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Exhibit 4.3

 

(Multicurrency—Cross Border)

           

ISDA

International Swap Dealers Association, Inc.

MASTER AGREEMENT

dated as of November 9, 2006

  

	
ABN AMRO BANK N.V.

(“Party A”)

	
and

	
Deutsche Bank National Trust Company, not in its individual capacity but solely as Supplemental Interest Trust Trustee on behalf of Long Beach Mortgage Loan Supplemental Interest Trust
2006-10

(“Party B”)

  

 

have entered and/or anticipate entering into one or more transactions (each a “Transaction”) that are or will

be governed by this Master Agreement, which includes the schedule (the “Schedule”), and the documents

and other confirming evidence (each a “Confirmation”) exchanged between the parties confirming those Transactions.

Accordingly, the parties agree as follows:—

1.                   Interpretation

(a)                
Definitions. The terms defined in Section 14 and in the Schedule will have the meanings therein specified for the purpose of this Master Agreement.

(b)                
Inconsistency. In the event of any inconsistency between the provisions of the Schedule and the other provisions of this Master Agreement, the Schedule will prevail.  In the event of any inconsistency between the provisions of any Confirmation and
this Master Agreement (including the Schedule), such Confirmation will prevail for the purpose of the relevant Transaction.

(c)                 Single
Agreement. All Transactions are entered into in reliance on the fact that this Master Agreement and all Confirmations form a single agreement between the parties (collectively referred to as

this “Agreement”), and the parties would not otherwise enter into any Transactions.

2.                   Obligations

(a)                 General
Conditions.

(i)       Each party will make each payment or delivery specified in
each Confirmation to be made by it, subject to the other provisions of this Agreement.

(ii)     Payments under this Agreement will be made on the due date
for value on that date in the place

of the account specified in the relevant Confirmation or otherwise pursuant to this Agreement, in freely transferable funds and in the manner customary for payments in the required currency. Where settlement is by delivery (that is, other than by
payment), such delivery will be made for receipt on the due date in the manner customary for the relevant obligation unless otherwise specified in the relevant Confirmation or elsewhere in this Agreement.

(iii)    Each obligation of each party under Section 2(a)(i) is subject to (1) the
condition precedent

that no Event of Default or Potential Event of Default with respect to the other party has occurred

and is continuing, (2) the condition precedent that no Early Termination Date in respect of the relevant Transaction has occurred or been effectively designated and (3) each other applicable condition precedent specified in this Agreement.

value of that which was (or would have been) required to be delivered as of the originally scheduled date

for delivery, in each case together with (to the extent permitted under applicable law) interest, in the currency,

of such amounts, from (and including) the date such amounts or obligations were or would have been required

to have been paid or performed to (but excluding) such Early Termination Date, at the Applicable Rate. Such

amounts of interest will be calculated on the basis of daily compounding and the actual number of days

elapsed. The fair market value of any obligation referred to in clause (b) above shall be reasonably

determined by the party obliged to make the determination under Section 6(e) or, if each party is so obliged,

it shall be the average of the Termination Currency Equivalents of the fair market values reasonably

determined by both parties.

IN WITNESS WHEREOF the parties have executed this document on the respective dates specified below

with effect from the date specified on the first page of this document.

	
ABN AMRO BANK N.V.

	
 

	

Deutsche Bank National Trust Company, not in its individual capacity but solely as Supplemental Interest Trust Trustee on behalf of Long Beach
Mortgage Loan Supplemental Interest Trust 2006-10

	
 

 

By:  /s/ Frederick P.
Engler                                

 

Name:  Frederick P. Engler

 Title:    Regional Manager Documentation

                   North America

 Date:    November 9, 2006

	
 

	
 

 

By:  /s/ Ronaldo
Reyes                                    

 

Name:  Ronaldo Reyes

 Title:    Vice President

 Date:    November 9, 2006

	
 

 

By:  /s/ Sylvie
Trudel                                          

 

Name:  Sylvie Trudel

 Title:    Group Vice President

 Date:    November 9, 2006

	
 

	
 

 

By:  /s/ Melissa
Wilman                                   

 

Name:  Melissa Wilman

 Title:    Vice President

 Date:    November 9, 2006

 

 

 

Rate Swap Schedule

 

SCHEDULE

to the

Master Agreement 

dated as of November 9, 2006

between

 

  

	
ABN AMRO BANK, N.V.

	
 

 

and

	
Deutsche Bank National Trust Company, not in its individual capacity but solely as Supplemental Interest Trust
Trustee on behalf of Long Beach Mortgage Loan Supplemental Interest Trust 2006‐10 (the “Supplemental Interest Trust”)

	
_______________________________________

(“Party A”)

	
 

	
_________________________________________

(“Party B”)

  

 

 

Part 1.

Termination Provisions.

(a)   “Specified Entity” means in relation to Party A for
the purpose of:

Section 5(a)(v),             Not applicable

Section 5(a)(vi),            Not applicable

Section 5(a)(vii),           Not applicable

Section 5(b)(iv),            Not applicable

and in relation to Party B for the purpose of:

Section 5(a)(v),             Not applicable

Section 5(a)(vi),            Not applicable

Section 5(a)(vii),           Not applicable

Section 5(b)(iv),            Not applicable

(b)   “Specified Transaction” will not apply to Party A or
Party B.

(c)   Certain Events of Default.  The following
Events of Default will apply to the parties as specified below, and the definition of “Event of Default” in Section 14 is deemed to be modified accordingly:

Section 5(a)(i) (Failure to Pay or Deliver) will apply to Party A and Party
B.

Section 5(a)(ii) (Breach of Agreement) will not apply to Party A or Party B.

Section 5(a)(iii) (Credit Support Default) will apply to Party A at any time Party A is
posting collateral or is providing a guarantee or other contingent agreement pursuant to Part 5(b) and will not apply to Party B.

Section 5(a)(iv) (Misrepresentation) will not apply to Party A or Party B.

Section 5(a)(v) (Default under Specified Transaction) will not apply to Party A or Party B.

Section 5(a)(vi) (Cross Default) will not apply to Party A or Party B.

Section 5(a)(vii) (Bankruptcy) will apply to Party A and Party B; provided that clause
(2) thereof shall not apply to Party B.

Section 5(a)(viii) (Merger without Assumption) will apply to Party A and will not apply
to Party B.

(d)   Termination Events.  The following
Termination Events will apply to the parties as specified below:

Section 5(b)(i) (Illegality) will apply to Party A and Party B.

Section 5(b)(ii) (Tax Event) will apply to Party A and Party B.

Section 5(b)(iii) (Tax Event upon Merger) will apply to Party A and will not apply to Party B.

Section 5(b)(iv) (Credit Event upon Merger) will not apply to Party A or Party B.

 

(e)   The “Automatic Early Termination”
provision of Section 6(a) of this Agreement will not apply to Party A or Party B.

(f)    Payments on Early Termination. For the
purpose of Section 6(e) of this Agreement:

(i)    Market Quotation will apply.

(ii)   The Second Method will apply.

(g)   “Termination Currency” means
United States Dollars.

