Date of report (Date of earliest event reported): August 4, 2020
|
VERIZON OWNER TRUST 2020-B
|
(Exact name of Issuing Entity as specified in its charter)
Commission File Number: 333-224598-06
Central Index Key: 0001805574
|
VERIZON ABS LLC
|
(Exact name of Depositor/Registrant as specified in its charter)
Central Index Key: 0001737286
|
Delaware
|
333-224598
|
22-3372889
|
(State or Other Jurisdiction of Incorporation of Registrant)
|
(Commission File Number of Registrant)
|
(IRS Employer Identification No. of Registrant)
|
CELLCO PARTNERSHIP
|
(Exact name of Sponsor as specified in its charter)
Central Index Key: 0001175215
|
One Verizon Way
Basking Ridge, New Jersey
|
07920
|
|
(Address of principal executive offices)
|
(Zip Code)
|
Registrant’s telephone number, including area code: (212) 395-1000
|
Not Applicable
|
(Former name or former address, if changed since last report)
|
[ ] |
Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
|
[ ] |
Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)
|
[ ] |
Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
|
[ ] |
Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))
|
Title of each class
|
Trading Symbol(s)
|
Name of each exchange on which registered
|
||
Not applicable
|
Not applicable
|
Not applicable
|
Item 1.01 |
Entry into a Material Definitive Agreement.
|
Item 9.01. |
Financial Statements and Exhibits.
|
(a) |
Not applicable.
|
(b) |
Not applicable.
|
(c) |
Not applicable.
|
(d) |
Exhibits:
|
Exhibit No. |
Description
|
1.1 |
4.1 |
10.1 |
10.2 |
10.3 |
10.4 |
10.5 |
10.6 |
10.7 |
10.8 |
36.1 |
VERIZON ABS LLC
|
|||
By:
|
/s/ Kee Chan Sin
|
||
Name:
|
Kee Chan Sin
|
||
Title:
|
Chief Financial Officer
|
in the case of the Depositor:
|
|
Verizon ABS LLC
|
|
One Verizon Way
|
|
Basking Ridge, New Jersey 07920
|
|
Attention: Chief Financial Officer
|
|
E-mail: kee.chan.sin@verizon.com
|
|
in the case of Verizon Wireless:
|
|
Cellco Partnership d/b/a Verizon Wireless
|
|
One Verizon Way
|
|
Basking Ridge, New Jersey 07920
|
|
Attention: Vice President and Assistant Treasurer
|
|
E-mail: kee.chan.sin@verizon.com
|
|
in the case of the Representatives:
|
|
RBC Capital Markets, LLC
200 Vesey Street, 8th Floor
New York, New York 10281
Attention: Keith Helwig E-mail: keith.helwig@rbccm.com
Barclays Capital Inc.
745 Seventh Avenue
New York, New York 10019
Attention: ABS Syndicate
E-mail: abssyndicateteam@barclays.com
MUFG Securities Americas Inc.
1221 Avenue of the Americas, 6th Floor
New York, New York 10020
Attention: Tricia Hazelwood
E-mail: Tricia.hazelwood@mufgsecurities.com
TD Securities (USA) LLC
31 West 52nd Street
New York, New York 10019
Attention: Head of ABS Origination
E-mail: TDUSA-ABSOrigination@tdsecurities.com
|
Very truly yours,
|
||
VERIZON ABS LLC
|
||
By:
|
/s/ Scott Krohn
|
|
Name: Scott Krohn
|
||
Title: President
|
||
CELLCO PARTNERSHIP D/B/A VERIZON WIRELESS
|
||
By:
|
/s/ Kee Chan Sin
|
|
Name: Kee Chan Sin
|
||
Title: Vice President and Assistant Treasurer
|
Underwriter |
Class A
Notes
|
Class B
Notes
|
Class C
Notes
|
|||
RBC Capital Markets, LLC
|
$369,259,000
|
$27,524,000
|
$21,280,000
|
|||
Barclays Capital Inc.
|
$316,505,000
|
$23,592,000
|
$18,240,000
|
|||
MUFG Securities Americas Inc.
|
$316,505,000
|
$23,592,000
|
$18,240,000
|
|||
TD Securities (USA) LLC
|
$316,505,000
|
$23,592,000
|
$18,240,000
|
|||
Scotia Capital (USA) Inc.
|
$35,642,000
|
$0
|
$0
|
|||
SG Americas Securities, LLC
|
$35,642,000
|
$0
|
$0
|
|||
SMBC Nikko Securities America, Inc.
|
$35,642,000
|
$0
|
$0
|
|||
Total
|
$1,425,700,000
|
$98,300,000
|
$76,000,000
|
Security |
Original Principal Balance $
|
Price % |
Price $ |
|||
Class A Notes
|
$1,425,700,000
|
99.72900%
|
$1,421,836,353.00
|
|||
Class B Notes
|
$98,300,000
|
99.62538%
|
$97,931,748.54
|
|||
Class C Notes
|
$76,000,000
|
99.52689%
|
$75,640,436.40
|
ARTICLE I
|
USAGE AND DEFINITIONS
|
1
|
Section 1.1
|
Usage and Definitions
|
1
|
Section 1.2
|
Incorporation by Reference of Trust Indenture Act
|
1
|
ARTICLE II
|
THE NOTES
|
2
|
Section 2.1
|
Form of Notes
|
2
|
Section 2.2
|
Execution, Authentication and Delivery
|
2
|
Section 2.3
|
Tax Treatment
|
3
|
Section 2.4
|
Note Register
|
3
|
Section 2.5
|
Registration of Transfer and Exchange
|
3
|
Section 2.6
|
[Reserved]
|
4
|
Section 2.7
|
Mutilated, Destroyed, Lost or Stolen Notes
|
4
|
Section 2.8
|
Persons Deemed Owners
|
5
|
Section 2.9
|
Payments on Notes
|
5
|
Section 2.10
|
Cancellation of Notes
|
6
|
Section 2.11
|
Release of Collateral
|
7
|
Section 2.12
|
Book-Entry Notes
|
7
|
Section 2.13
|
Definitive Notes
|
8
|
Section 2.14
|
Authenticating Agents
|
8
|
Section 2.15
|
Note Paying Agents
|
8
|
ARTICLE III
|
COVENANTS, REPRESENTATIONS AND WARRANTIES
|
9
|
Section 3.1
|
Payment of Principal, Interest and Other Amounts
|
9
|
Section 3.2
|
Maintenance of Office or Agency
|
9
|
Section 3.3
|
Money for Payments To Be Held in Trust
|
9
|
Section 3.4
|
Existence
|
11
|
Section 3.5
|
Protection of Collateral
|
11
|
Section 3.6
|
Performance of Obligations
|
12
|
Section 3.7
|
Negative Covenants
|
12
|
Section 3.8
|
Opinions on Collateral
|
13
|
Section 3.9
|
Annual Certificate of Compliance
|
13
|
Section 3.10
|
Merger and Consolidation; Transfer of Assets
|
14
|
Section 3.11
|
Successor or Transferee
|
14
|
Section 3.12
|
No Other Activities
|
15
|
Section 3.13
|
Further Acts and Documents
|
15
|
Section 3.14
|
Restricted Payments
|
15
|
Section 3.15
|
Notice of Events of Default
|
15
|
Section 3.16
|
Review of Issuer’s Records
|
15
|
Section 3.17
|
Issuer’s Representations and Warranties
|
15
|
Section 3.18
|
Issuer’s Representations and Warranties About Security Interest
|
17
|
ARTICLE IV
|
SATISFACTION AND DISCHARGE
|
18
|
Section 4.1
|
Satisfaction and Discharge of Indenture
|
18
|
ARTICLE V
|
EVENTS OF DEFAULT; REMEDIES
|
19
|
Section 5.1
|
Events of Default
|
19
|
Section 5.2
|
Acceleration of Maturity; Rescission
|
19
|
Section 5.3
|
Collection of Indebtedness by Indenture Trustee
|
20
|
Section 5.4
|
Trustee May File Proofs of Claim
|
20
|
Section 5.5
|
Enforcement of Claims Without Possession of Notes
|
21
|
Section 5.6
|
Remedies; Priorities
|
21
|
Section 5.7
|
Optional Preservation of Collateral
|
23
|
Section 5.8
|
Limitation on Suits
|
23
|
Section 5.9
|
Unconditional Rights to Receive Principal and Interest
|
24
|
Section 5.10
|
Restoration of Rights and Remedies
|
24
|
Section 5.11
|
Rights and Remedies Cumulative
|
24
|
Section 5.12
|
Delay or Omission Not a Waiver
|
24
|
Section 5.13
|
Control by Noteholders
|
25
|
Section 5.14
|
Waiver of Defaults and Events of Default
|
25
|
Section 5.15
|
Agreement to Pay Costs
|
25
|
Section 5.16
|
Waiver of Stay or Extension Laws
|
26
|
Section 5.17
|
Performance and Enforcement of Obligations
|
26
|
ARTICLE VI
|
INDENTURE TRUSTEE
|
26
|
Section 6.1
|
Indenture Trustee’s Obligations
|
26
|
Section 6.2
|
Indenture Trustee’s Rights
|
30
|
Section 6.3
|
Indenture Trustee’s Individual Rights
|
31
|
Section 6.4
|
Indenture Trustee’s Disclaimer
|
31
|
Section 6.5
|
Notice of Defaults and Notice of Payment Defaults
|
31
|
Section 6.6
|
Reports by Indenture Trustee
|
31
|
Section 6.7
|
Compensation and Indemnity
|
33
|
Section 6.8
|
Resignation or Removal of Indenture Trustee
|
34
|
Section 6.9
|
Merger or Consolidation; Transfer of Assets
|
35
|
Section 6.10
|
Appointment of Separate Trustee or Co-Trustee
|
35
|
Section 6.11
|
Eligibility
|
36
|
Section 6.12
|
Inspections of Indenture Trustee
|
36
|
Section 6.13
|
Indenture Trustee’s Representations and Warranties
|
36
|
Section 6.14
|
Reporting of Receivables Repurchase Demands
|
37
|
Section 6.15
|
Preferential Collection of Claims Against the Issuer
|
38
|
ARTICLE VII
|
NOTEHOLDER COMMUNICATIONS AND REPORTS
|
38
|
Section 7.1
|
Noteholder Communications
|
38
|
Section 7.2
|
Reports by Issuer
|
39
|
Section 7.3
|
Reports by Indenture Trustee
|
39
|
ARTICLE VIII
|
ACCOUNTS, DISTRIBUTIONS AND RELEASES
|
40
|
Section 8.1
|
Collection of Funds
|
40
|
Section 8.2
|
Bank Accounts; Distributions
|
40
|
Section 8.3
|
Bank Accounts
|
44
|
Section 8.4
|
Release of Collateral
|
44
|
ARTICLE IX
|
AMENDMENTS
|
45
|
Section 9.1
|
Amendments Without Consent of Noteholders or Certificateholders
|
45
|
Section 9.2
|
Amendments with Consent of Controlling Class
|
46
|
Section 9.3
|
Execution of Amendments
|
47
|
Section 9.4
|
Effect of Amendment
|
47
|
Section 9.5
|
Reference in Notes to Supplemental Indentures
|
47
|
Section 9.6
|
[Reserved]
|
47
|
Section 9.7
|
Conformity with TIA
|
47
|
ARTICLE X
|
REDEMPTION OF NOTES
|
48
|
Section 10.1
|
Redemption
|
48
|
ARTICLE XI
|
OTHER AGREEMENTS
|
49
|
Section 11.1
|
No Petition
|
49
|
Section 11.2
|
[Reserved]
|
49
|
Section 11.3
|
Issuer Orders; Certificates and Opinions
|
49
|
Section 11.4
|
Acts of Noteholders
|
50
|
Section 11.5
|
Issuer Obligation
|
51
|
Section 11.6
|
Conflict with Trust Indenture Act
|
51
|
ARTICLE XII
|
MISCELLANEOUS
|
51
|
Section 12.1
|
Benefits of Indenture; Third-Party Beneficiaries
|
51
|
Section 12.2
|
Notices
|
52
|
Section 12.3
|
GOVERNING LAW
|
52
|
Section 12.4
|
Submission to Jurisdiction
|
53
|
Section 12.5
|
WAIVER OF JURY TRIAL
|
53
|
Section 12.6
|
No Waiver; Remedies
|
53
|
Section 12.7
|
Severability
|
53
|
Section 12.8
|
Headings
|
53
|
Section 12.9
|
Counterparts
|
53
|
Section 12.10
|
Customer Identification Program
|
53
|
Section 12.11
|
[Reserved]
|
53
|
Section 12.12
|
Intent of the Parties; Reasonableness
|
53
|
Section 12.13
|
Electronic Signatures
|
54
|
ARTICLE XIII
|
[RESERVED]
|
54
|
ARTICLE XIV
|
ASSET REPRESENTATIONS REVIEW
|
55
|
Section 14.1
|
Noteholder and Note Owner Requests for Vote on Asset Representations Review
|
55
|
Section 14.2
|
Noteholder and Note Owner Vote on Asset Representations Review
|
55
|
Section 14.3
|
Evaluation of Review Report
|
56
|
Exhibit A
|
Form of Notes
|
A-1
|
Exhibit B
|
Servicing Criteria to be Addressed in Assessment of Compliance
|
B-1
|
Class
|
Note Interest Rate
|
Initial Note Balance
|
|
Class A Notes
|
0.47%
|
$1,425,700,000
|
|
Class B Notes
|
0.68%
|
$98,300,000
|
|
Class C Notes
|
0.83%
|
$76,000,000
|
(A) |
the Noteholders representing 100% of the Note Balance of the Notes consent to the sale or liquidation; or
|
(B) |
the proceeds of the sale or liquidation are expected to be sufficient to pay in full all amounts owed by the Issuer to the Secured Parties including all principal of and accrued
interest and any Make-Whole Payments on the Notes; or
|
(A) |
the Noteholders representing 100% of the Note Balance of the Controlling Class consent to the sale or liquidation; or
|
(B) |
the proceeds of the sale or liquidation are expected to be sufficient to pay in full all amounts owed by the Issuer to the Secured Parties including all principal of and accrued
interest and any Make-Whole Payments on the Notes; or
|
(C) |
the Indenture Trustee (1) determines that the Collateral will not continue to provide sufficient money for the payment of all amounts owed to the Secured Parties, as those payments
would have become due if the Notes had not been accelerated and (2)
|
obtains the consent of Noteholders of at least 66-2/3% of the Note Balance of the Controlling Class.
