Common use of LIBOR Clause in Contracts

LIBOR. The three-month London InterBank Offered Rate as published in the Wall Street Journal on the first Business Day of the month of any Remittance Date.

Appears in 27 contracts

Sources: Servicing Agreement (Greenwich Capital Acceptance Thornburg Sec Tr 2003-4), Servicing Agreement (Thornburg Mortgage Securities Trust 2004-2), Servicing Agreement (Structured Asset Securities Corp Thorn Mort Sec Tr 2003-3)

LIBOR. The threeWith respect to each Distribution Date, one-month London InterBank Interbank Offered Rate as published set forth in the Wall Street Journal on the first Business Day as of the month of any Remittance Dateprior Business Day.

Appears in 1 contract

Sources: Loan Purchase Agreement (Banccap Asset Securization Issuance Corp)