(h)   Gross Up.  The provisions of Section
2(d)(i)(4) of this Agreement shall not apply to Party B as “X” and the provisions of Section 2(d)(ii) of this Agreement shall not apply to Party B as “Y,” such that Party B shall not be required to pay any additional amounts referred to
therein.

(i)    Additional Termination Events.  The
following Additional Termination Events will apply, in each case with respect to Party B as the sole Affected Party (unless otherwise provided below):

(i)    Party A fails to comply with the Downgrade Provisions as set forth in Part 5(b).  For all purposes of this Agreement, Party A shall
be the sole Affected Party with respect to the occurrence of a Termination Event described in this Part 1(i)(i).

(ii)   The Pooling and Servicing Agreement dated as of November 1,
2006 among Long Beach Securities Corp. as Depositor, Washington Mutual Bank as Seller and Servicer and Deutsche Bank National Trust Company as Trustee for the trust (the “Trust”) and Supplemental Interest Trust Trustee (the “Supplemental
Interest Trust Trustee”) for the Supplemental Interest Trust (the “Supplemental Interest Trust”) and Deutsche Bank Trust Company Delaware as Delaware Trustee as amended and supplemented from time to time (the
“PSA”) or other transaction document is amended or modified without the prior written consent of Party A, where such consent is required under the terms of the PSA.

(iii)  The Trust is terminated pursuant to the PSA.

(iv)  Notice has been given by the Terminator of its intention to
terminate the Trust pursuant to Section 9.01(b) of the PSA; provided that the Early Termination Date may not be earlier than the date on which the Certificates will be retired pursuant to Section 9.01(a) of the PSA.

(v)   Party A fails to satisfy its obligations under Section 2 of
that certain Indemnification and Disclosure Agreement dated as of November 9, 2006 between Party A and Washington Mutual Bank.  For all purposes of this Agreement, Party A shall be the sole Affected Party with respect to the occurrence of a Termination Event
described in this Part 1(i)(v).

        Notwithstanding anything in
Section 6 of the Master Agreement to the contrary, any amounts due as result of the occurrence of an Additional Termination Event described in Part 1(i)(iii) and Part 1(i)(iv) of this Schedule may be calculated prior to the Early Termination Date and shall be payable
on the Early Termination Date.

Part 2.

Tax Representations.

(a)   Payer Representations. For the purpose of
Section 3(e) of this Agreement, Party A will make the following representation and Party B will make the following representation:

It is not required by any applicable law, as modified by the practice of any relevant
governmental revenue authority, of any Relevant Jurisdiction to make any deduction or withholding for or on account of any Tax from any payment (other than interest under Section 2(e), 6(d)(ii) or 6(e) of this Agreement) to be made by it to the other party under this
Agreement. In making this representation, it may rely on (i) the accuracy of any representations made by the other party pursuant to Section 3(f) of this Agreement, (ii) the satisfaction of the agreement contained in Section 4(a)(i) or 4(a)(iii) of this Agreement and
the accuracy and effectiveness of any document provided by the other party pursuant to Section 4(a)(i) or 4(a)(iii) of this Agreement and (iii) the satisfaction of the agreement of the other party contained in Section 4(d) of this Agreement, provided that it shall
not be a breach of this representation where reliance is placed on clause (ii) and the other party does not deliver a form or document under Section 4(a)(iii) of this Agreement by reason of material prejudice to its legal or commercial position.

(b)   Payee Representations. For the purpose of
Section 3(f) of this Agreement, Party A and Party B make the representations specified below, if any:

(i)       Party A makes the following
representation to Party B:

 

(1)           It is a resident of The Netherlands for the purpose of the application of the existing tax treaties between The Netherlands
and those countries where offices of Party B are located.

(2)           With respect to its non-U.S. branches, it is fully eligible for the benefits of the “Business Profits” or
“Industrial and Commercial Profits” provision, as the case may be, the “Interest” provision or the “Other Income” provision (if any) of the Specified Treaty with respect to any payment described in such provisions and received or
to be received by it in connection with this Agreement and no such payment is attributable to a trade or business carried on by it through a permanent establishment in the Specified Jurisdiction.  With respect to Party A, Specified Treaty means the income tax
treaty between the United States and The Netherlands;  Specified Jurisdiction means the United States.

(3)           With respect to its U.S. branches, each payment received or to be received by it in connection with this Agreement will be
effectively connected with its conduct of a trade or business in the United States.

 

(ii)     Party B makes no representations for the purpose
of Section 3(f) of this Agreement.

 

Part 3.

Agreement to Deliver Documents.

For the purpose of Sections 4(a)(i) and (ii) of this Agreement, each party agrees to deliver the following documents, as applicable:

(a)   Tax forms, documents or certificates to be delivered
are:— None

(b) Other documents to be delivered are:—

 

	
Party required to deliver document

	
Form/Document/Certificate

	
Date by which to be delivered

	
Covered by Section 
 3(d) Representation

	
Party A

	
Certified copy of the power of attorney (or equivalent authorizing documentation) which sets forth the authority of each signatory to this Agreement and each Credit
Support Document (if any) signing on its behalf and the authority of such party to enter into Transactions contemplated and performance of its obligations hereunder.

	
Concurrently with the execution and delivery of this Agreement.

	
Yes

	
Party A and Party B

	
Incumbency certificate (or, if available the current authorized signature book or equivalent authorizing documentation) specifying the names, titles, authority and
specimen signatures of the persons authorized to execute this Agreement which sets forth the specimen signatures of each signatory to this Agreement, each Confirmation and each Credit Support Document (if any) signing on its behalf.

	
Concurrently with the execution and delivery of this Agreement unless previously delivered and still in full force and effect.

	
Yes

	
Party A and B

	
An opinion of counsel to such party reasonably satisfactory in form and substance to the other party.

	
Concurrently with the execution and delivery of the Confirmation unless previously delivered and still in full force and effect.

	
No

	
Party B

	
An executed copy of the PSA.

	
Within 30 days after the date of this Agreement.

	
Yes

	
Party B

	
Each material amendment, supplement or waiver of the PSA, as proposed from time to time, or any other amendment or modification of the PSA that requires the consent
of Party under the terms of the PSA or otherwise adversely affects Party A’s interests under this Agreement or the ability of Party B to fully and timely perform its obligations under this Agreement.

	
Promptly upon learning of any proposed amendment, supplement or waiver

	
Yes

Part 4.

Miscellaneous.