|
(A) |
change (1) the applicable Final Maturity Date on a Note or (2) the principal amount of or interest rate or any Make-Whole Payment on a Note;
|
(B) |
modify the percentage of the Note Balance of the Notes or the Controlling Class required for any action;
|
(C) |
modify or alter the definition of “Outstanding,” “Controlling Class” or “Amortization Events”;
|
(D) |
change the Required Reserve Amount, the Required Acquisition Deposit Amount or the Required Negative Carry Amount;
|
(E) |
permit the creation of any Lien ranking prior or equal to the Lien of this Indenture on the Collateral, other than Permitted Liens, or, except as
|
permitted by this Indenture or the other Transaction Documents, release the Lien of this Indenture on the Collateral; or
|
(F) |
impair the right to institute suit for the enforcement of payment as provided in Section 5.8.
|
(A) |
of the Redemption Date;
|
(B) |
of the outstanding Note Balance of each Class of the Notes to be redeemed;
|
(C) |
of the place to surrender the Notes for final payment (which will be the office or agency of the Issuer maintained under Section 3.2); and
|
(D) |
that on the Redemption Date, the outstanding Note Balance of the Notes plus accrued and unpaid interest and any unpaid Make-Whole Payments on the Notes will become due and payable in
full and that interest on the Notes will cease to accrue from and after the Redemption Date, unless the Issuer fails to pay the Notes on the Redemption Date.
|
(A) |
a statement that each signatory of the certificate or opinion has read the covenant or condition and the definitions in this Indenture or the Transaction Document relating to the
covenant or condition;
|
(B) |
a brief statement about the nature and scope of the examination or investigation on which the statements or opinions in the certificate or opinion are based;
|
(C) |
a statement that, in the opinion of the signatory, the signatory has made an examination or investigation if necessary to enable the signatory to express an informed opinion on
whether or not the covenant or condition has been complied with; and
|
(D) |
a statement about whether, in the opinion of the signatory, the condition or covenant has been complied with.
|
VERIZON OWNER TRUST 2020-B,
|
||
as Issuer
|
||
By:
|
Wilmington Trust, National Association, not in its individual capacity but solely as Owner Trustee of Verizon Owner Trust 2020-B
|
|
By:
|
|
|
Name:
|
||
Title:
|
||
U.S. BANK NATIONAL ASSOCIATION,
|
||
not in its individual capacity but solely as Indenture Trustee and as Note Paying Agent
|
||
By:
|
|
|
Name:
|
||
Title:
|
No. R-1
|
CUSIP NO. [_______]
|
VERIZON OWNER TRUST 2020-B
|
||
BY:
|
Wilmington Trust, National Association, not in its individual capacity but solely as Owner Trustee of Verizon Owner Trust 2020-B
|
|
By:
|
|
|
Name:
|
||
Title:
|
U.S. BANK NATIONAL ASSOCIATION,
|
||
not in its individual capacity but
|
||
solely as Indenture Trustee
|
||
By:
|
|
|
Name:
|
||
Title:
|
Dated: |
|
*/
|
||
Signature Guaranteed
|
*/ |
NOTICE: The signature to this assignment must correspond with the name of the registered owner as it appears on the face of the within Note in every particular, without alteration,
enlargement or any change whatever. The signature must be guaranteed by an “eligible guarantor institution” meeting the requirements of the Note Registrar, which requirements include membership or participation in the Securities Transfer
Agents Medallion Program or another “signature guarantee program” selected by the Note Registrar in addition to, or in substitution for, the Securities Transfer Agents Medallion Program, all in accordance with the Exchange Act.
|
Reference
|
Criteria
|
Cash Collection and Administration
|
|
1122(d)(2)(ii)
|
Disbursements made via wire transfer on behalf of an obligor or to an investor are made only by authorized personnel.
|
1122(d)(2)(iv)
|
The related accounts for the transaction, such as cash reserve accounts or accounts established as a form of overcollateralization, are separately maintained (e.g., with respect to
commingling of cash) as set forth in the transaction agreements.
|
1122(d)(2)(v)
|
Each custodial account is maintained at a federally insured depository institution as set forth in the transaction agreements. For purposes of this criterion, “federally insured
depository institution” with respect to a foreign financial institution means a foreign financial institution that meets the requirements of § 240.13k-1(b)(1) of the Securities Exchange Act of 1934, as amended.
|
Investor Remittances and Reporting
|
|
1122(d)(3)(ii)
|
Amounts due to investors are allocated and remitted in accordance with timeframes, distribution priority and other terms set forth in the transaction agreements.
|
1122(d)(3)(iii)
|
Disbursements made to an investor are posted within two business days to the servicer’s investor records, or such other number of days specified in the transaction agreements.
|
1122(d)(3)(iv)
|
Amounts remitted to investors per the investor reports agree with cancelled checks, or other form of payment, or custodial bank statements.
|
ARTICLE I USAGE AND DEFINITIONS
|
1
|
|
Section 1.1
|
Usage and Definitions
|
1
|
ARTICLE II ORGANIZATION OF TRUST
|
1
|
|
Section 2.1
|
Name
|
1
|
Section 2.2
|
Maintenance of Office or Agency
|
1
|
Section 2.3
|
Purposes and Powers.
|
1
|
Section 2.4
|
Appointment of Owner Trustee
|
4
|
Section 2.5
|
Contribution and Transfer of Trust Property
|
4
|
Section 2.6
|
Declaration of Trust
|
4
|
Section 2.7
|
Limitations on Liability.
|
4
|
Section 2.8
|
Title to Trust Property.
|
5
|
Section 2.9
|
Location of Issuer
|
5
|
Section 2.10
|
Depositor’s Representations and Warranties
|
5
|
Section 2.11
|
Tax Matters.
|
6
|
ARTICLE III CERTIFICATES AND TRANSFER OF INTERESTS
|
7
|
|
Section 3.1
|
The Certificates
|
7
|
Section 3.2
|
Execution, Authentication and Delivery of Certificates
|
8
|
Section 3.3
|
Registration of Transfer and Exchange of Certificates
|
8
|
Section 3.4
|
Mutilated, Destroyed, Lost or Stolen Certificate
|
10
|
Section 3.5
|
[Reserved]
|
10
|
Section 3.6
|
Persons Deemed Certificateholders
|
10
|
Section 3.7
|
Access to List of Certificateholders’ Names and Addresses
|
10
|
Section 3.8
|
Regarding the Certificate
|
11
|
Section 3.9
|
Initial Registration of Certificates
|
11
|
Section 3.10
|
Increases and Decreases in the Class B Certificate Principal Balance and the Equity Interest of the Class A Certificate
|
11
|
Section 3.11
|
Appointment of Certificate Paying Agent
|
12
|
ARTICLE IV APPLICATION OF TRUST PROPERTY
|
12
|
|
Section 4.1
|
Application of Trust Property.
|
12
|
Section 4.2
|
Accounting and Reports to the Noteholders, the Certificateholders, the Internal Revenue Service and Others
|
14
|
ARTICLE V OWNER TRUSTEE’S AUTHORITY AND OBLIGATIONS
|
14
|
|
Section 5.1
|
General Authority.
|
14
|
Section 5.2
|
General Obligations.
|
14
|
Section 5.3
|
Action Requiring Prior Notice
|
15
|
Section 5.4
|
Action by the Certificateholders with Respect to Certain Matters
|
16
|
Section 5.5
|
Action for Bankruptcy
|
16
|
Section 5.6
|
Action on Administrator’s Instruction
|
16
|
Section 5.7
|
No Obligations or Actions Except as Stated in Transaction Documents or Instructions
|
17
|
Section 5.8
|
Prohibition on Some Actions
|
17
|
Section 5.9
|
Action Not Required
|
17
|
Section 5.10
|
Inspection of Owner Trustee; Access to Records
|
18
|
Section 5.11
|
Furnishing of Documents
|
18
|
Section 5.12
|
Reporting of Receivables Reacquisition and Acquisition Demands
|
19
|
Section 5.13
|
Sarbanes-Oxley Act.
|
19
|
ARTICLE VI OWNER TRUSTEE
|
19
|
|
Section 6.1
|
Acceptance of Trusts
|
19
|
Section 6.2
|
Limitations on Liability
|
19
|
Section 6.3
|
Reliance; Advice of Counsel; Use of Agents.
|
21
|
Section 6.4
|
Not Acting in Individual Capacity
|
21
|
Section 6.5
|
Owner Trustee May Own Notes
|
22
|
Section 6.6
|
Owner Trustee’s Representations and Warranties
|
22
|
Section 6.7
|
Obligation to Update Disclosure
|
23
|
Section 6.8
|
Anti-Money Laundering.
|
23
|
Section 6.9
|
Persons Deemed Beneficial Owners and Control Parties.
|
24
|
ARTICLE VII COMPENSATION AND INDEMNIFICATION OF OWNER TRUSTEE
|
24
|
|
Section 7.1
|
Owner Trustee’s Fees and Expenses
|
24
|
Section 7.2
|
Indemnification of Owner Trustee.
|
24
|
Section 7.3
|
Organizational Expenses of Issuer
|
25
|
ARTICLE VIII TERMINATION
|
25
|
Section 8.1
|
Termination of Trust Agreement and Issuer.
|
25
|
ARTICLE IX SUCCESSOR OWNER TRUSTEES AND ADDITIONAL OWNER TRUSTEES
|
26
|
|
Section 9.1
|
Eligibility Requirements for Owner Trustee.
|
26
|
Section 9.2
|
Resignation or Removal of Owner Trustee.
|
26
|
Section 9.3
|
Successor Owner Trustee.
|
27
|
Section 9.4
|
Merger or Consolidation; Transfer of Assets
|
28
|
Section 9.5
|
Appointment of Separate Trustee or Co-Trustee.
|
28
|
Section 9.6
|
Compliance with Delaware Statutory Trust Act
|
29
|
ARTICLE X OTHER AGREEMENTS
|
29
|
|
Section 10.1
|
Limitation on Rights of Others
|
29
|
Section 10.2
|
No Petition
|
29
|
Section 10.3
|
Restrictions on the Certificateholders’ Power
|
30
|
Section 10.4
|
Class A Certificateholder Controls
|
30
|
Section 10.5
|
Optional Acquisition
|
30
|
Section 10.6
|
Optional Redemption of Notes
|
30
|
ARTICLE XI MISCELLANEOUS
|
30
|
|
Section 11.1
|
Amendments.
|
30
|
Section 11.2
|
Benefit of Agreement
|
32
|
Section 11.3
|
Notices.
|
32
|
Section 11.4
|
GOVERNING LAW
|
33
|
Section 11.5
|
Exclusive Jurisdiction
|
33
|
Section 11.6
|
WAIVER OF JURY TRIAL
|
33
|
Section 11.7
|
Severability
|
33
|
Section 11.8
|
Headings
|
33
|
Section 11.9
|
Counterparts
|
33
|
Section 11.10
|
No Recourse
|
33
|
Section 11.11
|
Intent of the Parties; Reasonableness
|
33
|
Section 11.12
|
Electronic Signatures
|
34
|
EXHIBITS
|
||
EXHIBIT A
|
Form of Certificate of Trust
|
A‑1
|
EXHIBIT B-1
|
Form of Class A Certificate
|
B‑1-1
|
EXHIBIT B-2
|
Form of Class B Certificate
|
B‑2-1
|
EXHIBIT C
|
Form of Transferee Representation Letter
|
C‑1
|
EXHIBIT D
|
Form of Transferor Representation Letter
|
D‑1
|
By: |
Wilmington Trust, National Association, not in its individual capacity but solely as Owner Trustee
|
By: |
Wilmington Trust, National Association, not in its individual capacity but solely as Owner Trustee
|
Acquisition Date
|
Amount of Class B Certificate Principal
Balance Increase |
Amount of Class B Certificate Principal
Balance Decrease |
Ending Class B Certificate
Principal Balance
|
ARTICLE I USAGE AND DEFINITIONS
|
1
|
|
Section 1.1.
