Floating Amounts. Floating Rate Payer: GSCM Floating Rate Payer Payment Dates: Monthly, on the day which is one (1) Business Day prior to each Floating Rate Period End Date. Floating Rate Option: USD-LIBOR-BBA Floating Rate Designated Maturity: 1 Month Floating Rats Spread: None Floating Rate Reset Dates: The first day of each Calculation Period Floating Rate Day Count Fraction: Actual/360 Floating Rate Period End Dates: Monthly, on the 25th day of each month, commencing on March 25, 2006 and ending on the Termination Date, subject to adjustment in accordance with the Modified Following Business Day Convention.
Appears in 2 contracts
Sources: Isda Master Agreement (GSAA Home Equity Trust 2006-3), Isda Master Agreement (GSAA Home Equity Trust 2006-3)
Floating Amounts. Floating Rate Payer: GSCM Floating Rate Payer Payment Dates: Monthly, on the day which is one (1) Business Day prior to each Floating Rate Period End Date. Floating Rate Option: USD-LIBOR-BBA Floating Rate Designated Maturity: 1 Month Floating Rats Rate Spread: None Floating Rate Reset Dates: The first day of each Calculation Period Period. Floating Rate Day Count Fraction: Actual/360 Floating Rate Period End Dates: Monthly, on the 25th day of each month, commencing on March April 25, 2006 and ending on the Termination Date, subject to adjustment in accordance with the Modified Following Business Day Convention.
Appears in 1 contract
Sources: Pooling and Servicing Agreement (FFMLT Trust 2006-Ff4)