“Note Balance” means the sum of theClass A-1 Note Balance, theClass A-2a Note Balance, theClass A-2b Note Balance, theClass A-3 Note Balance and theClass A-4 Note Balance.
“Note Distribution Account” means the trust account established by the Depositor, on behalf of the Issuing Entity pursuant toSection 8.02(c) of the Indenture, into which amounts released from the2019-B SUBI Collection Account and the Reserve Account for distribution to Noteholders shall be deposited and from which all distributions to Noteholders shall be made.
“Note Distribution Amount” means, as of any Payment Date, the amount being distributed to the Noteholders on such Payment Date.
“Note Factor” means, with respect to any Class on any Payment Date, the seven digit decimal equivalent of a fraction the numerator of which is the Class Balance for such Class on such Payment Date (after giving effect to any payment of principal on such Payment Date) and the denominator of which is the related Initial Class Balance.
“Note Final Scheduled Payment Date” means, with respect to (i) aClass A-1 Note, July 15, 2020, (ii) aClass A-2a Note, October 15, 2021, (iii) aClass A-2b Note, October 15, 2021, (iv) aClass A-3 Note, July 15, 2022 and (v) aClass A-4 Note, April 15, 2025.
“Noteholder” means, as of any date, the Person in whose name aClass A-1 Note,Class A-2 Note,Class A-3 or aClass A-4 Note is registered on the Note Register on such date, as the context may require.
“Note Owner” means, with respect to a Book-Entry Note, the Person who is the beneficial owner of such Book-Entry Note, as reflected on the books of the Clearing Agency or a Person maintaining an account with such Clearing Agency (directly as a Clearing Agency Participant or as an indirect participant, in each case in accordance with the rules of such Clearing Agency).
“Note Register” and “Note Registrar” have the respective meanings set forth inSection 2.04 of the Indenture.
“Officer’s Certificate” means (a) with respect to the Issuing Entity, a certificate signed by an Authorized Officer of the Issuing Entity, under the circumstances described in, and otherwise complying with, the applicable requirements ofSection 11.01 of the Indenture, and delivered to, the Indenture Trustee, and (b) with respect to the Servicer, a certificate signed by an Authorized Officer or the Servicer, under the circumstances described in, and otherwise complying with, the applicable requirements ofSections 8.09 and8.11 of the2019-B Servicing Supplement.
“Opinion of Counsel” in relation to the Trust Agreement, means one or more written opinions of counsel who may, except as otherwise expressly provided in the Trust Agreement, be employees of or counsel to the Depositor, the Administrative Agent, or any of their respective Affiliates, and which opinion shall be addressed to and in form and substance satisfactory to the Owner Trustee. In relation to the Indenture, “Opinion of Counsel” means one or more written opinions of counsel who may, except as otherwise expressly provided in the Indenture, be employees of or counsel to the Issuing Entity or the Administrative Agent, and who shall be satisfactory to the Indenture Trustee, and which opinion or opinions shall be addressed to the Indenture Trustee, comply with any applicable requirements ofSection 11.01 of the Indenture, and be in form and substance satisfactory to the Indenture Trustee.
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