|
Usage and Definitions
|
1
|
ARTICLE II TRANSFER OF ORIGINATOR TRANSFERRED PROPERTY
|
1
|
|
Section 2.1.
|
Transfers and Absolute Assignments of Originator Transferred Property.
|
1
|
Section 2.2.
|
Acquisition of Receivables
|
3
|
Section 2.3.
|
Acknowledgement of Further Assignments
|
3
|
Section 2.4.
|
Savings Clause
|
3
|
ARTICLE III REPRESENTATIONS AND WARRANTIES
|
4
|
|
Section 3.1.
|
Originator Representations and Warranties
|
4
|
Section 3.2.
|
Originator Representations and Warranties About Pools of Receivables Transferred by Such Originator
|
5
|
Section 3.3.
|
Originator Representations and Warranties About Each Receivable
|
7
|
Section 3.4.
|
Originator Reacquisition of Receivables for Breach of Representations.
|
8
|
Section 3.5.
|
Depositor’s Representations and Warranties
|
9
|
ARTICLE IV ORIGINATORS’ AGREEMENTS
|
11
|
|
Section 4.1.
|
Financing Statements.
|
11
|
Section 4.2.
|
No Transfer or Lien by an Originator
|
11
|
Section 4.3.
|
Expenses
|
12
|
Section 4.4.
|
Originator’s Receivables Systems
|
12
|
Section 4.5.
|
Review of Originator’s Records
|
12
|
Section 4.6.
|
Reacquisition of Bankruptcy Surrendered Receivables.
|
12
|
Section 4.7.
|
Regulation RR Risk Retention
|
13
|
ARTICLE V OTHER AGREEMENTS
|
13
|
|
Section 5.1.
|
No Petition
|
13
|
Section 5.2.
|
Limited Recourse
|
13
|
Section 5.3.
|
Termination
|
13
|
Section 5.4.
|
Merger, Consolidation, Succession or Assignment
|
13
|
ARTICLE VI MISCELLANEOUS
|
14
|
|
Section 6.1.
|
Amendments.
|
14
|
Section 6.2.
|
Benefit of Agreement; Third-Party Beneficiaries
|
15
|
Section 6.3.
|
Notices.
|
15
|
Section 6.4.
|
GOVERNING LAW
|
15
|
Section 6.5.
|
Submission to Jurisdiction
|
16
|
Section 6.6.
|
WAIVER OF JURY TRIAL
|
16
|
Section 6.7.
|
No Waiver; Remedies
|
16
|
Section 6.8.
|
Severability
|
16
|
Section 6.9.
|
Headings
|
16
|
Section 6.10.
|
Counterparts
|
16
|
Section 6.11.
|
Additional Originators
|
16
|
Section 6.12.
|
Electronic Signatures
|
18
|
Schedule A
|
Schedule of Receivables
|
SA-1
|
Schedule B
|
List of Originators
|
SB-1
|
Exhibit A
|
Form of Receivables Transfer Notice
|
EA-1
|
Exhibit B
|
Form of Originator Joinder Agreement
|
EB-1
|
(A) |
as of such Acquisition Date, (1) such Originator is Solvent and will not become insolvent as a result of the absolute assignment of the related Additional Receivables on the Acquisition Date, (2)
such Originator does not intend to incur or believe that it would incur debts that would be beyond the Originator’s ability to pay as the debts matured and (3) the absolute assignment of the related Additional Receivables is not made by such
Originator with actual intent to hinder, delay or defraud any Person; and
|
(B) |
each of such Originator’s representations and warranties in Sections 3.1, 3.2 (solely with respect to the related Additional Receivables) and 3.3 (solely with respect to the related Additional
Receivables) will be true and correct as of the Acquisition Date.
|
AirTouch Cellular Inc. d/b/a Verizon Wireless,
as an Originator
|
Allentown SMSA Limited Partnership d/b/a Verizon Wireless,
By: Bell Atlantic Mobile Systems LLC, its General Partner,
as an Originator
|
|
ALLTEL Communications of North Carolina Limited Partnership d/b/a Verizon Wireless,
By: Alltel Corporation, its General Partner,
as an Originator
|
Alltel Corporation d/b/a Verizon Wireless,
as an Originator
|
|
Anderson CellTelCo d/b/a Verizon Wireless,
By: Cellco Partnership, its General Partner,
as an Originator
|
Athens Cellular, Inc. d/b/a Verizon Wireless,
as an Originator
|
|
Bell Atlantic Mobile Systems LLC d/b/a Verizon Wireless,
as an Originator
|
Cellco Partnership d/b/a Verizon Wireless,
as an Originator
|
|
Chicago SMSA Limited Partnership d/b/a Verizon Wireless,
By: Cellco Partnership, its General Partner,
as an Originator
|
CommNet Cellular Inc. d/b/a Verizon Wireless,
as an Originator
|
|
Fresno MSA Limited Partnership d/b/a Verizon Wireless,
By: Cellco Partnership, its General Partner,
as an Originator
|
Gadsden CellTelCo Partnership d/b/a Verizon Wireless,
By: Cellco Partnership, its General Partner,
as an Originator
|
|
Gold Creek Cellular of Montana Limited Partnership d/b/a Verizon Wireless,
By: CommNet Cellular Inc., its General Partner,
as an Originator
|
GTE Mobilnet of California Limited Partnership d/b/a Verizon Wireless,
By: Cellco Partnership, its General Partner,
as an Originator
|
|
GTE Mobilnet of Florence, Alabama Incorporated d/b/a Verizon Wireless,
as an Originator
|
GTE Mobilnet of Fort Wayne Limited Partnership d/b/a Verizon Wireless,
By: Verizon Americas LLC, its General Partner,
as an Originator
|
|
GTE Mobilnet of Indiana Limited Partnership d/b/a Verizon Wireless,
|
GTE Mobilnet of Indiana RSA #3 Limited Partnership d/b/a Verizon Wireless,
|
By: Verizon Americas LLC, its General Partner,
as an Originator
|
By: Verizon Americas LLC, its General Partner,
as an Originator
|
|
GTE Mobilnet of South Texas Limited Partnership d/b/a Verizon Wireless,
By: Cellco Partnership, its General Partner,
as an Originator
|
GTE Mobilnet of Terre Haute Limited Partnership d/b/a Verizon Wireless,
By: Verizon Americas LLC, its General Partner,
as an Originator
|
|
GTE Mobilnet of Texas RSA #17 Limited Partnership d/b/a Verizon Wireless,
By: Cellco Partnership, its General Partner,
as an Originator
|
Idaho 6-Clark Limited Partnership d/b/a Verizon Wireless,
By: Teton Cellular of Idaho Limited Partnership, its General Partner
By: Teton Cellular Inc., its General Partner
By: CommNet Cellular Inc., its Managing Agent,
as an Originator
|
|
Illinois RSA 6 and 7 Limited Partnership d/b/a Verizon Wireless,
By: Cellco Partnership, its General Partner,
as an Originator
|
Indiana RSA 2 Limited Partnership,
By: Cellco Partnership d/b/a Verizon Wireless, its General Partner,
as an Originator
|
|
Iowa 8 – Monona Limited Partnership d/b/a Verizon Wireless,
By: CommNet Cellular Inc., its General Partner,
as an Originator
|
Iowa RSA 5 Limited Partnership,
By: Verizon Americas LLC d/b/a Verizon Wireless, its General Partner,
as an Originator
|
|
Iowa RSA No. 4 Limited Partnership,
By: Verizon Americas LLC d/b/a Verizon Wireless, its General Partner,
as an Originator
|
Kentucky RSA No. 1 Partnership,
By: Cellco Partnership d/b/a Verizon Wireless, its General Partner,
as an Originator
|
|
Los Angeles SMSA Limited Partnership, a California Limited Partnership d/b/a Verizon Wireless,
By: AirTouch Cellular Inc., its General Partner,
as an Originator
|
Muskegon Cellular Partnership,
By: Cellco Partnership d/b/a Verizon Wireless, its Managing Partner,
as an Originator
|
|
New Mexico RSA 6-I Partnership d/b/a Verizon Wireless,
By: Cellco Partnership, its General Partner,
as an Originator
|
New Mexico RSA No. 5 Limited Partnership,
By: Cellco Partnership d/b/a Verizon Wireless, its General Partner,
as an Originator
|
New York SMSA Limited Partnership d/b/a Verizon Wireless,
By: Cellco Partnership, its General Partner,
as an Originator
|
Northeast Pennsylvania SMSA Limited Partnership d/b/a Verizon Wireless,
By: Cellco Partnership, its General Partner,
as an Originator
|
|
Northern New Mexico Limited Partnership,
By: CommNet Cellular Inc. d/b/a Verizon Wireless, its General Partner,
as an Originator
|
Omaha Cellular Telephone Company d/b/a Verizon Wireless,
By: Cellco Partnership, its Managing General Partner,
as an Originator
|
|
Petersburg Cellular Partnership d/b/a Verizon Wireless,
By: Alltel Corporation, its Managing General Partner,
as an Originator
|
Pinnacles Cellular, Inc. d/b/a Verizon Wireless,
as an Originator
|
|
Pittsburgh SMSA Limited Partnership d/b/a Verizon Wireless,
By: Cellco Partnership, its General Partner,
as an Originator
|
Pittsfield Cellular Telephone Company d/b/a Verizon Wireless,
By: Cellco Partnership, its General Partner,
as an Originator
|
|
RSA 7 Limited Partnership d/b/a Verizon Wireless,
By: Cellco Partnership, its General Partner,
as an Originator
|
Rural Cellular Corporation d/b/a Verizon Wireless,
as an Originator
|
|
Sacramento-Valley Limited Partnership d/b/a Verizon Wireless,
By: AirTouch Cellular Inc., its General Partner,
as an Originator
|
Seattle SMSA Limited Partnership d/b/a Verizon Wireless,
By: Cellco Partnership, its General Partner,
as an Originator
|
|
Texas RSA #11B Limited Partnership d/b/a Verizon Wireless,
By: Alltel Corporation, its General Partner,
as an Originator
|
Tuscaloosa Cellular Partnership d/b/a Verizon Wireless,
By: Cellco Partnership, its Managing General Partner,
as an Originator
|
Verizon Americas LLC d/b/a Verizon Wireless,
as an Originator
|
Verizon Wireless of the East LP d/b/a Verizon Wireless,
By: Cellco Partnership, its General Partner,
as an Originator
|
|
Virginia RSA 5 Limited Partnership,
By: Cellco Partnership d/b/a Verizon Wireless, its General Partner,
as an Originator
|
Wasatch Utah RSA No. 2 Limited Partnership d/b/a Verizon Wireless,
By: Cellco Partnership, its General Partner,
as an Originator
|
|
Wisconsin RSA #1 Limited Partnership,
By: Alltel Corporation, its Managing Partner,
as an Originator
|
Wisconsin RSA #6 Partnership, LLP,
By: Alltel Corporation, its Managing Partner,
as an Originator
|
|
Wisconsin RSA No. 8 Limited Partnership,
By: Alltel Corporation, its General Partner,
as an Originator
|
By:
|
|
Kee Chan Sin
|
As Vice President and Assistant Treasurer of AirTouch Cellular Inc.
|
As Vice President and Assistant Treasurer of Bell Atlantic Mobile Systems LLC acting on behalf of Allentown SMSA Limited Partnership
|
|
As Vice President and Assistant Treasurer of Alltel Corporation acting on behalf of ALLTEL Communications of North Carolina Limited Partnership
|
As Vice President and Assistant Treasurer of Alltel Corporation
|
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of Anderson CellTelCo
|
As Vice President and Assistant Treasurer of Athens Cellular, Inc.
|
|
As Vice President and Assistant Treasurer of Bell Atlantic Mobile Systems LLC d/b/a Verizon Wireless
|
As Vice President and Assistant Treasurer of Cellco Partnership d/b/a Verizon Wireless
|
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of Chicago SMSA Limited Partnership
|
As Vice President and Assistant Treasurer of CommNet Cellular Inc.