(a)   Addresses for Notices. For the purposes of
Section 12(a) of this Agreement:

Party A:

      (1)     Address for notices
or communications to Party A:‐

                (i)            For all purposes under this
Agreement:

 

      ABN AMRO Bank N.V., Chicago Branch

      Global Documentation Unit

      540 W. Madison Street, 22nd Floor

      Chicago, IL   60661

      Attention:  Treasury Documentation

      Telephone:  312-904-5214

      Fax:    312-904-0392

 

                (ii)  With a copy to the Office through which
Party A is acting for the purposes of the relevant Transactions:

 

      ABN AMRO Bank N.V., Amsterdam Head Office

      P.O. Box 283

      1000 AE  Amsterdam

      The Netherlands

      Attention:  Operations Derivatives Markets

 

      Forex Options

      Telephone:    31-20-6292654

      Telefax:    31-20-6284832

 

      Swaps

      Telephone:    31-20-6284448

      Telefax:    31-20-6281679

 

      Interest Related Products

      Telephone    31-20-3831226

      Telefax:    31-20-6282462

 

      Credit Derivatives

      Telephone:    31-20-3831230

      Telefax:    31-20-3832299

      Telex:     16021   Answerback: ABAM NL

      Electronic Messaging System Details: Swift ABNA NL 2A

 

      ABN AMRO Bank N.V., Chicago Branch

      540 West Madison Avenue, Suite 2132

      Chicago, IL  60661

      Attention:  Treasury Operations

      Telefax:    312-855-5852

      Telephone:  312-992-5816

      Electronic Messaging System Details:   ABNA US 33a XXX

 

      ABN AMRO Bank N.V., London Branch

      199 Bishopsgate,

      London EC2M 3XW,

      United Kingdom

      Attention:   Fixed Income Derivatives Documentation

      Telex:    887366     Answerback: ABNALN G

      Telefax:    44 20 7857 9428

      Telephone:  44 20 7678 3311

      Electronic Messaging System Details: Swift ABNA GB 2L

 

Party B:         

 

Deutsche Bank National Trust Company, not in its individual capacity but solely as Supplemental Interest Trust Trustee on behalf of Long Beach
Mortgage Loan Supplemental Interest Trust 2006‐10

1761 East St. Andrew Place,

Santa Ana,

California 92705-4934

Attention:  Long Beach Mortgage Loan Trust 2006‐10

Telephone:  714-247-6000

Facsimile:  714-247-6478

 

(b)   Process Agent. For the
purposes of Section 13(c) of this Agreement:

Party A appoints as its Process Agent:  Not applicable.

Party B appoints as its Process Agent:  Not applicable.

(c)   Offices. With respect to Party A, the
provisions of Section 10(a) will apply to this Agreement.

(d)   Multibranch Party. For
the purpose of Section 10(c) of this Agreement:

Party A is a Multibranch Party and may act through the following Offices: Amsterdam, Chicago and
London.

 

Party B is not a Multibranch Party.

(e)   Calculation Agent. The Calculation Agent is
Party A.

(f)    Credit Support
Document. Credit Support Document means

With respect to Party A:  Any Credit Support Annex that may be entered into by Party A and
Party B in connection with the occurrence of a Collateralization Event or Rating Event, each as defined under Part 5(b). 

With respect to Party B:  The PSA.

(g)   Credit Support
Provider.

Credit Support Provider means in relation to Party A:  Any guarantor or other provider of credit support obtained pursuant to Part
5(b).

 

Credit Support Provider means in relation to Party B:  Not applicable.

(h)   Governing Law. This Agreement will be governed
by and construed in accordance with the laws of the State of New York (without reference to choice of law doctrine other than New York General Obligation Law Sections 5-1401 and 5-1402).

(i)    Netting of Payments. Subparagraph (ii)
of Section 2(c) of this Agreement will apply to all Transactions.

(j)    “Affiliate.”  Each of
Party A and Party B shall be deemed to have no Affiliates.

(k)   The word “third” shall be replaced by the word
“first” in the third line of Section 5(a)(i) of this Agreement.

(l)    For the avoidance of doubt, it is expressly understood
and agreed by the parties hereto that, to the extent that any Event of Default described in Section 5(a) of this Agreement is applicable to the Supplemental Interest Trust, such Event of Default is applicable only to the Supplemental Interest Trust and not to the
Supplemental Interest Trust Trustee individually or personally.

Part 5.

Other Provisions.

(a)   Definitions.

        Any capitalized terms used but
not otherwise defined in this Agreement shall have the meanings assigned to them (or incorporated by reference) in the PSA.  In the event of any inconsistency between the terms of this Agreement and the terms of the PSA, this Agreement will govern.

(b)   Downgrade Provisions. 

 

(1)   It shall be a Collateralization Event if (A) (i) the unsecured, unguaranteed and otherwise unsupported long-term senior
debt obligations of Party A are rated below “A1” by Moody's Investors Service, Inc. (“Moody's”) or are rated “A1” by Moody's and such rating is on watch for possible downgrade (but only for so long as it is on watch for
possible downgrade) or (ii) the unsecured, unguaranteed and otherwise unsupported short-term debt obligations of Party A are rated below “P‐1” by Moody's or are rated “P‐1” by Moody's and such rating is on watch for
possible downgrade (but only for so long as it is on watch for possible downgrade), (B) no short-term rating is available from Moody's and the unsecured, unguaranteed and otherwise unsupported long-term senior debt obligations of Party A are rated below
“Aa3” by Moody's or are rated “Aa3” by Moody's and such rating is on watch for possible downgrade (but only for so long as it is on watch for possible downgrade), or (C)  either (i) the unsecured, unguaranteed and otherwise unsupported
short-term debt obligations of Party A are rated below “A‐1” by Standard & Poor's Rating Services, a division of The McGraw-Hill Companies, Inc. (“S&P”)
 or (ii) if Party A does
not have a short-term rating from S&P, the unsecured, unguaranteed and otherwise unsupported long-term senior debt obligations of Party A are rated below “A+” by S&P
or
(D)  either (i) the unsecured, unguaranteed and otherwise unsupported long-term senior debt obligations of Party A are rated below “A” by Fitch, Inc. (“Fitch”, and together with Moody’s and
S&P, the “Rating Agencies”) or (ii) the unsecured, unguaranteed and otherwise unsupported short-term debt obligations of Party A are rated below “F-1” by Fitch.  For the avoidance of doubt,
the parties hereby acknowledge and agree that notwithstanding the occurrence of a Collateralization Event, this Agreement and each Transaction hereunder shall continue to qualify as a Swap Agreement for purposes of the distribution priorities in Article IV of the
PSA.  Within 30 days from the date a Collateralization Event has occurred and so long as such Collateralization Event is continuing, Party A shall, at its own expense, and subject to satisfaction of the Rating Agency Condition either (i) pursuant to the
terms of an ISDA Credit Support Annex, including Paragraph 13, added to this Agreement by an amendment to this Agreement (the “Credit Support Annex”), post collateral to Party B in an amount sufficient to restore to the levels that existed
immediately prior to the Collateralization Event the ratings of any Certificates then rated by the Rating Agencies, (ii) furnish a guarantee of Party A's obligations under this Agreement from a guarantor which satisfies the Hedge Counterparty Ratings Requirement (as
defined herein), or (iii) obtain a substitute counterparty that (a) satisfies the Hedge Counterparty Ratings Requirement (as defined herein) and (b) assumes the obligations of Party A under this Agreement (through an assignment and assumption agreement in form
and substance reasonably satisfactory to Party B) or replaces the outstanding Transactions hereunder with transactions on identical terms, except that Party A shall be replaced as counterparty, provided that such substitute counterparty, as of the date of
such assumption or replacement, must not, as a result thereof, be required to withhold or deduct on account of tax under the Agreement or the new transactions, as applicable, and such assumption or replacement must not lead to a termination event or event of default
occurring in respect of the new transactions, as applicable.  To the extent that Party A elects or is required to post collateral pursuant to this Part 5(b)(1), Party A shall request its legal counsel to deliver to each applicable Rating Agency within thirty
(30) calendar days of the occurrence of such Collateralization Event an opinion satisfactory to the Rating Agency as to the enforceability of the Credit Support Annex.

