Common use of Evaluation by Evaluator Clause in Contracts

Evaluation by Evaluator. The Evaluator shall determine separately and promptly furnish to the Trustee and the Depositor upon request the per Unit value of the Securities in the Trust as of the Evaluation Time on the bid side of the market on the days on which the Trustee shall make the Trust Evaluation required by Section 5.01 and, in addition, (i) as of the Evaluation Time on the offering side of the market each business day during the initial public offering period, (ii) if and as long as requested by the Depositor on the offering side of the market on each business day following such initial public offering period, and (iii) on any other day requested by the Depositor or the Trustee. In making the evaluations the Evaluator may determine the value of each issue of the securities in the Trust by the following methods or any combination thereof which it deems appropriate: (i) on the basis of current bid or offering prices of such securities as obtained from investment dealers or brokers (including the Depositor) who customarily deal in securities comparable to those held by the Trust, or (ii) if bid or offering prices are not available for any of such securities, on the basis of bid or offering prices for comparable securities, or (iii) by appraisal or (iv) by any combination of the above. The Evaluator shall also make a per Unit evaluation of the Securities deposited in the Trust as of the times said Securities are deposited under this Indenture. Such evaluation shall be made on the same basis as set forth above and shall be based upon offering prices of said Securities. The Evaluator's determination of the offering price of the Securities of the Trust on the date of deposit shall be included in the Schedules attached to the Reference Trust Agreement.

Appears in 4 contracts

Sources: Trust Indenture and Agreement (Government Securities Equity Trust Series 10), Trust Indenture and Agreement (Government Securities Equity Trust Series 12), Trust Indenture and Agreement (Government Securities Equity Trust Series 8)