|
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of Fresno MSA Limited Partnership
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of Gadsden CellTelCo Partnership
|
|
As Vice President and Assistant Treasurer of CommNet Cellular Inc. acting on behalf of Gold Creek Cellular of Montana Limited Partnership
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of GTE Mobilnet of California Limited Partnership
|
|
As Vice President and Assistant Treasurer of GTE Mobilnet of Florence, Alabama Incorporated
|
As Vice President and Assistant Treasurer of Verizon Americas LLC acting on behalf of GTE Mobilnet of Fort Wayne Limited Partnership
|
|
As Vice President and Assistant Treasurer of Verizon Americas LLC acting on behalf of GTE Mobilnet of Indiana Limited Partnership
|
As Vice President and Assistant Treasurer of Verizon Americas LLC acting on behalf of GTE Mobilnet of Indiana RSA #3 Limited Partnership
|
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of GTE Mobilnet of South Texas Limited Partnership
|
As Vice President and Assistant Treasurer of
|
Verizon Americas LLC acting on behalf of GTE Mobilnet of Terre Haute Limited Partnership
|
||
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of GTE Mobilnet of Texas RSA #17 Limited Partnership
|
As Vice President and Assistant Treasurer of Verizon Americas LLC d/b/a Verizon Wireless
|
|
As Vice President and Assistant Treasurer of CommNet Cellular Inc. acting on behalf of Teton Cellular Inc., acting on behalf of Teton Cellular Idaho Limited Partnership, acting on behalf of Idaho
6-Clark Limited Partnership
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of Illinois RSA 6 and 7 Limited Partnership
|
|
As Vice President and Assistant Treasurer of Cellco Partnership d/b/a Verizon Wireless acting on behalf of Indiana RSA 2 Limited Partnership
|
As Vice President and Assistant Treasurer of CommNet Cellular Inc. acting on behalf of Iowa 8 – Monona Limited Partnership
|
|
As Vice President and Assistant Treasurer of Verizon Americas LLC d/b/a Verizon Wireless acting on behalf of Iowa RSA 5 Limited Partnership
|
As Vice President and Assistant Treasurer of Verizon Americas LLC d/b/a Verizon Wireless acting on behalf of Iowa RSA No. 4 Limited Partnership
|
|
As Vice President and Assistant Treasurer of Cellco Partnership d/b/a Verizon Wireless acting on behalf of Kentucky RSA No. 1 Partnership
|
As Vice President and Assistant Treasurer of AirTouch Cellular Inc. acting on behalf of Los Angeles SMSA Limited Partnership, a California Limited Partnership
|
|
As Vice President and Assistant Treasurer of Cellco Partnership d/b/a Verizon Wireless acting on behalf of Muskegon Cellular Partnership
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of New Mexico RSA 6-I Partnership
|
|
As Vice President and Assistant Treasurer of Cellco Partnership d/b/a Verizon Wireless acting on behalf of New Mexico RSA No. 5 Limited Partnership
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of New York SMSA Limited Partnership
|
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of Northeast Pennsylvania SMSA Limited Partnership
|
As Vice President and Assistant Treasurer of CommNet Cellular Inc. d/b/a Verizon Wireless acting on behalf of Northern New Mexico Limited Partnership
|
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of Omaha Cellular Telephone Company
|
As Vice President and Assistant Treasurer of Alltel Corporation acting on behalf of Petersburg Cellular Partnership
|
As Vice President and Assistant Treasurer of Pinnacles Cellular, Inc.
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of Pittsburgh SMSA Limited Partnership
|
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of Pittsfield Cellular Partnership
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of RSA 7 Limited Partnership
|
|
As Vice President and Assistant Treasurer of Rural Cellular Corporation
|
As Vice President and Assistant Treasurer of AirTouch Cellular Inc. acting on behalf of Sacramento-Valley Limited Partnership
|
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of Seattle SMSA Limited Partnership
|
As Vice President and Assistant Treasurer of Alltel Corporation acting on behalf of Texas RSA #11B Limited Partnership
|
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of Tuscaloosa Cellular Partnership
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of Verizon Wireless of the East LP
|
|
As Vice President and Assistant Treasurer of Cellco Partnership d/b/a Verizon Wireless acting on behalf of Virginia RSA 5 Limited Partnership
|
As Vice President and Assistant Treasurer of Cellco Partnership acting on behalf of Wasatch Utah RSA No. 2 Limited Partnership
|
|
As Vice President and Assistant Treasurer of Alltel Corporation acting on behalf of Wisconsin RSA #1 Limited Partnership
|
As Vice President and Assistant Treasurer of Alltel Corporation acting on behalf of Wisconsin RSA #6 Partnership, LLP
|
|
As Vice President and Assistant Treasurer of Alltel Corporation acting on behalf of Wisconsin RSA No. 8 Limited Partnership
|
VERIZON ABS LLC,
|
||
as Depositor
|
||
By:
|
|
|
Name:
|
||
Title:
|
Legal Name
|
Chief Executive Office
|
Jurisdiction
of Organization |
Cellco Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Alltel Corporation
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Los Angeles SMSA Limited Partnership, a California Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
California
|
New York SMSA Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
New York
|
Chicago SMSA Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Illinois
|
Illinois RSA 6 and 7 Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Illinois
|
GTE Mobilnet of California Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
California
|
GTE Mobilnet of South Texas Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Verizon Wireless of the East LP
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Sacramento-Valley Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
California
|
Seattle SMSA Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
GTE Mobilnet of Fort Wayne Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
GTE Mobilnet of Indiana Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Indiana
|
Verizon Americas LLC
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Pittsburgh SMSA Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
CommNet Cellular Inc.
|
One Verizon Way
Basking Ridge, NJ 07920
|
Colorado
|
Gold Creek Cellular of Montana Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Colorado
|
Fresno MSA Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
California
|
AirTouch Cellular Inc.
|
15505 Sand Canyon Avenue
Irvine, CA 92618
|
California
|
ALLTEL Communications of North Carolina Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
North Carolina
|
Bell Atlantic Mobile Systems LLC
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Omaha Cellular Telephone Company
|
One Verizon Way
Basking Ridge, NJ 07920
|
Nebraska
|
Rural Cellular Corporation
|
One Verizon Way
|
Minnesota
|
Legal Name
|
Chief Executive Office
|
Jurisdiction
of Organization |
Basking Ridge, NJ 07920
|
||
Northeast Pennsylvania SMSA Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Allentown SMSA Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Anderson CellTelCo
|
One Verizon Way
Basking Ridge, NJ 07920
|
District of Columbia
|
Athens Cellular, Inc.
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Gadsden CellTelCo Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Alabama
|
GTE Mobilnet of Florence, Alabama Incorporated
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
GTE Mobilnet of Indiana RSA #3 Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Indiana
|
GTE Mobilnet of Terre Haute Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
GTE Mobilnet of Texas RSA #17 Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Idaho 6-Clark Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Idaho
|
Indiana RSA 2 Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Indiana
|
Iowa 8-Monona Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Colorado
|
Iowa RSA 5 Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Iowa RSA No. 4 Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Kentucky RSA No. 1 Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Muskegon Cellular Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
District of Columbia
|
New Mexico RSA 6-I Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
New Mexico
|
New Mexico RSA No. 5 Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Northern New Mexico Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Colorado
|
Petersburg Cellular Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Pinnacles Cellular, Inc.
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Pittsfield Cellular Telephone Company
|
One Verizon Way
Basking Ridge, NJ 07920
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Massachusetts
|
RSA 7 Limited Partnership
|
One Verizon Place
Alpharetta, GA 30004 |
Iowa
|
Texas RSA #11B Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
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Delaware
|
Legal Name
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Chief Executive Office
|
Jurisdiction
of Organization |
Tuscaloosa Cellular Partnership
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One Verizon Way
Basking Ridge, NJ 07920
|
Alabama
|
Virginia RSA 5 Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Virginia
|
Wasatch Utah RSA No. 2 Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Wisconsin RSA #1 Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Wisconsin
|
Wisconsin RSA #6 Partnership, LLP
|
417 5th Avenue North
Strum, WI 54770 |
Wisconsin
|
Wisconsin RSA No. 8 Limited Partnership
|
One Verizon Way
Basking Ridge, NJ 07920
|
Delaware
|
Very truly yours,
|
||
CELLCO PARTNERSHIP d/b/a VERIZON WIRELESS,
|
||
as Administrator
|
||
By
|
|
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Name:
|
||
Title:
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[NAME OF ADDITIONAL ORIGINATOR]
|
||
By:
|
|
|
Name:
|
|
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Title:
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|
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VERIZON ABS LLC,
|
||
as Depositor
|
||
By
|
|
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Name:
|
||
Title:
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Legal Name
|
Chief Executive Office
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Jurisdiction
of Organization |
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ARTICLE I
|
USAGE AND DEFINITIONS
|
1
|
Section 1.1.
|
Usage and Definitions
|
1
|
ARTICLE II
|
TRANSFER OF MASTER TRUST TRANSFERRED PROPERTY
|
1
|
Section 2.1.
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Transfers and Absolute Assignments of Master Trust Transferred Property
|
1
|
Section 2.2.
|
Acquisition of Receivables
|
3
|
Section 2.3.
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Acknowledgement of Further Assignments
|
3
|
Section 2.4.
|
Savings Clause
|
4
|
ARTICLE III
|
REPRESENTATIONS AND WARRANTIES
|
4
|
Section 3.1.
|
Master Trust Representations and Warranties
|
4
|
Section 3.2.
|
Master Trust Representations and Warranties About Pools of Receivables Transferred by the Master Trust
|
5
|
Section 3.3.
|
Representations and Warranties About Each Receivable
|
7
|
Section 3.4.
|
Servicer Acquisition of Receivables for Breach of Representations
|
8
|
Section 3.5.
|
Depositor’s Representations and Warranties
|
10
|
Section 3.6.
|
Servicer’s Representations and Warranties
|
11
|
ARTICLE IV
|
MASTER TRUST’S AGREEMENTS
|
12
|
Section 4.1.
|
Financing Statements
|
12
|
Section 4.2.
|
No Transfer or Lien by the Master Trust
|
13
|
Section 4.3.
|
Expenses
|
13
|
Section 4.4.
|
Master Trust Records
|
13
|
Section 4.5.
|
Review of Master Trust’s Records
|
13
|
Section 4.6.
|
Review of Servicer’s Records
|
14
|
Section 4.7.
|
Acquisition of Bankruptcy Surrendered Receivables
|
14
|
ARTICLE V
|
OTHER AGREEMENTS
|
15
|
Section 5.1.
|
No Petition
|
15
|
Section 5.2.
|
Limited Recourse
|
15
|
Section 5.3.
|
Termination
|
15
|
Section 5.4.
|
Merger, Consolidation, Succession or Assignment
|
15
|
ARTICLE VI
|
MISCELLANEOUS
|
15
|
Section 6.1.
|
Amendments
|
15
|
Section 6.2.
|
Benefit of Agreement; Third-Party Beneficiaries
|
16
|
Section 6.3.
|
Notices
|
17
|
Section 6.4.
|
GOVERNING LAW
|
17
|
Section 6.5.
|
Submission to Jurisdiction
|
17
|
Section 6.6.
|
WAIVER OF JURY TRIAL
|
17
|
Section 6.7.
|
No Waiver; Remedies
|
18
|
Section 6.8.
|
Severability
|
18
|
Section 6.9.
|
Headings
|
18
|
Section 6.10.
|
Counterparts
|
18
|
Section 6.11.
|
Agreements of the Master Trust
|
18
|
Section 6.12.
|
Electronic Signatures
|
18
|
SCHEDULE A
|
SA-1
|
EXHIBIT A
|
EA-1
|
SCHEDULE I TO EXHIBIT A
|
SCH-I
|
SCHEDULE II TO EXHIBIT A
|
SCH-II
|
(A) |
as of such Acquisition Date, (1) the Master Trust is Solvent and will not become insolvent as a result of the absolute assignment of the related Additional Receivables on the Acquisition Date, (2)
the Master Trust does not intend to incur or believe that it would incur debts that would be beyond the Master Trust’s ability to pay as the debts matured and (3) the absolute assignment of the related Additional Receivables is not made by
the Master Trust with actual intent to hinder, delay or defraud any Person;
|
(B) |
the Master Trust’s representations and warranties in Sections 3.1 and 3.2 (solely with respect to the related Additional Receivables transferred on such Acquisition Date) will be true and correct as
of the Acquisition Date; and
|
(C) |
the Master Trust has complied, or has caused the Master Trust Administrator to comply, with the requirements of Section 9.7(a) of the Master Collateral Agency Agreement with respect to the release of
Receivables from the lien of the Master Collateral Agency Agreement.