(2)   It shall be a ratings event (a “Ratings Event”) if at any time after the date hereof Party A shall fail to
satisfy the Hedge Counterparty Ratings Threshold.  “Hedge Counterparty Ratings Threshold” shall mean (A) the unsecured, unguaranteed and otherwise unsupported long-term senior debt obligations of Party A are rated at least
“BBB-” by S&P, (B) the unsecured, unguaranteed and otherwise unsupported long-term senior debt obligations of Party A are rated at least “A3” by Moody's (and such rating is not on watch for possible downgrade) and the unsecured,
unguaranteed and otherwise unsupported short-term debt obligations of Party A are rated at least “P‐2” by Moody's (and such rating is not on watch for possible downgrade), and (C) either (i) the unsecured, unguaranteed
and otherwise unsupported long-term senior debt obligations of Party A are rated at least “BBB+” by Fitch or (ii) the unsecured, unguaranteed and otherwise unsupported short-term debt obligations of Party A are rated at least “F2” by
Fitch.  For the avoidance of all doubts, the parties hereby acknowledge and agree that notwithstanding the occurrence of a Ratings Event, this Agreement and each Transaction hereunder shall continue to qualify as a Swap Agreement for purposes of the distribution
priorities in Section 4.01 of the PSA.

(3)   Following a Ratings Event, Party A shall take the following actions:

Within 30 days (or, in the case of a failure to meet the requirements of subparagraph (A) of the definition of “Hedge Counterparty Ratings
Threshold”, within 10 Business Days) of the Ratings Event, Party A, at its sole expense, shall (i) obtain a substitute counterparty that (A) satisfies the Rating Agency Condition, (B) satisfies the Hedge Counterparty Ratings Requirement and (C) assumes the
obligations of Party A under this Agreement (through an assignment and assumption agreement in form and substance reasonably satisfactory to Party B) or replaces the outstanding Transactions hereunder with transactions on identical terms, except that
Party A shall be replaced as counterparty, provided that such substitute counterparty, as of the date of such assumption or replacement, must not, as a result thereof, be required to withhold or deduct on account of tax under the Agreement or the new
transactions, as applicable, and such assumption or replacement must not lead to a termination event or event of default occurring in respect of the new transactions, as applicable, or (ii) furnish a guarantee of Party A’s obligations under this Agreement from
a guarantor that (A) satisfies the Hedge Counterparty Ratings Requirement and (B) satisfies the Rating Agency Condition, or (iii) take such other action that satisfies the Rating Agency Condition.  Notwithstanding anything contained herein to the contrary, if
Party A is required to transfer its rights and obligations under this Agreement pursuant to this Part 5(b)(3) as a result of a rating issued by S&P, Party A shall, at all times prior to such transfer, be required to post collateral in accordance with (i) the
terms of the Credit Support Annex or (ii) an agreement with Party B providing for the posting of collateral, which agreement shall satisfy the Rating Agency Condition specified in Part 5(n) below and require Party A to post the required collateral.

“Hedge Counterparty Ratings Requirement” shall mean (a) either (i) the unsecured, unguaranteed and otherwise unsupported short-term
debt obligations of the substitute counterparty are rated at least “A‐1” by S&P or (ii) if the substitute counterparty does not have a short-term rating from S&P, the unsecured, unguaranteed and otherwise unsupported long-term senior debt
obligations of the substitute counterparty are rated at least “A+” by S&P, (b) either (i) the unsecured, unguaranteed and otherwise unsupported long-term senior debt obligations of such substitute counterparty are rated at least “A1” by
Moody's (and if rated “A1” by Moody's, such rating is not on watch for possible downgrade) and the unsecured, unguaranteed and otherwise unsupported short-term debt obligations of such substitute counterparty are rated at least “P‐1” by
Moody's (and if rated “P-1” by Moody's, such rating is not on watch for possible downgrade and remaining on watch for possible downgrade), or (ii) if such substitute counterparty does not have a short-term debt rating from Moody's, the unsecured,
unguaranteed and otherwise unsupported long-term senior debt obligations of such substitute counterparty are rated at least “Aa3” by Moody's (and if rated “Aa3” by Moody's, such rating is not on watch for possible downgrade), and (c)
either (i) the unsecured, unguaranteed and otherwise unsupported long-term senior debt obligations of such substitute counterparty are rated at least “A” by Fitch or (ii) the unsecured, unguaranteed and otherwise unsupported short-term debt obligations of
such substitute counterparty are rated at least “F1” by Fitch. For the purpose of this definition, no direct or indirect recourse against one or more shareholders of the substitute counterparty (or against any Person in control of, or controlled by, or
under common control with, any such shareholder) shall be deemed to constitute a guarantee, security or support of the obligations of the substitute counterparty.

 

(c)   Section 3(a) of this Agreement is hereby amended to include
the following additional representations after paragraph 3(a)(v):

(vi)        Eligible Contract
Participant. It is an “eligible contract participant” as defined in section 1a(12) of the U.S. Commodity Exchange Act.

(vii)       Individual Negotiation.
This Agreement and each Transaction hereunder is subject to individual negotiation by the parties.

(viii)      Relationship between Party A and
Party B.  Each of Party A and Party B will be deemed to represent to the other on the date on which it enters into a Transaction or an amendment thereof that (absent a written agreement between Party A and Party B that expressly imposes affirmative
obligations to the contrary for that Transaction):

(1)          
Principal. Party A is acting as principal and not as agent when entering into this Agreement and each Transaction.  Party B is acting not in its individual capacity but solely as Supplemental Interest Trust Trustee on behalf of Long Beach Mortgage
Loan Supplemental Interest Trust 2006‐10.

(2)          
Non-Reliance. Party A is acting for its own account and it has made its own independent decisions to enter into that Transaction and as to whether that Transaction is appropriate or proper for it based upon its own judgment and upon advice from such
advisors as it has deemed necessary.  Party B is acting not in its individual capacity but solely as Supplemental Interest Trust Trustee on behalf of Long Beach Mortgage Loan Supplemental Interest Trust 2006-10. It is not relying on any communication
(written or oral) of the other party as investment advice or as a recommendation to enter into that Transaction; it being understood that information and explanations related to the terms and conditions of a Transaction shall not be considered investment advice or a
recommendation to enter into that Transaction. No communication (written or oral) received from the other party shall be deemed to be an assurance or guarantee as to the expected results of that Transaction.

