Persons entitled
- Citibank N.A
Amount secured
All sums due or to become due
Short particulars
All monies at the date of the reinsurance deposit agreement or at any time thereafter during the subsistence of the security constituted by the reinsurance deposit agreement standing to the credit of: (a) each reinsurance deposit or other account with the bank referred to in clause 3(a)(i) of the reinsurance deposit agreement; (b) any account opened by the bank pursuant to clause 11(b) of the reinsurance deposit agreement; or (c) any other account referred to in clause 13 of the reinsurance deposit agreement and, in each case, all entitlements to interest and other rights and benefits accruing to or arising in connection with such monies.