|
VERIZON DPPA MASTER TRUST,
|
||
as Transferor
|
||
By:
|
Wilmington Trust, National Association, not in its individual capacity but solely as owner trustee of Verizon DPPA Master Trust
|
|
By:
|
|
|
Name:
|
||
Title:
|
||
CELLCO PARTNERSHIP d/b/a VERIZON WIRELESS,
|
||
as Servicer
|
||
By:
|
|
|
Name:
|
||
Title:
|
||
VERIZON ABS LLC,
|
||
as Depositor
|
||
By:
|
|
|
Name:
|
||
Title:
|
Very truly yours,
|
||
CELLCO PARTNERSHIP d/b/a VERIZON WIRELESS,
|
||
as Administrator
|
||
By
|
|
|
Name:
|
||
Title:
|
ARTICLE I USAGE AND DEFINITIONS
|
1
|
|
Section 1.1
|
Usage and Definitions
|
1
|
ARTICLE II TRANSFER AND ACQUISITION OF DEPOSITOR TRANSFERRED PROPERTY; REPRESENTATIONS AND WARRANTIES
|
1
|
|
Section 2.1
|
Transfers of Depositor Transferred Property
|
1
|
Section 2.2
|
Acknowledgement of Further Assignments
|
3
|
Section 2.3
|
Savings Clause
|
3
|
Section 2.4
|
Representations and Warranties About Depositor Transferred Property
|
3
|
Section 2.5
|
Originators’ Reacquisition and Servicer’s Acquisition of Receivables for Breach of Representations
|
5
|
Section 2.6
|
Originators’ Reacquisition or Servicer’s Acquisition of Bankruptcy Surrendered Receivables
|
6
|
ARTICLE III SERVICING OF RECEIVABLES
|
7
|
|
Section 3.1
|
Engagement
|
7
|
Section 3.2
|
Servicing of Receivables
|
7
|
Section 3.3
|
Servicer’s Acquisition of Receivables
|
9
|
Section 3.4
|
Sale of Written-Off Receivables
|
10
|
Section 3.5
|
Servicer Reports and Compliance Statements
|
11
|
Section 3.6
|
Review of Servicer’s Records
|
12
|
Section 3.7
|
Servicer’s Authorized and Responsible Persons
|
12
|
Section 3.8
|
Servicer’s Fees
|
13
|
Section 3.9
|
Servicer’s Expenses
|
13
|
Section 3.10
|
Custodian
|
13
|
Section 3.11
|
Marketing Agent
|
14
|
Section 3.12
|
Termination of Upgrade Programs; Credits Related to Upgrade Programs
|
15
|
Section 3.13
|
Notices to Obligors
|
16
|
ARTICLE IV ACCOUNTS, COLLECTIONS AND APPLICATION OF FUNDS
|
16
|
|
Section 4.1
|
Bank Accounts
|
16
|
Section 4.2
|
Investment of Funds in Bank Accounts
|
17
|
Section 4.3
|
Deposits and Payments
|
19
|
Section 4.4
|
Reserve Account; Negative Carry Account; Acquisition Account
|
21
|
Section 4.5
|
Direction to Indenture Trustee for Distributions
|
22
|
ARTICLE V DEPOSITOR
|
22
|
|
Section 5.1
|
Depositor’s Representations and Warranties
|
22
|
Section 5.2
|
Liability of Depositor
|
24
|
Section 5.3
|
Merger, Consolidation, Succession or Assignment
|
24
|
Section 5.4
|
Depositor May Own Notes
|
25
|
Section 5.5
|
Depositor’s Authorized and Responsible Persons
|
25
|
Section 5.6
|
Company Existence
|
25
|
Section 5.7
|
No Division
|
25
|
ARTICLE VI SERVICER AND MARKETING AGENT
|
25
|
|
Section 6.1
|
Servicer’s and Marketing Agent’s Representations and Warranties
|
25
|
Section 6.2
|
Liability of Servicer and Marketing Agent
|
28
|
Section 6.3
|
Indemnities of Servicer and the Marketing Agent
|
29
|
Section 6.4
|
Delegation and Contracting
|
30
|
Section 6.5
|
Servicer May Own Notes
|
31
|
Section 6.6
|
Annual Statement as to Compliance
|
31
|
Section 6.7
|
Assessment of Compliance and Accountants’ Attestation
|
31
|
ARTICLE VII SERVICER RESIGNATION AND TERMINATION; SUCCESSOR SERVICER
|
32
|
|
Section 7.1
|
No Resignation
|
32
|
Section 7.2
|
Servicer Termination Events
|
32
|
Section 7.3
|
Continue to Perform
|
34
|
Section 7.4
|
Successor Servicer
|
34
|
Section 7.5
|
Transition of Servicing
|
36
|
Section 7.6
|
Merger, Consolidation, Succession or Assignment
|
37
|
ARTICLE VIII TERMINATION
|
37
|
|
Section 8.1
|
Optional Acquisition of Receivables; Clean-Up Redemption of Notes
|
37
|
Section 8.2
|
Optional Redemption of Notes
|
38
|
Section 8.3
|
Termination
|
38
|
ARTICLE IX OTHER AGREEMENTS
|
39
|
|
Section 9.1
|
Financing Statements
|
39
|
Section 9.2
|
No Transfer or Lien by Depositor
|
39
|
Section 9.3
|
Expenses
|
40
|
Section 9.4
|
Receivables Information
|
40
|
Section 9.5
|
No Petition
|
40
|
Section 9.6
|
Limited Recourse
|
40
|
Section 9.7
|
Limitation of Liability
|
40
|
Section 9.8
|
Tax Treatment of Notes
|
41
|
Section 9.9
|
Regulation RR Risk Retention
|
41
|
ARTICLE X MISCELLANEOUS
|
41
|
|
Section 10.1
|
Amendments
|
41
|
Section 10.2
|
Assignment; Benefit of Agreement; Third-Party Beneficiary
|
42
|
Section 10.3
|
Notices
|
42
|
Section 10.4
|
Agent for Service
|
43
|
Section 10.5
|
GOVERNING LAW
|
44
|
Section 10.6
|
Submission to Jurisdiction
|
44
|
Section 10.7
|
WAIVER OF JURY TRIAL
|
44
|
Section 10.8
|
No Waiver; Remedies
|
44
|
Section 10.9
|
Severability
|
44
|
Section 10.10
|
Headings
|
44
|
Section 10.11
|
Counterparts
|
45
|
Section 10.12
|
[Reserved]
|
45
|
Section 10.13
|
Intent of the Parties; Reasonableness
|
45
|
Section 10.14
|
Electronic Signatures
|
45
|
ARTICLE XI ASSET REPRESENTATIONS REVIEW; DISPUTE RESOLUTION
|
45
|
|
Section 11.1
|
Asset Representations Review
|
45
|
Section 11.2
|
Dispute Resolution
|
46
|
Schedule A
|
Schedule of Initial Receivables
|
SA-1
|
Schedule B
|
Notice Addresses
|
SB-1
|
Appendix A
|
Usage and Definitions
|
AA-1
|
Exhibit A
|
Custodian’s Security Requirements
|
EA-1
|
Exhibit B
|
Form of Annual Certification
|
EB-1
|
(A) |
as of such Acquisition Date, (1) the Depositor is Solvent and will not become insolvent as a result of the transfer and assignment of the Additional Receivables on the Acquisition Date, (2) the
Depositor does not intend to incur or believe that it would incur debts that would be beyond the Depositor’s ability to pay as they matured and (3) the transfer and assignment of the Additional Receivables is not made by the Depositor with
actual intent to hinder, delay or defraud any Person;
|
(B) |
each of the representations and warranties made by the Depositor under Sections 2.4(a) and 2.4(b), in each case, solely with respect to the related Additional Receivables, will be true and correct as
of the Acquisition Date; and
|
(C) |
all conditions to the transfer and assignment of the related Additional Receivables by the Originators to the Depositor under
|
(A) |
This Agreement creates a valid and continuing security interest (as defined in the applicable UCC) in the Depositor Transferred Property in favor of the Issuer, which is prior to any Lien, other than
Permitted Liens, and is enforceable against all creditors of, purchasers from and transferees and absolute assignees of the Depositor.
|
(B) |
All filings (including UCC filings) necessary in any jurisdiction to give the Depositor a first priority, validly perfected ownership and security interest in the Originator Transferred Property and
the Master Trust Transferred Property, to give the Issuer a first priority, validly perfected ownership and security interest in the Depositor Transferred Property and to give the Indenture Trustee a first priority perfected security interest
in the Collateral, will be made within ten (10) days after the Closing Date or the related Acquisition Date, as applicable.
|
(C) |
All financing statements filed or to be filed against the Depositor in favor of the Issuer describing the Depositor Transferred Property transferred under this Agreement will contain a statement to
the following effect: “A purchase, absolute assignment or transfer of or security interest in any collateral described in this financing statement will violate the rights of the Secured Party/Assignee.”
|
(D) |
The Depositor has not authorized the filing of and is not aware of any financing statements against the Depositor that include a description of collateral covering any Depositor Transferred Property
other than the financing statements relating to the security interest Granted to the Depositor under the Receivables Transfer Agreements, by the Depositor to the Issuer under this Agreement or by the Issuer to the Indenture Trustee under the
Indenture, or that has been terminated.
|
• |
late fees;
|
• |
service and all other charges, including, but not limited to, insurance premium payments and purchases (including accessories) billed to the account, other than amounts due under any device payment
plan agreement, including any Receivable; and
|
• |
any amounts related to any device payment plan agreements, including Receivables, which, in the case of multiple device payment plan agreements related to a single account, will be applied in the
order in which such device payment plan agreements were originated with the most recent device payment plan agreement being paid last.
|
VERIZON ABS LLC,
|
||
as Depositor
|
||
By:
|
|
|
Name:
|
||
Title:
|
||
VERIZON OWNER TRUST 2020-B,
|
||
as Issuer
|
||
By:
|
Wilmington Trust, National Association,
|
|
not in its individual capacity but solely as Owner
|
||
Trustee of Verizon Owner Trust 2020-B
|
||
By:
|
|
|
Name:
|
||
Title:
|
||
CELLCO PARTNERSHIP d/b/a VERIZON WIRELESS,
|
||
as Servicer, Marketing Agent and Custodian
|
||
By:
|
|
|
Name:
|
||
Title:
|
1. |
If to Cellco, in its individual capacity or as Servicer, Marketing Agent, Custodian or Administrator:
|
2. |
If to the Depositor:
|
3. |
If to the Issuer:
|
4. |
If to the Parent Support Provider:
|
5. |
If to the Owner Trustee, at the Corporate Trust Office of the Owner Trustee
|
6. |
If to the Indenture Trustee, at the Corporate Trust Office of the Indenture Trustee
|
7. |
If to Fitch:
|
8. |
If to Moody’s:
|
9. |
If to the Asset Representations Reviewer:
|
(a) |
the Initial Pool Balance; minus
|
(b) |
the Yield Supplement Overcollateralization Amount for the Closing Date;
|
(a) |
the Pool Balance as of the last day of the Collection Period immediately preceding such Payment Date or Acquisition Date; minus
|
(b) |
the Yield Supplement Overcollateralization Amount for such Payment Date or Acquisition Date.
|
• |
The customer may be able to upgrade an eligible device for a new qualifying device after thirty (30) days provided that such customer has paid at least 50% of the retail price of the eligible device
under the related device payment plan agreement and returns such eligible device to Verizon Wireless in good working condition with no significant damage as determined by Verizon Wireless;
|
• |
The customer is required to purchase a new qualifying device under a new device payment plan agreement. New device purchases are subject to then-available offers and any associated wireless service
requirements;
|
• |
A customer’s account must be in good standing and such customer must satisfy Verizon Wireless’ eligibility requirements for a new device payment plan agreement;
|
• |
Upon entering into a device payment plan agreement for a new qualifying device, and after returning the eligible device to Verizon Wireless within fourteen (14) days, Verizon Wireless will agree, for
the benefit of such customer and for the express benefit of any assignee of such customer’s original device payment plan agreement, to acquire such customer’s eligible device for the remaining balance of the related customer’s original device
payment plan agreement and pay off and settle that remaining balance. After Verizon Wireless does that, such customer’s only remaining obligations will be under the new device payment plan agreement and for associated wireless service;
|
• |
If a customer does not return an eligible device when upgrading, or if it is not returned to Verizon Wireless in good working condition, in each case the remaining balance under such customer’s
original device payment plan agreement will be due on such customer’s next bill. Good working condition requires, among other things, that the customer’s returned device powers on and off, does not have a cracked screen, has no significant
damage as determined by Verizon Wireless, and has all password-protected security features (e.g., Find My iPhone) turned off;
|
• |
The Annual Upgrade Offer and the related terms and conditions may be modified or terminated by Verizon Wireless at any time. A customer’s upgrade eligibility will be determined in the sole
discretion of Verizon Wireless. If the Annual Upgrade Offer is terminated or the related terms and conditions are not satisfied, a customer will remain responsible for the remaining balance due under the original device payment plan
agreement.
|
(i) |
the Supplemental Servicing Fee;
|
(ii) |
amounts on any Receivable for which the Acquisition Amount is included in the Available Funds for the related Payment Date; and
|
(iii) |
any Recoveries or cash collections received with respect to Written-Off Receivables that were written-off before or during such Collection Period.
|
(i) |
on the Closing Date, 10.50% of the Adjusted Pool Balance as of the Initial Cutoff Date;
|
(ii) |
for any date of determination (other than the Closing Date), prior to the Amortization Period, on which the pool of Receivables meets all of the Floor Credit Enhancement Composition Tests, the
greater of (x) the result of (a)(i) the aggregate Note Balance, divided by (ii) 1 minus 0.1050, minus (b) the aggregate Note Balance, and (y) 1.00% of the Adjusted Pool Balance as of the Closing Date;
|
(iii) |
for any date of determination (other than the Closing Date), prior to the Amortization Period, on which the pool of Receivables does not meet all of the Floor Credit Enhancement Composition Tests,
the greater of (x) the result of (a)(i) the aggregate Note Balance, divided by (ii) 1 minus 0.1350, minus (b) the aggregate Note Balance, and (y) 1.00% of the Adjusted Pool Balance as of the Closing Date;
|
(iv) |
for any date of determination, during the Amortization Period, on which the pool of Receivables meets all of the Floor Credit Enhancement Composition Tests, the greater of (x) 14.50% of the Adjusted
Pool Balance as of the end of the calendar month immediately preceding such date of determination, and (y) 1.00% of the Adjusted Pool Balance as of the Closing Date; or
|
(v) |
for any date of determination, during the Amortization Period, on which the pool of Receivables does not meet all of the Floor Credit Enhancement Composition Tests, the greater of (x) 17.50% of the
Adjusted Pool Balance as of the end of the calendar month immediately preceding such date of determination, and (y) 1.00% of the Adjusted Pool Balance as of the Closing Date.