(3)          
Evaluation and Understanding. It is capable of evaluating and understanding (on its own behalf or through independent professional advice), and understands and accepts, the terms, conditions and risks of this Agreement and each Transaction hereunder. It
is also capable of assuming, and assumes, all financial and other risks of this Agreement and each Transaction hereunder.

(4)           Status
of Parties. The other party is not acting as a fiduciary or an advisor for it in respect of that Transaction.

(d)   Section 1(c).  For purposes of Section
1(c) of the Agreement, the Transaction with the External ID number 2768567 shall be the sole Transaction under the Agreement.

(e)   Transfer.  Section 7 is hereby amended to read in its entirety as follows:

Except as stated under Section 6(b)(ii), provided that to the extent Party A makes a transfer
pursuant to Section 6(b)(ii) it will provide a prior written notice to the Rating Agencies of such transfer, neither Party A nor Party B is permitted to assign, novate or transfer (whether by way of security or otherwise) as a whole or in part any of its
rights, obligations or interests under this Agreement or any Transaction without the prior written consent of the other party; provided, however, that (i) Party A may make such a transfer of this Agreement pursuant to a consolidation or amalgamation with, or merger
with or into, or transfer of substantially all of its assets to, another entity, or an incorporation, reincorporation or reconstitution, and (ii) Party A may transfer this Agreement to any Person that is an office, branch or affiliate of Party A (any such Person,
office, branch or affiliate, a “Transferee”) on at least five Business Days' prior written notice to Party B; provided that, with respect to clause (ii), (A) as of the date of such transfer the Transferee will not be required to withhold or deduct
on account of a Tax from any payments under this Agreement unless the Transferee will be required to make payments of additional amounts pursuant to Section 2(d)(i)(4) of this Agreement in respect of such Tax; (B) a Termination Event or Event of Default does not
occur under this Agreement as a result of such transfer; (C) such notice is accompanied by a written instrument pursuant to which the Transferee acquires and assumes the rights and obligations of Party A so transferred; and (D) Party A will be responsible for any
costs or expenses incurred in connection with such transfer.  Party B will execute such documentation as is reasonably deemed necessary by Party A for the effectuation of any such transfer.  Notwithstanding the foregoing, no such transfer shall be made
unless the transferring party obtains a written acknowledgment from each of the Rating Agencies that, notwithstanding such transfer, the then-current ratings of the Certificates will not be reduced or withdrawn, provided, however, that this provision shall not
apply to any transfer that is made pursuant to the provisions of Part 5(b) of this Agreement.

Except as specified otherwise in the documentation evidencing a transfer, a transfer of all the obligations of Party A made in compliance
with this Section 7 will constitute an acceptance and assumption of such obligations (and any related interests so transferred) by the Transferee, a novation of the transferee in place of Party A with respect to such obligations (and any related interests so
transferred), and a release and discharge by Party B of Party A from, and an agreement by Party B not to make any claim for payment, liability, or otherwise against Party A with respect to, such obligations from and after the effective date of the
transfer.

In addition, Party A may transfer this Agreement without the prior written consent of the Supplemental Interest Trust Trustee on behalf of
Party B but with prior written notice to S&P and Party B, to an Affiliate of Party A that satisfies the Hedge Counterparty Rating Requirements or that has furnished a guarantee, subject to the Ratings Condition (with respect to S&P only), of the obligations
under this Agreement from a guarantor that satisfies the Hedge Counterparty Rating Requirements; provided that (A) as of the date of such transfer the Transferee will not be required to withhold or deduct on account of a Tax from any payments under this Agreement
unless the Transferee will be required to make payments of additional amounts pursuant to Section 2(d)(i)(4) of this Agreement in respect of such Tax, (B) a Termination Event or Event of Default does not occur under this Agreement as a result of such transfer, (C)
such notice is accompanied by a written instrument pursuant to which the Transferee acquires and assumes the rights and obligations of Party A so transferred, (D) Party A will be responsible for any costs or expenses incurred in connection with such transfer, and (E)
satisfaction of the Ratings Condition (with respect to S&P only) will be required unless such transfer is in connection with the assignment and assumption of this Agreement by the Transferee without modification of its terms, other than the following terms: party
name, dates relevant to the effective date of such transfer, tax representations (provided that the representations in Part 2(a) are not modified) and any other representations regarding the status of the Transferee of the type included in Section (c) of this Part 5
and notice information (in which case, Party A shall provide written notice to S&P with respect thereto).

(f)    Supplemental Interest Trust
Trustee Capacity.  It is expressly understood and agreed by the parties hereto that (i) this Agreement is executed and delivered by Deutsche Bank National Trust Company (“Deutsche Bank”) not individually or personally but solely
as Supplemental Interest Trust Trustee of the Supplemental Interest Trust, in the exercise of the powers and authority conferred and vested in it under the PSA, (ii) each of the representations, undertakings and agreements herein made on the part of the Supplemental
Interest Trust is made and intended not as personal representations, undertakings and agreements by Deutsche Bank but is made and intended for the purpose of binding only the Supplemental Interest Trust, (iii) nothing herein contained shall be construed as creating
any liability on the part of Deutsche Bank, individually or personally, to perform any covenant either expressed or implied contained herein, all such liability, if any, being expressly waived by the parties hereto and by any Person claiming by, through or under the
parties hereto and (iv) under no circumstances shall Deutsche Bank be personally liable for the payment of any indebtedness or expenses of the Supplemental Interest Trust or be liable for the breach or failure of any obligation, representation, warranty or covenant
made or undertaken by the Supplemental Interest Trust under this Agreement or any other related documents as to all of which recourse shall be had solely to the assets of the Supplemental Interest Trust in accordance with the terms of the PSA.

(g)   Additional
Representations.

        Party B
represents that:

(i)    Status.  The Supplemental Interest Trust
Trustee is Supplemental Interest Trust Trustee of the Supplemental Interest Trust under the PSA.  It is a national banking association validly existing under the laws of the United States; and

(ii)   Powers. In its capacity as Supplemental Interest
Trust Trustee of the Supplemental Interest Trust, the Supplemental Interest Trust Trustee has power under the PSA to execute this Agreement and any other documentation relating to this Agreement that the Supplemental Interest Trust Trustee is executing and delivering
on behalf of the Trust, to deliver this Agreement and any other documentation relating to this Agreement that it is required to execute and deliver and to perform the obligations (on behalf of the Supplemental Interest Trust) under this Agreement and any obligations
(on behalf of the Supplemental Interest Trust) under any Credit Support Document to which the Supplemental Interest Trust Trustee on behalf of the Supplemental Interest Trust is party and has taken all necessary action to authorize such execution, delivery and
performance.

 (h)  Proceedings.  Without impairing any right
afforded to it under the PSA as a third party beneficiary, Party A shall not institute against or cause any other person to institute against, or join any other person in instituting against the Supplemental Interest Trust or the Trust, any bankruptcy,
reorganization, arrangement, insolvency or liquidation proceedings, or other proceedings under any federal or state bankruptcy, dissolution or similar law, for a period of one year and one day, or if longer the applicable preference period then in effect, following
indefeasible payment in full of the Certificates.  Nothing shall preclude, or be deemed to stop, Party A (i) from taking any action prior to the expiration of the aforementioned one year and one day period, or if longer the applicable preference period then in
effect, in (A) any case or proceeding voluntarily filed or commenced by Party B or (B) any involuntary insolvency proceeding filed or commenced by a Person other than Party A, or (ii) from commencing against Party B or any of the Mortgage Loans any legal action which
is not a bankruptcy, reorganization, arrangement, insolvency, moratorium, liquidation or similar proceeding.

