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Protective Life Secured Trust 2006-3

Indentures Filter

EX-4.5(B)
from 8-K 3 pages Selling Agent Agreement Specifications
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EX-4.5(A)
from 8-K 34 pages Omnibus Instrument
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EX-4.4(B)
from 8-K 2 pages Differences: Differences
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EX-4.4(A)
from 8-K 12 pages Funding Agreement
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EX-4.2(B)
from 8-K 3 pages Issuing Entity (The “Trust”): Interest Rate Basis(es) (Or Base Rate): Execution Party: The Trust, by Wilmington Trust CD Rate O Company, Not in Its Individual Capacity but Solely as Commercial Paper Rate O Delaware Trustee Federal Funds (Effective) Rate O Date of Note: Federal Funds (Open) Rate O Cusip No.: Libor O Principal Amount: $ O Libor Reuters Page: Original Issue Date: O Libor Telerate Page: Price to Public: Designated Libor Stated Maturity Date: Currency: Settlement Date and Time: Euribor O Securities Exchange Listing: O Yes O No. if Yes, Indicate Name(s) of Securities Exchange(s) Treasury Rate (Other Than Constant Maturity Treasury Rate) O . Constant Maturity Treasury Rate O Depositary: Designated Cmt Telerate Authorized Denominations (If Other Than $1,000): Page: Collateral Held in the Trust: Protective Life Insurance Company Funding Agreement No. , All Proceeds, Rights and Books and Records Related Thereto. if Telerate Page 7052: O Weekly Average O Monthly Average Interest Rate or Formula: Designated Cmt Maturity Fixed Rate Note: O Yes O No. if Yes, Index: Interest Rate: Prime Rate O Interest Payment Frequency: Inverse Floating Rate Note O O Monthly O Quarterly Fixed Interest Rate: O Semi-Annually O Annually Floating Rate/Fixed Rate O Interest Payment Dates, if Other Than as Specified on the Reverse Hereof: Fixed Interest Rate: Fixed Rate Commencement Date: Additional/Other Terms: Index Maturity: Amortizing Note: O Yes O No. if Yes, Spread and/or Spread Multiplier, if Any: Amortization Schedule or Formula: Initial Interest Rate, if Any: Additional/Other Terms: Initial Interest Reset Date: Discount Note: O Yes O No. if Yes, Interest Reset Dates: Registered Face Amount: Rate Determination Date(s): Total Amount of Discount: Interest Payment Frequency: Yield to Maturity: O Monthly O Quarterly Additional/Other Terms: O Semi-Annually O Annually Redemption Provisions: O Yes O No. (If Yes, The
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EX-4.2(A)
from 8-K 33 pages Retail Global Note
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