|
|
Baseline Security Requirements
For Verizon Suppliers |
v2.0
|
A. |
Supplier Requirements
|
1. |
Access Control
|
a. |
Create, enable, modify, disable, and remove information system accounts in accordance with documented Supplier procedures.
|
b. |
Monitor the use of information system accounts.
|
c. |
Review, annually at minimum, user accounts to determine if each user’s access is still commensurate with role, and that access is still needed.
|
d. |
Enforce, document and define information system access authorizations to support separation of duties so as to limit the potential for a single individual to cause excessive harm.
|
e. |
Require personnel with access to administrator or privileged accounts to use non-privileged accounts or roles when performing non-privileged functions.
|
f. |
Audit the execution of Privileged Users actions and functions.
|
g. |
Prohibit non-privileged users from executing privileged functions, including, but not limited to, disabling, circumventing, or altering implemented security safeguards/countermeasures.
|
h. |
Ensure access is granted in relation to the user’s role and is limited to the minimum necessary to perform her assigned duties (i.e., least privilege principles).
|
i. |
On a quarterly basis, review privileged and administrator accounts with access to systems, applications, or databases containing Verizon Highly Confidential data.
|
j. |
Implement a remote access policy and authorize remote access to information systems prior to allowing such connections.
|
k. |
Establish usage restrictions, configuration/connection requirements, and implementation guidance for wireless network access, and authorize wireless access to the information system according
to Supplier’s documented processes and procedures prior to allowing such connections.
|
l. |
Establish usage restrictions, configuration requirements, connection requirements, and implementation guidance for organization-controlled mobile devices; and the connection of mobile devices
to information systems.
|
m. |
Establish terms and conditions for authorized individuals working at Supplier’s third-parties who will access Supplier’s information systems to:
|
|
Baseline Security Requirements
For Verizon Suppliers |
|
i. |
Securely access the Supplier information systems from Supplier’s third parties’ information systems; and
|
ii. |
Securely process, store or transmit organization-controlled information using Supplier’s third parties’ information systems.
|
2. |
Awareness and Training
|
a. |
Ensure that managers and users of information systems are periodically made aware of the security risks associated with their activities and of the applicable laws, Executive Orders,
directives, policies, standards, instructions, regulations, or procedures related to the security of information systems.
|
b. |
Ensure that Supplier personnel are reasonably and periodically trained to carry out their assigned information security-related duties and responsibilities.
|
c. |
Ensure that all personnel (including subcontractor personnel) who are involved in the management, use, or operation of IT systems or have access to Verizon Confidential Information, receive
annual training in privacy, security awareness and accepted security practices (to include recognizing and reporting suspicious activities that can introduce malicious software). Initial training must be conducted within 30 Days of hire
with refresher training occurring annually.
|
d. |
Ensure that all personnel (including subcontractor personnel) with significant IT security responsibilities receive specialized annual training tailored to their specific security
responsibilities.
|
e. |
Track completion of all training and ensure that all personnel (including subcontractor personnel) acknowledge receipt of training.
|
3. |
Logging, Audit and Accountability
|
a. |
Create, protect, and retain information system audit records to the extent needed to maintain integrity and enable the monitoring, analysis, investigation, and reporting of
unlawful, unauthorized, or inappropriate information system activity. For the avoidance of doubt, “audit” is used interchangeably with the term “log” in this Exhibit.
|
b. |
Ensure that the actions of individual information system users can be uniquely traced to those users so they can be held accountable for their actions.
|
c. |
Log the following events at a minimum on information systems:
|
i. |
Successful login attempts;
|
ii. |
Unsuccessful login attempts;
|
iii. |
All logoffs;
|
iv. |
Additions, deletions and modifications to User and system accounts/privileges;
|
v. |
Users switching IDs during an online session;
|
vi. |
Attempts to perform unauthorized functions;
|
vii. |
Activity performed by privileged accounts;
|
viii. |
Modifications to system settings (parameters) and
|
|
Baseline Security Requirements
For Verizon Suppliers |
|
ix. |
Modifications to audit log parameters;
|
d. |
Event Logs must include at a minimum:
|
i. |
Host name;
|
ii. |
User account;
|
iii. |
Date and time stamp;
|
iv. |
Description of the activity performed;
|
v. |
Event ID or event type;
|
vi. |
Reason for logging event (e.g., access failure); and
|
vii. |
Source and destination network addresses (e.g., IP address).
|
e. |
Review and analyze information system audit records on a regular basis sufficient to detect significant unauthorized activity with respect to information systems that are
mission critical or contain Verizon Confidential Information.
|
f. |
Notify Verizon within 24 hours if unauthorized activity is detected on systems processing or storing Verizon Confidential Information.
|
g. |
Ensure that the audit record is sufficient to reconstruct any activity requiring investigation.
|
h. |
Ensure controls are in place to protect audit information and audit tools from unauthorized access, modification and deletion.
|
i. |
Synchronize information system time to an authoritative time source.
|
j. |
Retain audit records for a minimum of 6 months and restrict access to logs to prevent modification.
|
4. |
Configuration Management
|
a. |
Establish and maintain baseline configurations and inventories of information systems throughout the respective system development life cycles.
|
b. |
Establish and enforce security configuration settings for information technology products employed in information systems.
|
c. |
Identify, document and approve any deviations from established configuration settings.
|
d. |
Review the information system(s) annually, at minimum, to identify unnecessary and/or insecure functions, ports, protocols, and services.
|
e. |
Disable unnecessary and/or insecure functions, ports, protocols, and services.
|
f. |
Develop and document an inventory of information system components, including “open source” code incorporated in, or used to derive, any deliverable provided to Verizon, which
must be provided to Verizon upon request.
|
g. |
Maintain policies and procedures addressing security and intellectual property requirements that apply to “open source” code incorporated in or used to derive any deliverable
provided to Verizon.
|
h. |
Establish policies governing the installation of software by users, enforce software installation restrictions, and monitor policy compliance.
|
5. |
Identification and Authentication
|
|
Baseline Security Requirements
For Verizon Suppliers |
|
a. |
Identify information system users, processes acting on behalf of users, and devices.
|
b. |
Require Authentication for users, processes, and devices as a prerequisite to allowing access to information systems.
|
c. |
Ensure the information system uniquely identifies and Authenticates users (or processes acting on behalf of users).
|
d. |
Implement Strong Authentication for network access to privileged accounts.
|
e. |
Implement Strong Authentication for remote access to privileged and non-privileged accounts.
|
f. |
Implement an Identification and Authentication policy consistent with and or more secure than the current NIST 800-63 Digital Identity Guidelines publication.
|
g. |
Ensure information systems store and transmit only cryptographically-protected Authenticators.
|
6. |
Incident Response
|
a. |
Establish an operational incident handling capability for information systems that includes reasonable preparation, detection, analysis, containment, recovery, and user response
activities.
|
b. |
Periodically, but no less than annually, test the incident handling capability.
|
c. |
Track, document, and report incidents to appropriate Supplier personnel.
|
d. |
Notify Verizon of any incident materially affecting systems supporting Verizon services or data, including, but not limited to, any loss, acquisition or use of Verizon Confidential Information
without authorization, as follows:
|
i. |
Supplier must provide notification via electronic mail to: CIRT@verizon.com as soon as practical, but no later than twenty-four (24) hours,
following awareness of the security incident.
|
ii. |
Upon Verizon request, Supplier must provide status updates of the incident mitigation to a point of contact designated by Verizon.
|
iii. |
Supplier must cooperate with Verizon in its efforts to investigate any security incidents.
|
iv. |
Upon Verizon request, Supplier must provide a written report which describes the incident, the actions taken by Supplier during the incident response and future actions to prevent a similar
incident from reoccuring.
|
7. |
Media Protection
|
a. |
Protect information system media, both paper and digital, including encrypting data at rest stored on portable media (e.g. USB drives, removable hard drives).
|
b. |
Restrict access to media related to Verizon services performed under this Agreement. Access to such media must be granted in accordance with these Requirements.
|
c. |
Label media containing Verizon data commensurate with the highest confidentiality level of data contained.
|
d. |
When (a) directed by Verizon, or (b) unless specifically otherwise required by law or directed by Verizon, upon conclusion or termination of Supplier’s work for Verizon or when no longer
required
|
|
Baseline Security Requirements
For Verizon Suppliers |
|
for the performance of work under an Agreement, Supplier must Sanitize (or at Verizon’s election return to Verizon) all copies of all Verizon Confidential Information, including all backup
and archival copies, in any electronic or non-electronic form.
|
e. |
All hardcopy documents must be cross-cut shredded.
|
f. |
Maintain records for all media that have been destroyed, sanitized or returned to Verizon. Records must be maintained for a minimum of four (4) years and made available to Verizon for
inspection upon request.
|
8. |
Physical and Environmental Protection
|
a. |
Limit physical access to information systems, equipment, and the respective operating environments to authorized individuals.
|
b. |
Develop, approve and maintain a list of individuals with authorized access to the facility(ies) where information systems reside.
|
c. |
Control physical access to information system output devices (e.g. printers, faxes, etc.) to prevent unauthorized individuals from obtaining the output.
|
d. |
Monitor physical access to the facility where the information system resides to detect and respond to physical security incidents.
|
e. |
Ensure reasonable physical security controls, commensurate with these Requirements, are in place at any worksites, including alternate worksites, where Supplier employees access
Verizon Confidential Information.
|
f. |
If approved by Verizon, transport Verizon Confidential Information only using a qualified courier, with tracking and in a physically secure container.
|
9. |
Security Governance
|
a. |
Develop, document, periodically update, and implement security plans for information systems that describe the security controls in place or planned for the information systems
and the rules of behavior for individuals accessing the information systems.
|
b. |
Maintain an information security governance policy or set of policies that conform to all applicable data protection laws and regulations and that verifiably
addresses these Requirements along with purpose, scope, roles, responsibilities, management commitment, coordination among Supplier’s entities, and compliance. Failure to comply with policies must be
addressed through appropriate discipline.
|
c. |
Ensure that the information security program is approved/endorsed by Supplier’s executive management.
|
d. |
Regularly review its information security program plan and update the plan to address organizational changes, material changes in business practices or issues identified in risk
assessments.
|
e. |
Implement a risk management strategy consistently across the organization.
|
|
Baseline Security Requirements
For Verizon Suppliers |
|
f. |
Ensure all permitted third-parties that will perform services in support of this Agreement on behalf of Supplier (e.g. subcontractors), including cloud service providers, comply
in writing with materially similar Requirements to those outlined in this Exhibit.
|
g. |
Monitor security control compliance by external service providers on an ongoing basis.
|
10. |
Personnel Security
|
a. |
Have established screening criteria for individuals with access to Verizon systems or data.
|
b. |
Ensure that upon termination of employment:
|
i. |
Information system and application access is disabled immediately;
|
ii. |
Retrieval of all Verizon information and information system related property of the terminated employee (including, but not limited to, mobile phones, tablets, laptops, and
security tokens).
|
c. |
Deploy and manage a mobile device management program for all personnel who use company-issued and or personal devices in their normal course of work with Verizon that provides
for technical controls designed to secure Verizon Confidential Information accessed on mobile devices.
|
d. |
Upon a personnel role transfer:
|
i. |
Review and confirm ongoing operational need for current logical and physical access; and
|
ii. |
Make changes to logical and physical access as needed
|
e. |
Prohibit and take reasonable measures to prevent the use of external personal email accounts, personal websites and social media when handling Verizon Confidential Information.
|
11. |
Vulnerability & Patch Management
|
a. |
Conduct periodic vulnerability scanning and penetration tests on information systems and applications to identify security vulnerabilities.
|
b. |
Subscribe to an Industry Standard vulnerability service (e.g. Common Vulnerabilities and Exposures) and maintain alert status regarding any vulnerabilities contained in
Supplier’s information systems and products.
|
c. |
Maintain procedures to evaluate, prioritize, and track the vulnerabilities based on a variety of factors such as:
|
i. |
The severity rating assigned to the vulnerability by an Industry Standards body;
|
ii. |
The criticality of the assets impacted by the vulnerability and their likelihood of exploitation; and
|
iii. |
The classification and quantity of information which the vulnerability places at risk.
|
d. |
Patch or take other corrective actions to remediate known or discovered vulnerabilities in a commercially reasonable timeframe, giving greater priority to vulnerabilities with a
higher severity rating based on the criteria outlined in Section 11(c).
|
12. |
System and Communications Protection
|
|
Baseline Security Requirements
For Verizon Suppliers |
|
a. |
Employ reasonable controls to secure source code, including version control, segregation of source code repositories, and least privilege access principles.