(i)    Change of
Account.  Section 2(b) of this Agreement is hereby amended by the addition of the following after the word “delivery” in the first line thereof:

“to another account in the same legal and tax jurisdiction as the original account”

 

(j)    Pooling and Servicing Agreement.  Party B will provide at least ten days' prior written
notice to Party A of any proposed amendment or modification to the PSA and Party B will obtain the prior written consent of Party A to any such amendment or modification, where such consent is required under the terms of the PSA.

 

(k)   Set-off.  Notwithstanding any provision
of this Agreement or any other existing or future agreements, each of Party A and Party B irrevocably waives as to itself any and all contractual rights it may have to set off, net, recoup or otherwise withhold or suspend or condition its payment or performance of
any obligation to the other party under this Agreement against any obligation of one party hereto to the other party hereto arising outside of this Agreement; provided that nothing herein shall be construed to waive or otherwise limit the netting provisions contained
in Section 2(c)(ii) or Section 6(e) of this Agreement or any set-off rights contained in the Credit Support Annex.  The provisions for set-off set forth in Section 6(e) of this Agreement shall not apply for purposes of this Transaction.

(l)       Notice of Certain Events or Circumstances.  Each party agrees, upon learning of the occurrence or existence of any event or condition that constitutes (or that with the giving of
notice or passage of time or both would constitute) an Event of Default or Termination Event with respect to such party, promptly to give the other party notice of such event or condition (or, in lieu of giving notice of such event or condition in the case of an
event or condition that with the giving of notice or passage of time or both would constitute an Event of Default or Termination Event with respect to the party, to cause such event or condition to cease to exist before becoming an Event of Default or Termination
Event); provided that failure to provide notice of such event or condition pursuant to this Part 5(l) shall not constitute an Event of Default or a Termination Event.

(m)   
Regarding Party A.  Party B acknowledges and agrees that Party A has had and will have no involvement in and, accordingly Party A accepts no responsibility for:  (i) the establishment, structure, or choice of assets of Party B; (ii) the
selection of any person performing services for or acting on behalf of Party B; (iii) the selection of Party A as the Counterparty; (iv) the terms of the Certificates; (v) the preparation of or passing on the disclosure and other information contained in any offering
circular for the Certificates, the PSA, or any other agreements or documents used by Party B or any other party in connection with the marketing and sale of the Certificates (other than information provided by Party A for purposes of the disclosure document relating
to the Class A Certificates, the Mezzanine Certificates and the Class B Certificates; (vi) the ongoing operations and administration of Party B, including the furnishing of any information to Party B which is not specifically required under this Agreement; or (vii)
any other aspect of Party B's existence.

(n)     Rating Agency Condition.  Without prejudice to Section 9 of this Agreement, this Agreement will not be amended unless the Rating Agency Condition is satisfied with respect to such amendment. 
“Rating Agency Condition” means, with respect to any particular proposed act or omission to act hereunder that the party acting or failing to act must consult with each of S&P, Fitch and Moody’s then providing a rating of the Class A
Certificates, the Mezzanine Certificates and the Class B Certificates and receive a prior written confirmation from each of the Rating Agencies that S&P, Moody’s or Fitch will not downgrade or withdraw its then-current ratings of any outstanding Class A
Certificates, the Mezzanine Certificates and the Class B Certificates.

(o)     Jurisdiction. Section 13(b) is hereby amended by: (i) deleting in the second line of subparagraph (i) thereof the word “non-” and (ii) deleting the final paragraph thereof.

(p)     Waiver of Jury Trial. Each party waives, to the fullest extent permitted by applicable law, any right it may have to a trial by jury in respect of any suit, action or proceeding relating to this Agreement or
any Credit Support Document. Each party certifies (i) that no representative, agent or attorney of the other party or any Credit Support Provider has represented, expressly or otherwise, that such other party would not, in the event of such a suit, action or
proceeding, seek to enforce the foregoing waiver and (ii) acknowledges that it and the other party have been induced to enter into this Agreement and provide for any Credit Support Document, as applicable, by, among other things, the mutual waivers and certifications
in this Section.

(q)     Consent to Recording. Each party (i) consents to the recording of the telephone conversations of trading and marketing personnel of the parties in connection with this Agreement or any potential transaction
and (ii) if applicable, agrees to obtain any necessary consent of, and give notice of such recording to, such personnel.

(r)      Independent Reliance.  The parties agree to amend Section 3 of this Agreement by the addition of the following provision at the end thereof and marked as subsection (g).

“(g)         Independent Reliance.   Party A is entering into this
Agreement and will enter into each Transaction in reliance upon such tax, accounting, regulatory, legal, and financial advice as it deems necessary and not upon any view expressed by the other party.  Party B is entering into this Agreement and will enter into
each Transaction in reliance upon the direction of the Depositor and not upon any view expressed by the other party.”

 

(s)     Escrow Payments.  If (whether by reason of the time difference between the cities in which payments are to be made or otherwise) it is not possible for simultaneous payments to be made on any date on
which both parties are required to make payments hereunder, either party may at its option and in its sole discretion notify the other party that payments on that date are to be made in escrow.  In this case deposit of the payment due earlier on that date shall
be made by 2:00 pm (local time at the place for the earlier payment) on that date with an escrow agent selected by the notifying party, accompanied by irrevocable payment instructions (i) to release the deposited payment to the intended recipient upon receipt by the
escrow agent of the required deposit of the corresponding payment from the other party on the same date accompanied by irrevocable payment instructions to the same effect or (ii) if the required deposit of the corresponding payment is not made on that same date, to
return the payment deposited to the party that paid it into escrow.  The party that elects to have payments made in escrow shall pay all costs of the escrow arrangements.

(t)      [Reserved.]

(u)     Method of Notice.  Section 12(a)(ii) of this Agreement is deleted in its entirety.

(v)     USA PATRIOT Act Notice.  Party A hereby notifies Party B that pursuant to the requirements of the USA Patriot Act (Title III of Pub. L. 107-56 (signed into law October 26, 2001)) (the
“Act”), it is required to obtain, verify and record information that identifies Party B, which information includes the name and address of Party B and other information that will allow Party A to identify Party B in accordance with the Act.

(w)    If
any term, provision, covenant, or condition of this Agreement, or the application thereof to any party or circumstance, shall be held to be invalid or unenforceable (in whole or in part) for any reason, the remaining terms, provisions, covenants, and conditions
hereof shall continue in full force and effect as if this Agreement had been executed with the invalid or unenforceable portion eliminated, so long as this Agreement as so modified continues to express, without material change, the original intentions of the parties
as to the subject matter of this Agreement and the deletion of such portion of this Agreement will not substantially impair the respective benefits or expectations of the parties; provided, however, that this severability provision shall not be applicable if any
provision of Section 2, 5, 6, or 13 (or any definition or provision in Section 14 to the extent it relates to, or is used in or in connection with any such Section) shall be so held to be invalid or unenforceable.

