 Yield Maintenance Reserve Fund, the Class A-3 Yield Maintenance Reserve Fund, the Class A-4 Yield Maintenance Reserve Fund, the Class A-5 Yield Maintenance Reserve Fund and the Class A-11 Yield Maintenance Reserve Fund.
Yield Maintenance Reserve Funds means the four separate trust accounts created and maintained pursuant to Section 8.09 in the name of the Trust in an Eligible Institution.

Related to Yield Maintenance Reserve Funds

  • Yield Maintenance Account The separate trust account maintained and held by the Trustee pursuant to Section 3.16, which account shall bear a designation clearly indicating that the funds deposited therein are held in trust for the benefit of the Trust on behalf of the Class A Certificateholders, and which account provides that the Trustee may make, or cause to be made, withdrawals therefrom in accordance with Section 3.16.

  • Debt Service Reserve Fund means the fund by that name established pursuant to the Second Resolution.

  • Yield Maintenance Amount means, with respect to any Note, an amount equal to the excess, if any, of the Discounted Value of the Called Principal of such Note over the sum of (i) such Called Principal plus (ii) interest accrued thereon as of (including interest due on) the Settlement Date with respect to such Called Principal. The Yield-Maintenance Amount shall in no event be less than zero.

  • Yield Maintenance Charge With respect to any Mortgage Loan or Serviced Companion Loan, the yield maintenance charge or prepayment premium, if any, payable under the related Note in connection with certain prepayments.

  • Debt Service Reserve Account as defined in the Depositary Agreement.

  • Yield Maintenance Premium means the amount (if any) which, when added to the remaining principal amount of this Note, will be sufficient to purchase U.S. Obligations providing the required Scheduled Defeasance Payments; and

  • Reserve Fund means the account designated as such, and established and maintained pursuant to Section 4.01.

  • Replacement Reserve Fund shall have the meaning set forth in Section 7.3.1 hereof.

  • Replacement Reserve Account shall have the meaning set forth in Section 7.3.1 hereof.

  • FF&E Reserve Account shall have the meaning set forth in Section 7.3 hereof.

  • Yield Maintenance Period means the period from and including the date of this Note until but not including the Scheduled Initial Maturity Date.

  • Interest Reserve Account means that Interest Reserve Account maintained by the Master Servicer pursuant to Section 5.1(a), which account shall be an Eligible Account.

  • Expense Reserve Account The trust account established pursuant to Section 10.3(d).

  • Reserve Funds means, collectively, the Tax and Insurance Escrow Fund, the Replacement Reserve Fund, the Required Repair Fund, the Initial Renovation Reserve Fund, the Interest Reserve Fund, the General Reserve Fund, any funds on deposit in the Construction Loan Reserve Account, any Shortfall Funds and any other escrow fund established pursuant to the Loan Documents.

  • Cash Reserve Account means an Eligible Deposit Account established in the name of the Trust and designated as the Cash Reserve Account for the purposes hereof, the balance of which shall be subject to the control of the Trust for the benefit of the Trust and the Seller and applied in accordance with the terms hereof, which account shall bear interest and shall initially be account number [*], maintained at [*];

  • Replacement Reserve Monthly Deposit shall have the meaning set forth in Section 7.3.1 hereof.

  • Carryover Reserve Fund The separate Eligible Account created and initially maintained by the Trustee pursuant to Section 3.05(g) in the name of the Trustee for the benefit of the Holders of the Offered Certificates and designated "The Bank of New York in trust for registered holders of CWALT, Inc., Alternative Loan Trust 2006-OC10, Mortgage Pass-Through Certificates, Series 2006-OC10." Funds in the Carryover Reserve Fund shall be held in trust for the Holders of the Offered Certificates for the uses and purposes set forth in this Agreement.

  • Spread Maintenance Premium means, with respect to any payment or prepayment, an amount equal to the product of the following: (i) the LIBOR Margin, the Alternate Rate Spread or the Base Rate Spread then applicable to each such future installment of interest, multiplied by (ii) the principal amount of the Loan so prepaid, and multiplied by (iii) a fraction, the numerator of which is the number of days following the date through which interest on the prepaid amount has been paid through and including December 14, 2019, and the denominator of which is 360.

  • AMPS Basic Maintenance Amount, as of any Valuation Date, means the dollar amount equal to (i) the sum of (A) the product of the number of shares of AMPS and Other AMPS Outstanding on such Valuation Date multiplied by the sum of (a) $25,000 and (b) any applicable redemption premium attributable to the designation of a Premium Call Period; (B) the aggregate amount of cash dividends (whether or not earned or declared) that will have accumulated for each share of AMPS and Other AMPS Outstanding, in each case, to (but not including) the end of the current Dividend Period that follows such Valuation Date in the event the then current Dividend Period will end within 49 calendar days of such Valuation Date or

  • Reserve Draw Amount shall have the meaning specified in subsection 4.12(c).

  • Reserve Account Draw Amount means, for any Payment Date, an amount equal to the lesser of (a) the Available Funds Shortfall Amount, if any, for such Payment Date and (b) the amount of cash or other immediately available funds on deposit in the Reserve Account (excluding any net investment earnings) on such Payment Date; provided, however, that if such Payment Date is the Redemption Date, the “Reserve Account Draw Amount” shall mean an amount equal to the amount of cash or other immediately available funds on deposit in the Reserve Account on the Redemption Date.

  • Debt Service Reserve Fund Requirement means, with respect to the 2013 Series C Bonds and as of each determination date, an amount equal to maximum annual debt service on the 2013 Series C Bonds Outstanding from time to time and, with respect to any other Series of Bonds, the amount set forth in the Related Series Indenture.

  • Series Reserve Account means the Reserve Account for the Series of Bonds established in the Reserve Fund by Supplemental Indenture in an amount equal to the Series Reserve Account Requirement for such Series of Bonds.

  • Reserve Account means the account designated as such, established and maintained pursuant to Section 5.07.

  • Liquidity Reserve Account shall have the meaning set forth in Section 8.2(A)(iii).

  • Principal Reserve Fund The separate Eligible Account created and initially maintained by the Trustee pursuant to Section 3.08 in the name of the Trustee for the benefit of the Certificateholders and designated "The Bank of New York in trust for registered Holders of CWABS, Inc., Asset-Backed Certificates, Series 2005-3". Funds in the Principal Reserve Fund shall be held in trust for the Certificateholders for the uses and purposes set forth in this Agreement.