|
b. |
Incorporate security vulnerability and malicious code assessments throughout the software development life cycle.
|
c. |
Ensure the information system separates user functionality (including user interface services) from information system management functionality.
|
d. |
Implement denial of service (DoS) detection and mitigation controls.
|
e. |
Monitor and control communications at the external boundary of the system and at key internal boundaries within the system.
|
f. |
Implement subnetworks for publicly accessible system components that are either physically or logically separated from internal, trusted Supplier networks.
|
g. |
Connect to and allow connections from external networks only through managed interfaces consisting of boundary protection devices and security gateways.
|
h. |
Implement appropriate cryptographic mechanisms to prevent unauthorized disclosure of information and detect changes to information during transmission.
|
i. |
Encrypt (in Transit and at Rest) Verizon Highly Confidential information.
|
j. |
Establish and manage cryptographic keys in accordance with established and industry accepted key management procedures for systems encrypting and or decrypting Verizon data.
|
k. |
Ensure retention and restoral of electronic mail when directed by Verizon in connection with actual or anticipated legal proceedings.
|
l. |
Adhere to the following requirements when connecting to a Verizon network:
|
i. |
Assets used to connect to a Verizon network must either be provided by Verizon or must be owned/leased by the Supplier or permitted subcontractors.
|
ii. |
Personally owned assets may not be used to perform work for Verizon.
|
13. |
System and Information Integrity
|
a. |
Identify, report, update, and correct information and information system vulnerabilities in a timely manner, as required by Section 11.
|
b. |
Provide protection from malicious code (e.g., viruses or malware) at appropriate locations within information systems.
|
c. |
Monitor information system security alerts and advisories and take appropriate actions in response.
|
d. |
Implement appropriate controls to ensure Verizon Confidential Information is used only for permitted business purposes authorized under the Agreement, and not for Supplier's own or other
purposes.
|
e. |
Monitor the information system to detect attacks and indicators of potential attacks in accordance with Supplier monitoring objectives.
|
f. |
Implements security safeguards to protect information system memory from unauthorized code execution.
|
|
Baseline Security Requirements
For Verizon Suppliers |
|
g. |
Maintain logical and/or physical separation between production and non-production environments (e.g., development, testing), sufficient to prevent unauthorized access between them.
|
h. |
Prohibit the use of Verizon Confidential data in a non-production environment (i.e. test or development) unless approved by Verizon.
|
i. |
Develop backup plans and schedules to protect against malicious destruction of information.
|
j. |
Mask or truncate Verizon Highly Confidential Information in display to prevent disclosure when unnecessary to perform a required business function and when required by law.
|
14. |
Proof of Compliance
|
a. |
Supplier must reasonably cooperate with Verizon’s efforts to verify Supplier’s compliance with these Requirements, which efforts may include periodic audits of Supplier’s operations by Verizon
or a third party at Verizon request and on reasonable notice. Supplier will reasonably cooperate with security assessment activities that Verizon may undertake from time to time in connection with Supplier’s performance under any
Agreement, and will address in a timely manner, security issues that are uncovered in such assessments.
|
b. |
In the event Verizon discovers that Supplier is non-compliant with these Requirements, Supplier must implement corrective action as soon as practicable, but in no event more than (30) days
after Verizon’s initial notification to Supplier of the non-compliance.
|
B. |
General Definitions
|
1.
|
Authentication/
Strong Authentication |
means the process by which a person, process or system is verified as a particular person, process or system or a member of a class of persons, processes or systems, typically for access to
data or another right or privilege. Strong Authentication means Authenticating using at least two different verification factors, known as two-factor or multi-factor authentication as follows: (i) something you know (e.g., a password or
PIN); (ii) something you have (e.g., a smart card or OTP token); or (iii) something you are (e.g., a fingerprint).
|
2.
|
Authenticator(s)
|
means the credentials or other mechanisms used to authenticate a person, process or system, including, but not limited to, passwords and biometric credentials such as fingerprints, digital
identities, voice prints, and retinal scans.
|
|
Baseline Security Requirements
For Verizon Suppliers |
|
3.
|
Customer Proprietary Network Information (CPNI)
|
means, for the purposes of these Requirements, information about a customer’s telecommunications service that is identifiable to that customer, such as call detail, usage, features,
geo-location information associated with such service and service subscription information, and further including information contained in bills pertaining to telephone exchange service or telephone toll
service and subject to Federal Communications Commission regulations at 47 U.S.C. Section 222(f)(1).
|
|
4.
|
Days
|
means calendar days unless otherwise specified.
|
|
5.
|
Encryption at Rest
|
means static data which is encrypted using Strong Cryptography.
|
|
6.
|
Encryption in Transit
|
means transmitted data which is encrypted using Strong Cryptography and a current Industry Standard mechanism (e.g. SFTP, VPN, TLS and etc.)
|
|
7.
|
Industry Standard
|
means any of the following:
|
|
(1)
|
actually used or adopted by a substantial number of companies comparable in size, stature, function to Verizon;
|
||
(2)
|
prescribed for use by an applicable nationally recognized standards body; or
|
||
(3)
|
assessed by a significant number of recognized experts in the field as acceptable and reasonable, except where a recent disclosure/public finding uncovers a significant flaw/vulnerability in
such standard.
|
||
8.
|
Privileged User
|
means a user with increased administrative permissions and/or access greater than that of a general user. Privileged User controls are applicable regardless of the environment those right
are granted in (i.e. production, development, or test and internal or external to the private network.)
|
|
9.
|
Sanitization
|
means the process of securely deleting data such that it cannot be recovered; Supplier must use NIST SP 800-88, Guidelines for Media Sanitization for guidance.
|
|
10.
|
Strong Cryptography
|
means the use of cryptography based on industry tested and accepted cipher algorithms with minimum key lengths of 256-bits for symmetric algorithms and 2048-bits for asymmetric algorithms.
This includes a documented key management standard, which stipulates the secure retirement and replacement of keys (i.e. key rotation).
|
|
11.
|
Supplier
|
means Supplier, its affiliates, and its/their subcontractors.
|
|
Baseline Security Requirements
For Verizon Suppliers |
|
12.
|
Verizon Confidential Information
|
means non-public information received from Verizon and non-public information generated for Verizon in connection with any agreement between Verizon and Supplier (an “Agreement”) under which
Supplier provides products or services to Verizon or to others at Verizon’s request or direction, as well as any other information defined as “Confidential Information” under such agreement. Some Confidential Information has increased
sensitivity and is categorized as “Highly Confidential Information,” further described below. For avoidance of doubt, “Highly Confidential” should also be considered “Confidential Information” in these Requirements.
|
|
13.
|
Verizon Highly Confidential Information
|
means Verizon Confidential Information that also fits the following criteria:
|
|
•
|
any state, federal or other national identification number (e.g. SSN, FIN, TIN, state driver’s license or state non-driver ID card, work visa, passport, tribal ID, military ID, Alien ID and
similar identifiers) identifiable to an individual,
|
||
•
|
last four (4) digits of SSN;
|
||
•
|
date of birth, (identifiable to an individual),
|
||
•
|
mother's maiden name (identifiable to an individual),
|
||
•
|
bank account and routing number,
|
||
•
|
credit/debit card primary account number (PAN), validation/verification codes, PIN/PIN Block, magnetic stripe data,
|
||
•
|
Merchant Gift Cards (including gift card number and PIN)
|
||
•
|
Passwords, Challenge Response (including biometric), PINs and other similar Authenticators,
|
||
•
|
Customer Proprietary Network Information (CPNI);
|
||
•
|
Information on circuits/services/individuals and other intercept data as required by CALEA or other relevant statutes.
|
||
•
|
Information indicating a service has been designated as subject to Telecommunication Service Priority, Government Emergency Telecommunications Service (GETS) or Wireless Priority Service,
|
||
•
|
ESN, MEID, IMEI, ICCID, EUIMID or other similar serial number (identifiable to a person),
|
||
•
|
set top box identification number, device MAC address, IP address (or other similar hardware identifiers that can be associated to a person),
|
||
•
|
health or medical information concerning an individual’s medical history, mental or physical condition, or medical treatment or diagnosis by a health care professional, as well as an
individual’s health insurance policy number or any unique identifier used to identify the individual for health/medical care purposes, claims history, including any appeals records,
|
||
•
|
Verizon employee or former employee information, such as compensation and performance review information; background and drug testing results; work limitations (involves physical limitations
or mental health issues); disciplinary information; Ethics/Equal Employment Opportunity case
|
|
Baseline Security Requirements
For Verizon Suppliers |
|
information; Rehire/No Rehire flags; Net Credited Service Date; marital/domestic partner status;
|
|||
•
|
customer telephone number, address, and/or customer name, unless designated as unpublished/unlisted
|
||
•
|
customer geo-location or Location Based Information,
|
||
•
|
other information about a Verizon customer that can be associated to that customer, including subscription or purchase information, account number, video on demand or pay per view purchase
information, television viewing information, email contents, text message contents, voice mails, voice recordings, Internet usage/navigation (i.e. Internet/web browsing history), customer or potential customer credit scores or credit
status, and
|
||
•
|
any information defined in the Master Service Agreement or Statement of Work between Verizon and Supplier as “Verizon Highly Confidential Information,” or labelled as such.
|
C. |
ACRONYMS
|
CALEA
|
Communications Assistance for Law Enforcement Act
|
ESN
|
Electronic Serial Number
|
EUIMID
|
Expanded User Identity Module Identifier
|
FIN
|
Federal Identification Number
|
ICCID
|
Integrated Circuit Card Identifier
|
IMEI
|
International Mobile Equipment Identity
|
MEID
|
Mobile Equipment Identifier
|
OTP
|
One Time Password
|
PAN
|
Primary Account Number
|
PIN
|
Personal Identification Number
|
SFTP
|
Secure File Transfer Protocol
|
SSN
|
Social Security Number
|
TIN
|
Taxpayer Identification Number
|
TLS
|
Transport Layer Security
|
VPN
|
Virtual Private Network
|
Re: |
The Transfer and Servicing Agreement, dated as of August 12, 2020 (the “Agreement”), among Verizon Owner Trust 2020-B (the “Issuer”), Verizon ABS LLC (the “Depositor”), and
Cellco Partnership d/b/a Verizon Wireless (“Cellco”), as servicer (in such capacity, the “Servicer”), as marketing agent and as custodian.
|
Date: _________________________
|
|
By: ___________________________
|
|
Name:
|
|
Title:
|
ARTICLE I USAGE AND DEFINITIONS
|
1
|
|
Section 1.1.
|
Usage and Definitions
|
1
|
ARTICLE II ADMINISTRATION OF ISSUER
|
1
|
|
Section 2.1.
|
Engagement of Administrator
|
1
|
Section 2.2.
|
Administrator’s Rights and Obligations
|
1
|
Section 2.3.
|
Limits on Administrator’s Rights and Obligations
|
3
|
Section 2.4.
|
Power of Attorney
|
4
|
Section 2.5.
|
Access to Issuer Records
|
4
|
Section 2.6.
|
Review of Administrator’s Records
|
4
|
Section 2.7.
|
Updating List of Responsible Persons
|
4
|
Section 2.8.
|
Administrator’s Fees and Expenses
|
4
|
Section 2.9.
|
Form 10-Ds; Investor Communications
|
5
|
Section 2.10.
|
[Reserved]
|
7
|
Section 2.11.
|
Additional Requirements of the Administrator
|
7
|
ARTICLE III ADMINISTRATOR
|
8
|
|
Section 3.1.
|
Administrator’s Representations and Warranties
|
8
|
Section 3.2.
|
Liability of Administrator
|
9
|
Section 3.3.
|
Resignation and Removal of Administrator
|
10
|
Section 3.4.
|
Successor Administrator
|
11
|
Section 3.5.
|
Merger, Consolidation, Succession or Assignment
|
11
|
Section 3.6.
|
Delegation and Contracting
|
12
|
ARTICLE IV OTHER AGREEMENTS
|
12
|
|
Section 4.1.
|
Independence of Administrator; No Joint Venture
|
12
|
Section 4.2.
|
Transactions with Affiliates; Other Transactions
|
12
|
Section 4.3.
|
No Effect on Cellco in Other Capacities
|
12
|
Section 4.4.
|
No Petition
|
12
|
Section 4.5.
|
Limitation of Liability of Owner Trustee and Indenture Trustee
|
13
|
Section 4.6.
|
Termination
|
13
|
ARTICLE V MISCELLANEOUS
|
13
|
|
Section 5.1.
|
Amendments
|
13
|
Section 5.2.
|
Assignment; Benefit of Agreement; Third-Party Beneficiary
|
14
|
Section 5.3.
|
Notices
|
15
|
Section 5.4.
|
GOVERNING LAW
|
15
|
Section 5.5.
|
Submission to Jurisdiction
|
15
|
Section 5.6.
|
WAIVER OF JURY TRIAL
|
15
|
Section 5.7.
|
No Waiver; Remedies
|
16
|
Section 5.8.
|
Severability
|
16
|
Section 5.9.
|
Headings
|
16
|
Section 5.10.
|
Counterparts
|
16
|
Section 5.11.