The parties shall endeavor to engage in good faith negotiations to replace any invalid or unenforceable term, provision, covenant or
condition with a valid or enforceable term, provision, covenant or condition, the economic effect of which comes as close as possible to that of the invalid or unenforceable term, provision, covenant or condition.

IN WITNESS WHEREOF, the parties have executed this document by their duly authorized officers with effect from the date specified on the first page
hereof.

 

	
ABN AMRO BANK, N.V.

	
Deutsche Bank National Trust Company, not in its individual capacity but solely as Supplemental Interest Trust Trustee on behalf of Long Beach
Mortgage Loan  Supplemental Interest Trust
 2006‐10

	
By:          /s/ Frederick P.
Engler                                    

Name:     Frederick P. Engler

Title:       Regional Manager Documentation

                North America

	
By:          /s/ Ronaldo
Reyes                                          

Name:     Ronaldo Reyes

Title:       Vice President

	
 

 

By:          /s/ Sylvie
Trudel                                              

Name:     Sylvie Trudel

Title:       Group Vice President

	
 

 

By:          /s/ Melissa
Wilman                                         

Name:     Melissa Wilman

Title:       Vice President

 

 

Long Beach Mortgage Loan Supplemental Interest Trust
2006‐10 (the “Supplemental Interest Trust”)

External ID:  4104574

Dear Sir/Madam:

The purpose of this letter agreement (this “Confirmation”) is to confirm the terms and conditions of the Swap
Transaction entered into between us on the Trade Date specified below (the “Transaction”).  This Confirmation constitutes a “Confirmation” as referred to in the Agreement specified below. 

In this Confirmation “Provider” means ABN AMRO Bank, N.V. and
“Counterparty” means Deutsche Bank National Trust Company, not in its individual capacity but solely as Supplemental Interest Trust Trustee on behalf of the Supplemental Interest Trust.

The definitions and provisions contained in the 2000 ISDA Definitions (as published by the International Swaps and Derivatives
Association, Inc.) are incorporated into this Confirmation.  Any reference to a “Swap Transaction” in the 2000 ISDA Definitions is deemed to be a reference to a “Transaction” for purposes of this Confirmation, and any reference to a
“Transaction” in this Confirmation is deemed to be a reference to a “Swap Transaction” for purposes of the 2000 ISDA Definitions.  In the event of any inconsistency between those definitions and provisions and this Confirmation, this
Confirmation will govern.

This Confirmation supplements, forms part of, and is subject to, the 1992 ISDA Master Agreement dated as of November 9, 2006 as
amended and supplemented from time to time (the “Agreement”), between you and us.  All provisions contained in the Agreement govern this Confirmation except as expressly modified below.

Reference is made to that certain Pooling and Servicing Agreement dated as of November 1, 2006, among Long Beach Securities Corp.
as Depositor, Washington Mutual Bank as Seller and Servicer, Deutsche Bank Trust Company Delaware as Delaware Trustee and Counterparty as Supplemental Interest Trust Trustee (in such capacity, the “Supplemental Interest Trust Trustee”), as amended and
supplemented from time to time (the “PSA”).

Provider and Counterparty each represents to the other that it has entered into this Swap Transaction in reliance upon such tax,
accounting, regulatory, legal, and financial advice as it deems necessary and not upon any view expressed by the other.

1.   The terms of the particular Swap Transaction to which this Confirmation
relates are as follows:

Notional Amount:  USD 793,608,174, subject to adjustment in accordance with the
Notional Amount Schedule as set out below.

Trade Date:  31 October
2006

Effective Date: 25 December 2006

Termination Date:   25 November 2011

Fixed Amounts:

Fixed Rate Payer:   Counterparty

Fixed Rate Payer Period End
Dates:   The 25th calendar day of each month, commencing 25 January 2007 and ending 25 November 2011, with No Adjustment.

Fixed Rate Payer Payment Dates:   The 25th calendar day of each
month, commencing 25 January 2007 and ending 25 November 2011, subject to adjustment in accordance with the Following Business Day Convention.

Fixed Rate: 
4.935%

Fixed Rate Day Count Fraction:  30/360

Floating Amounts:

Floating Rate Payer: Provider

Floating Rate Payer Period End
Dates:  The 25th calendar day of each month, commencing 25 January 2007 and ending 25 November 2011, with No Adjustment.

Floating Rate Payer Payment Dates: The 25th calendar day of each
month, commencing 25 January 2007 and ending 25 November 2011, subject to adjustment in accordance with the Following Business Day Convention.

Floating Rate Option: USD-LIBOR-BBA

Designated Maturity:  1 Month

Spread: None

Floating Rate Day Count Fraction:  30/360

Reset Dates:  The first day of
each Calculation Period

Compounding:  Inapplicable

Business Day:  Any day other than a
Saturday, a Sunday or a day on which banking or savings institutions in the State of California, the State of Delaware, the State of New York, the State of Washington, or in the city in which the Corporate Trust Office of the Supplemental Interest Trust Trustee is
located, are authorized or obligated by law or executive order to be closed.

Calculation Agent:  Provider

2.         Account Details:

For Payments to ABN AMRO Bank
N.V.:

To be advised under separate cover

For Payments to Deutsche Bank
National Trust Company, not in its individual capacity but solely as Supplemental Interest Trust Trustee on behalf of Long Beach Mortgage Loan Supplemental Interest Trust 2006‐10:

Deutsche Bank National Trust Company

ABA 021-001-033

A/C # 01419663

A/C Name NYLTD Funds Control ‐ Stars West

Ref: Long Beach 2006-10‐Swap Payment

Attn:  LB0610-Manuel Rivas

 

3.         Offices:

(a)        The Office of Party Provider for this Transaction is London.

(b)        The Office of Counterparty for this Transaction is Santa Ana,
California.

4.         Relationship between the Parties:

Each party will be deemed to represent to the other party on the date on which it enters into this Transaction that (absent a written agreement
between the parties that expressly imposes affirmative obligations to the contrary for this Transaction):

(a)        Principal.  Provider is acting as principal and not as agent when entering into this Agreement
and each Transaction.  Counterparty is acting not in its individual capacity but solely as Supplemental Interest Trust Trustee on behalf of the Supplemental Interest Trust;

(b)        Non-Reliance.  Provider is acting for its own account and it has made its own independent
decisions to enter into this Transaction and as to whether this Transaction is appropriate or proper for it based upon its own judgment and upon advice from such advisors as it has deemed necessary.  Counterparty is acting not in its individual capacity but
solely as Supplemental Interest Trust Trustee on behalf of the Supplemental Interest Trust.  Neither party is relying on any communication (written or oral) of the other party as investment advice or as a recommendation to enter into this Transaction; it being
understood that information and explanations related to the terms and conditions of this Transaction shall not be considered investment advice or a recommendation to enter into this Transaction.  No communication (written or oral) received from the other party
shall be deemed to be an assurance or guarantee as to the expected results of this Transaction;

(c)        Evaluation and Understanding.  It is capable of evaluating and understanding (on
its own behalf or through independent professional advice), and understands and accepts, the terms, conditions and risks of this Transaction.  It is also capable of assuming, and assumes, all financial and other risks of this Transaction;

(d)        Status of Parties.  The other party is not acting as a fiduciary or an advisor for
it in respect of this Transaction;

(e)        Awareness.  In so far as Counterparty is not acting as a dealer or a market professional in the
relevant market, this Transaction is entered into in accordance with its authorized policies for purposes of hedging or managing its assets, liabilities and/or investments or in connection with a line of business (and not for speculation).

