📄 Extracted Text (235 words)
You should rely only on the information contained in this Offering Circular. We have not authorized
anyone to provide you with different information. We are not, and the Initial Purchaser and Placement
Agent are not, making an offer of these Securities in any jurisdiction where the offer is not permitted. You
should not assume that the information contained in this Offering Circular is accurate as of any date other
than the date on the front of this Offering Circular.
TABLE OF CONTENTS
SUMMARY OF TERMS 1
RISK FACTORS 6
THE CO-ISSUERS 21
General 21
Capitalization of the Issuer 22
The Administrator 22
DESCRIPTION OF THE NOTES 23
General 23
Payments 23
Priority, of Payments 26
Maturity of the Securities 29
Optional Redemption 29
Mandatory Redemption 30
Special Redemption 31
Cancellation. 31
Form, Denomination and Registration of the Notes 31
The Indenture and the Collateral Administration Agreement 36
SECURITY FOR THE NOTES 42
Collateral Obligations 42
The Collateral Quality Test 43
The Portfolio Profile Test 44
The Coverage Tests 46
Ramp-Up Period 46
Sales and Purchases of Collateral Obligations 47
Issuer Accounts 49
THE COLLATERAL MANAGER AND THE COLLATERAL MANAGEMENT AGREEMENT 52
The Collateral Manager 52
The Collateral Management Agreement 53
USE OF PROCEEDS 59
PURCHASE AND TRANSFER RESTRICTIONS 60
Senior Notes 60
Transferees of Interests in Rule 144A Global Notes 61
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e) DB-SDNY-0055894
CONFIDENTIAL SDNY GM_00202078
EFTA01365218
ℹ️ Document Details
SHA-256
2cd959c7847019bb606c857cce2136764f2719272e737707642b0fdeab56cda9
Bates Number
EFTA01365218
Dataset
DataSet-10
Document Type
document
Pages
1