📄 Extracted Text (433 words)
"LIBOR": The London interbank offered rate (determined in accordance with Schedule
D) for U.S. Dollar deposits for the Designated Maturity.
"LIBOR Banking Day": A day on which commercial banks are open for business
(including dealings in foreign exchange and foreign currency deposits) in London.
"LIBOR Determination Date": The second LIBOR Banking Day prior to the first day of
each Interest Period.
"Liquidation Distribution Date": The meaning specified in Section 5.7(c).
"Loan": Any assignment of or Participation in a loan.
"Loaned Collateral Obligation": Any Collateral Obligation which is subject to a
Securities Lending Agreement in accordance with Section 12.4; provided, however, in the case
of any Defaulted Loaned Collateral Obligation, the Securities Lending Collateral shall be
deemed to be the relevant Pledged Collateral Obligation.
"Lower Ranking Class": With respect to any Class, each Class that is junior in right of
payment to such Class under the Principal Payment Sequence and, with respect to each Class of
Rated Notes, the Subordinated Securities.
"Lowest Ranking Class": The Class that is last in right of payment under the Principal
Payment Sequence.
"Maioritv": With respect to any Class or Classes of Securities, the Holders of more than
50% of the Aggregate Outstanding Amount of the Securities of such Class or Classes, as the case
may be.
"Manager Parties": The Investment Manager and/or any of its Affiliates, and any of their
respective partners, securityholders, members, managers, officers, directors, agents or
employees.
"Manager Securities": Any Securities owned by the Investment Manager or any of its
Affiliates or over which the Investment Manager or any of its Affiliates has discretionary voting
authority; provided that Manager Securities shall not include Securities held by an entity for
which the Investment Manager or an Affiliate acts as investment adviser, if the voting of such
Securities with respect to the matter in question is in fact directed by a board of directors or
similar governing body with a majority of members that are independent from the Investment
Manager and its Affiliates (as certified to the Trustee by the Investment Manager).
"Margin Stock": Margin Stock as defined under Regulation U issued by the Board of
Governors of the United States Federal Reserve System.
"Market Value": On any date of determination, (a) the price supplied to the Investment
Manager by Interactive Data Corporation, Markit Partners, Loan Pricing Corporation or another
independent, nationally recognized pricing service, or (b) if no such price is available or if the
Investment Manager reasonably determines that such price does not represent a reliable market
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LNG IM CLO 2011-1
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e) DB-SDNY-0072082
CONFIDENTIAL SDNY_GM_00218266
EFTA01376171
ℹ️ Document Details
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EFTA01376171
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