5.         Supplemental Interest Trust Trustee Capacity:

It is expressly understood and agreed by the parties hereto that (i) this Confirmation is executed and delivered by Deutsche Bank National Trust
Company (“Deutsche Bank”) not individually or personally but solely as Supplemental Interest Trust Trustee of the Supplemental Interest Trust, in the exercise of the powers and authority conferred and vested in it under the PSA, (ii) each of the
representations, undertakings and agreements herein made on the part of the Supplemental Interest Trust is made and intended not as personal representations, undertakings and agreements by Deutsche Bank but is made and intended for the purpose of binding only the
Supplemental Interest Trust, (iii) nothing herein contained shall be construed as creating any liability on the part of Deutsche Bank, individually or personally, to perform any covenant either expressed or implied contained herein, all such liability, if any, being
expressly waived by the parties hereto and by any Person claiming by, through or under the parties hereto and (iv) under no circumstances shall Deutsche Bank be personally liable for the payment of any indebtedness or expenses of the Supplemental Interest Trust or be
liable for the breach or failure of any obligation, representation, warranty or covenant made or undertaken by the Supplemental Interest Trust under this Confirmation or any other related documents as to all of which recourse shall be had solely to the assets of the
Supplemental Interest Trust in accordance with the terms of the PSA.

  

  

  

Please confirm that the foregoing correctly sets forth the terms of our agreement by executing the copy of this Confirmation enclosed for that purpose and returning
it to us to the fax number specified below or by sending to us a letter substantially similar to this letter, which letters set forth the material terms of the Swap Transaction to which the Confirmation relates and indicates your agreement to those terms.

Fax Number:                +44 20 7857 9428

                                      +44 20 7857 9430

                                      +44 20 7857 9501

Telephone Number:    +44 20 7678 8000

                                                                       
Yours Faithfully,

                                                                       
ABN AMRO Bank N.V.

 

                                                                       
By:____/s/ Robert Furlong______

                                                                       
Name:  Robert Furlong

                                                                       
Title:    Authorised Signature

 

                                                                       
By:____/s/ Clifford Bullock_____

                                                                       
Name:   Clifford Bullock

                                                                       
Title:    Authorised Signature

 

 

Confirmed as of the date first written above:

Deutsche Bank National Trust Company, not in its individual capacity but
solely as Supplemental Interest Trust Trustee on behalf of Long Beach Mortgage Loan Supplemental Interest Trust 2006‐10

 

 

By:______/s/ Ronaldo Reyes_______

Name:        Ronaldo
Reyes

Title:           Vice President

 

By:______/s/ Melissa Wilman_______

Name:        Melissa
Wilman

Title:           Vice President

NOTIONAL AMOUNT SCHEDULE

	

Calculation Period in respect of the Payment Date scheduled to occur on*:

	

 

	

Notional Amount

	

January 25, 2007

	

USD

	

793,608,174

	

February 25, 2007

	

USD

	

786,955,607

	

March 25, 2007

	

USD

	

779,125,810

	

April 25, 2007

	

USD

	

770,127,746

	

May 25, 2007

	

USD

	

759,976,417

	

June 25, 2007

	

USD

	

757,821,364

	

July 25, 2007

	

USD

	

754,241,970

	

August 25, 2007

	

USD

	

749,003,364

	

September 25, 2007

	

USD

	

742,094,613

	

October 25, 2007

	

USD

	

733,302,148

	

November 25, 2007

	

USD

	

721,675,716

	

December 25, 2007

	

USD

	

702,217,031

	

January 25, 2008

	

USD

	

681,569,041

	

February 25, 2008

	

USD

	

660,561,732

	

March 25, 2008

	

USD

	

640,240,900

	

April 25, 2008

	

USD

	

620,566,635

	

May 25, 2008

	

USD

	

601,495,531

	

June 25, 2008

	

USD

	

583,951,393

	

July 25, 2008

	

USD

	

567,286,512

	

August 25, 2008

	

USD

	

551,586,265

	

September 25, 2008

	

USD

	

536,723,489

	

October 25, 2008

	

USD

	

527,630,858

	

November 25, 2008

	

USD

	

363,055,391

	

December 25, 2008

	

USD

	

335,902,160

	

January 25, 2009

	

USD

	

306,843,489

	

February 25, 2009

	

USD

	

282,944,615

	

March 25, 2009

	

USD

	

264,541,422

	

April 25, 2009

	

USD

	

249,397,262

	

May 25, 2009

	

USD

	

236,396,966

	

June 25, 2009

	

USD

	

225,078,061

	

July 25, 2009

	

USD

	

215,476,633

	

August 25, 2009

	

USD

	

206,475,845

	

September 25, 2009

	

USD

	

197,838,666

	

October 25, 2009

	

USD

	

189,573,012

	

November 25, 2009

	

USD

	

178,395,962

	

December 25, 2009

	

USD

	

176,825,817

	

January 25, 2010

	

USD

	

161,238,368

	

February 25, 2010

	

USD

	

153,024,886

	

March 25, 2010

	

USD

	

145,168,864

	

April 25, 2010

	

USD

	

137,774,029

	

May 25, 2010

	

USD

	

130,751,457

	

June 25, 2010

	

USD

	

124,064,212

	

July 25, 2010

	

USD

	

117,864,564

	

August 25, 2010

	

USD

	

111,998,664

	

September 25, 2010

	

USD

	

106,779,988

	

October 25, 2010

	

USD

	

101,757,385

	

November 25, 2010

	

USD

	

96,923,644

	

December 25, 2010

	

USD

	

91,705,136

	

January 25, 2011

	

USD

	

86,316,665

	

February 25, 2011

	

USD

	

81,232,250

	

March 25, 2011

	

USD

	

76,382,111

	

April 25, 2011

	

USD

	

71,195,396

	

May 25, 2011

	

USD

	

66,453,024

	

June 25, 2011

	

USD

	

62,021,338

	

July 25, 2011

	

USD

	

57,582,559

	

August 25, 2011

	

USD

	

53,601,364

	

September 25, 2011

	

USD

	

49,990,207

	

October 25, 2011

	

USD

	

46,669,565

	

November 25, 2011

	

USD

	

43,698,736

* Payment Dates adjusted in accordance with the relevant Business Day Convention and may be subject to further
adjustment<PDF>
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