|
Electronic Signatures
|
16
|
VERIZON OWNER TRUST 2020-B,
|
||
as Issuer
|
||
By:
|
Wilmington Trust, National Association,
|
|
not in its individual capacity but solely as Owner Trustee
|
||
By:
|
|
|
Name:
|
||
Title:
|
||
CELLCO PARTNERSHIP d/b/a VERIZON WIRELESS,
|
||
as Administrator
|
||
By:
|
|
|
Name:
|
||
Title:
|
VERIZON ABS LLC,
|
|
as Depositor
|
|
By:
|
|
Name:
|
|
Title:
|
|
U.S. BANK NATIONAL ASSOCIATION,
|
|
not in its individual capacity but
|
|
solely as Indenture Trustee
|
|
By:
|
|
Name:
|
|
Title:
|
ARTICLE I
|
USAGE AND DEFINITIONS
|
1
|
Section 1.1
|
Usage and Definitions
|
1
|
ARTICLE II
|
ESTABLISHMENT OF COLLATERAL ACCOUNTS
|
1
|
Section 2.1
|
Description of Accounts
|
1
|
Section 2.2
|
Account Changes
|
2
|
Section 2.3
|
Account Types
|
2
|
Section 2.4
|
Securities Accounts
|
2
|
Section 2.5
|
“Financial Assets” Election
|
3
|
ARTICLE III
|
SECURED PARTY CONTROL
|
3
|
Section 3.1
|
Control of Collateral Accounts
|
3
|
Section 3.2
|
Investment Instructions
|
3
|
Section 3.3
|
Conflicting Orders or Instructions
|
4
|
ARTICLE IV
|
SUBORDINATION OF LIEN; WAIVER OF SET-OFF
|
4
|
Section 4.1
|
Subordination of Lien; Waiver of Set-Off
|
4
|
ARTICLE V
|
REPRESENTATIONS, WARRANTIES AND COVENANTS
|
4
|
Section 5.1
|
Financial Institution’s Representations and Warranties
|
4
|
Section 5.2
|
Financial Institution’s Covenants
|
5
|
Section 5.3
|
Hague Securities Convention
|
5
|
ARTICLE VI
|
OTHER AGREEMENTS
|
6
|
Section 6.1
|
Reliance by Financial Institution
|
6
|
Section 6.2
|
Termination
|
6
|
Section 6.3
|
No Petition
|
6
|
Section 6.4
|
Limitation of Liability
|
6
|
Section 6.5
|
Conflict With Other Agreement
|
7
|
Section 6.6
|
[Reserved]
|
7
|
Section 6.7
|
Adverse Claims
|
7
|
Section 6.8
|
Maintenance of Collateral Accounts
|
7
|
ARTICLE VII
|
MISCELLANEOUS
|
8
|
Section 7.1
|
Amendment
|
8
|
Section 7.2
|
Benefit of Agreement
|
9
|
Section 7.3
|
Notices
|
9
|
Section 7.4
|
Governing Law
|
10
|
Section 7.5
|
Submission to Jurisdiction
|
10
|
Section 7.6
|
Waiver of Jury Trial
|
10
|
Section 7.7
|
No Waiver; Remedies
|
11
|
Section 7.8
|
Severability
|
11
|
Section 7.9
|
Headings
|
11
|
Section 7.10
|
Counterparts
|
11
|
Section 7.11
|
Electronic Signatures
|
11
|
Exhibit A
|
Form of Notice of Sole Control
|
A-1
|
Exhibit B
|
Form of Termination of Securities Account Control Agreement
|
B-1
|
VERIZON OWNER TRUST 2020-B,
|
||
as Grantor
|
||
By:
|
Wilmington Trust, National Association,
|
|
not in its individual capacity but solely as Owner
|
||
Trustee of Verizon Owner Trust 2020-B
|
||
By:
|
|
|
Name:
|
||
Title:
|
||
U.S. BANK NATIONAL ASSOCIATION,
|
||
not in its individual capacity but solely as Secured
Party
|
||
By:
|
|
|
Name:
|
||
Title:
|
||
U.S. BANK NATIONAL ASSOCIATION,
|
||
as Financial Institution
|
||
By:
|
|
|
Name:
|
||
Title:
|
Re: |
Notice of Sole Control
|
Very truly yours,
|
||
U.S. BANK NATIONAL ASSOCIATION, not
|
||
in its individual capacity but solely as
|
||
Secured Party
|
||
By:
|
|
|
Name:
|
||
Title:
|
Re: |
Termination of Securities Account Control Agreement
|
Very truly yours,
|
||
U.S. BANK NATIONAL ASSOCIATION, not
|
||
in its individual capacity but solely as
|
||
Secured Party
|
||
By:
|
|
|
Name:
|
||
Title:
|
VERIZON COMMUNICATIONS INC.
|
||
By:
|
|
|
Name:
|
||
Title:
|
ARTICLE I
|
USAGE AND DEFINITIONS
|
1
|
Section 1.1
|
Usage and Definitions
|
1
|
Section 1.2
|
Additional Definitions
|
1
|
Section 1.3
|
Review Materials and Test Definitions
|
2
|
ARTICLE II
|
ENGAGEMENT OF ASSET REPRESENTATIONS REVIEWER
|
2
|
Section 2.1
|
Engagement; Acceptance
|
2
|
Section 2.2
|
Confirmation of Status
|
3
|
ARTICLE III
|
ASSET REPRESENTATIONS REVIEW PROCESS
|
3
|
Section 3.1
|
Review Notices
|
3
|
Section 3.2
|
Identification of Review Receivables
|
3
|
Section 3.3
|
Review Materials
|
3
|
Section 3.4
|
Performance of Reviews
|
4
|
Section 3.5
|
Review Reports
|
4
|
Section 3.6
|
Review Representatives
|
5
|
Section 3.7
|
Dispute Resolution
|
5
|
Section 3.8
|
Limitations on Review Obligations
|
5
|
Section 3.9
|
Updated Review Materials
|
6
|
ARTICLE IV
|
ASSET REPRESENTATIONS REVIEWER
|
6
|
Section 4.1
|
Representations and Warranties
|
6
|
Section 4.2
|
Covenants
|
8
|
Section 4.3
|
Fees and Expenses
|
8
|
Section 4.4
|
Limitation on Liability
|
9
|
Section 4.5
|
Indemnification by Asset Representations Reviewer
|
9
|
Section 4.6
|
Indemnification of Asset Representations Reviewer
|
9
|
Section 4.7
|
Review of Asset Representations Reviewer’s Records
|
10
|
Section 4.8
|
Delegation of Obligations
|
11
|
Section 4.9
|
Confidential Information
|
11
|
Section 4.10
|
Personally Identifiable Information
|
13
|
ARTICLE V
|
RESIGNATION AND REMOVAL; SUCCESSOR ASSET REPRESENTATIONS REVIEWER
|
15
|
Section 5.1
|
Eligibility Requirements for Asset Representations Reviewer
|
15
|
Section 5.2
|
Resignation and Removal of Asset Representations Reviewer
|
15
|
Section 5.3
|
Successor Asset Representations Reviewer
|
16
|
Section 5.4
|
Merger, Consolidation or Succession
|
17
|
ARTICLE VI
|
OTHER AGREEMENTS
|
17
|
Section 6.1
|
Independence of Asset Representations Reviewer
|
17
|
Section 6.2
|
No Petition
|
17
|
Section 6.3
|
Limitation of Liability of Owner Trustee
|
17
|
Section 6.4
|
Termination of Agreement
|
18
|
Section 6.5
|
Monthly Reports
|
18
|
ARTICLE VII
|
MISCELLANEOUS PROVISIONS
|
18
|
Section 7.1
|
Amendments
|
18
|
Section 7.2
|
Assignment; Benefit of Agreement; Third Party Beneficiaries
|
19
|
Section 7.3
|
Notices
|
19
|
Section 7.4
|
GOVERNING LAW
|
19
|
Section 7.5
|
Submission to Jurisdiction
|
20
|
Section 7.6
|
WAIVER OF JURY TRIAL
|
20
|
Section 7.7
|
No Waiver; Remedies
|
20
|
Section 7.8
|
Severability
|
20
|
Section 7.9
|
Headings
|
20
|
Section 7.10
|
Counterparts
|
20
|
Section 7.11
|
Non-exclusive Agreement
|
20
|
Section 7.12
|
Electronic Signatures
|
20
|
VERIZON OWNER TRUST 2020-B,
|
|||
as Issuer
|
|||
By:
|
Wilmington Trust, National Association, not in its individual capacity, but solely as Owner Trustee
|
||
By:
|
|||
Name:
|
|||
Title:
|
|||
CELLCO PARTNERSHIP d/b/a VERIZON WIRELESS,
|
|||
as Servicer
|
|||
By:
|
|||
Name:
|
|||
Title:
|
|||
PENTALPHA SURVEILLANCE LLC,
|
|||
as Asset Representations Reviewer
|
|||
By:
|
|||
Name:
|
|||
Title:
|
1. |
Forms of device payment plan agreements (each, a “Form Contract”) applicable to the Receivables; and
|
2. |
An electronic data tape (the “Data Tape”) describing certain characteristics of the Receivables as of the Cutoff Date or such other applicable date of determination.
|
Representation and Warranty
|
Tests
|
As of the related Cutoff Date, the Obligor on the account for such Receivable had a billing address in the United States or in a territory of the United
States.
|
Check that state code indicated on Data Tape is a US state or US territory.
|
As of the related Cutoff Date, the remaining term of the Receivable is less than or equal to 24 months.
|
Check that remaining installments indicated on Data Tape are less than or equal to 24 months.
|
The Receivable did not contain a contractual right to an upgrade of the Device related to such device payment plan agreement, at the time such Receivable was
originated.
|
Check that Form Contract used at the time of sale date is an approved form.
|
The origination date of the Receivable was at least 15 days prior to the related Cutoff Date.
|
Check that sale date indicated on Data Tape is greater than 15 days prior to the related Cutoff Date.
|
As of the related Cutoff Date, as indicated on the records of the Originator or one of its Affiliates, the Obligor on the account for such Receivable maintains
service with Verizon Wireless.
|
Check that account status on Data Tape is active.
|
Under the Receivable, there is no prepayment penalty.
|
Check that Form Contract used at time of sale date does not contain a prepayment penalty.
|
As of the related Cutoff Date, as indicated on the records of the Originator or one of its Affiliates, the Receivable is not associated with the account of a
business customer or government customer.
|
Check that customer type on Data Type is “PE” or “ME.”
|
As of the related Cutoff Date, the Obligor on the account for such Receivable is not indicated to be subject to a current bankruptcy proceeding on the records
of the related Originator or one of its Affiliates, acting as its agent.
|
Check that bankruptcy status on Data Tape is not open.
|
As of the related Cutoff Date, the Receivable is not a Receivable that is part of an account (A) on which any amount is 31 days or more Delinquent by the
Obligor or (B) that is in
|
Check that Data Tape indicates that the account related to the Receivable is less than 31 days past due and that account and line is active.
|
Representation and Warranty
|
Tests
|
“suspend” or “disconnect” status (including as a result of the application of the Servicemembers Civil Relief Act, as amended) in accordance with the Servicing
Procedures.
|
|
The Receivable is denominated and payable only in U.S. dollars.
|
Check that Form Contract used at time of sale date indicates that it is payable in U.S. dollars.
|
The Obligor under such Receivable is required to make payments no less frequently than monthly under the related device payment plan agreement.
|
Check that Data Tape indicates monthly payments.
|
As of the related Cutoff Date, the outstanding balance of the Receivable does not exceed $2,500.
|
Check that unpaid balance indicated on Data Tape is less than or equal to $2,500.
|
As of the related Cutoff Date, either (i) at least one monthly payment made by the Obligor under the related device payment plan agreement has been received
with respect to the related Receivable or (ii) the related Obligor has at least one year of Customer Tenure with Verizon Wireless.
|
Check that Data Tape (i) has the first payment indicated as “YES” or (ii) indicates customer tenure is greater than or equal to 1yr.
|
The Receivable was originated in, and is subject to the Laws of, a jurisdiction which permits the transfer and assignment of the Receivable, and the terms of
the Receivable do not contain a requirement that the related Obligor consent to the transfer or assignment of the rights to payment of the related Originator under such Receivable.
|
Check that Form Contract used at time of sale date is an approved form.
|
At the time of origination, the Receivable complied in all material respects with any requirements of Law applicable thereto.
|
Check that Form Contract used at time of sale date is an approved form.
|
The Receivable constitutes the legal and binding obligation of the related Obligor enforceable against such Obligor in accordance with its terms (except as
such enforcement may be limited by applicable bankruptcy, insolvency, reorganization or similar Laws relating to and limiting creditors’ rights generally and by general principles of equity (regardless of whether
|
Check that Form Contract used at time of sale date is an approved form.
|
Representation and Warranty
|
Tests
|
enforcement is sought in a proceeding in equity or in law)).
|
|
As of the related Cutoff Date, neither the Originator’s receivables systems nor the Receivable File indicates that the Receivable was satisfied or rescinded.
|
Check that loan status indicated on Data Tape is active.
|
5R
M